A few years ago, when Coca-Cola introduced Fruitopia beverage, it spent $30 million and set what it thought was achievable sales goals. Since its introduction, Fruitopia has not been able to achieve its sales goals and has lost money for Coke. When top management decided to cease production of Fruitopia for its U.S. market, it was intended to help the company operate more __________________ and reach organizational objectives.

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Answer 1

When top management decided to cease production of Fruitopia for its U.S. market, it was intended to help the company operate more efficiently and reach organizational objectives.

Ceasing production of Fruitopia for the U.S. market is an example of a strategic decision made by Coca-Cola's top management in response to the brand's poor performance. The decision to discontinue Fruitopia was based on the realization that the brand was not achieving its sales goals and was losing money for the company.

By ceasing production of Fruitopia, Coca-Cola could reallocate the resources it had previously dedicated to the brand to other areas of the business that were performing better.

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Related Questions

Many companies secure financing from various sources with various payback periods. Not all funding sources are the same, and in fact, some can come with a pretty high cost to the firm. These costs could include high interest rates, long payback periods, and increased ownership in the firm which could result in lost control.
Select the appropriate financing term for each funding option.
1. Bank loan of 10 months
multiple choice 1
short-term financing
long-term financing
2. Bank loan of 20 months
multiple choice 2
short-term financing
long-term financing
3. Bond
multiple choice 3
short-term financing
long-term financing
4. Commercial paper
multiple choice 4
short-term financing
long-term financing
5. Line of credit
multiple choice 5
short-term financing
long-term financing
6. Stock
multiple choice 6
short-term financing
long-term financing
7. Trade credit
multiple choice 7
short-term financing
long-term financing

Answers

The appropriate financing term

Bank loan of 10 months - Short-term financingBank loan of 20 months - Short-term financingBond - Long-term financingCommercial paper - Short-term financingLine of credit - Short-term financingStock - Long-term financingTrade credit - Short-term financing

Bank loan of 10 months - Short-term financing.

A bank loan with a payback period of 10 months is considered short-term financing because it is typically used to meet short-term cash flow needs, such as purchasing inventory or covering operating expenses.

Bank loan of 20 months - Short-term financing.

A bank loan with a payback period of 20 months is still considered short-term financing, although it has a longer payback period than the loan in option 1. It is still used for short-term cash flow needs.

Bond - Long-term financing.

A bond is a form of debt that typically has a longer payback period, often several years or more. This makes it a form of long-term financing for companies.

Commercial paper - Short-term financing.

Commercial paper is a form of short-term debt that is typically used by companies to cover short-term cash flow needs, such as accounts payable or payroll.

Line of credit - Short-term financing.

A line of credit is a type of short-term financing that allows a company to borrow funds as needed, up to a pre-approved limit. It is often used to cover short-term cash flow needs.

Stock - Long-term financing.

Issuing stock is a form of equity financing that involves selling ownership in the company to investors. This type of financing is typically used for long-term capital needs, such as funding expansion or research and development.

Trade credit - Short-term financing.

Trade credit is a type of short-term financing that allows a company to purchase goods or services on credit from suppliers. It is often used to cover short-term cash flow needs.

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Which is true about investing in individual stocks and stock mutual funds?.

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Answer:

An individual stock tends to be a safer investment than a stock mutual fund.

the next dividend payment by im, incorporated, will be $1.48 per share. the dividends are anticipated to maintain a growth rate of 5 percent forever. the stock currently sells for $27 per share. a. what is the dividend yield? (do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.) b. what is the expected capital gains yield? (do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)

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a. The dividend yield can be calculated by dividing the annual dividend per share by the current market price per share. In this case, the annual dividend per share is expected to be $1.48, so the dividend yield is: Dividend Yield = ($1.48 / $27) x 100% = 5.48%


Therefore, the dividend yield is 5.48%.

b. The expected capital gains yield can be calculated as the difference between the expected future price of the stock and the current price, divided by the current price. Assuming that the stock price will grow at the same rate as the dividend, the future price of the stock can be calculated as:

Future Price = Current Price x (1 + Growth Rate)

= $27 x (1 + 0.05) = $28.35

Therefore, the expected capital gains yield is: Capital Gains Yield = ($28.35 - $27) / $27 x 100% = 5.00%

The dividend yield is a measure of the return on investment from the dividend payment, while the capital gains yield is a measure of the return on investment from the change in stock price. In this case, the dividend yield is higher than the capital gains yield, which means that investors in this stock are receiving a higher return from the dividend payment than from the expected increase in stock price.
A. The dividend yield is 5.48%.

To calculate the dividend yield, you can use the following formula:

Dividend Yield = (Dividend per Share / Current Stock Price) x 100

In this case, the dividend per share is $1.48 and the current stock price is $27. Plugging these values into the formula:

Dividend Yield = ($1.48 / $27) x 100 = 0.0548 x 100 = 5.48%

B. The expected capital gains yield is 5%.

Since the dividends are anticipated to maintain a growth rate of 5% forever, the expected capital gains yield will be equal to the growth rate of the dividends, which is 5%.

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In reaction to protests and heightened media coverage, in 2018, _____, passed a $450 million tax increase to boost education spending.

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In reaction to protests and heightened media coverage, in 2018, the state legislature of [insert state name] passed a $450 million tax increase to boost education spending.

This decision was made in response to years of underfunding of schools in the state and widespread teacher strikes and demonstrations calling for increased funding and resources for education.

The tax increase was aimed at increasing teacher pay, reducing class sizes, and improving school facilities and resources.
The decision to pass this tax increase was not without controversy, as some argued that raising taxes would be detrimental to the state's economy and that education funding should come from other sources.

However, proponents of the tax increase argued that investing in education was necessary for the future success of the state and that the benefits of a well-funded education system would outweigh the costs.
Overall, the passing of the $450 million tax increase marked a significant moment in the ongoing debate over education funding and highlighted the importance of investing in the future of our children and communities.

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_____ occurs when the new product takes sales away from the firm's existing products rather than generating additional revenues through new sales.

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Cannibalization occurs when the new product takes sales away from the firm's existing products rather than generating additional revenues through new sales.

Cannibalization is a phenomenon that occurs when a new product or service offering from a company ends up competing with and taking away sales from its existing products. This means that the new product is not generating any additional revenue for the company, but rather simply shifting the revenue from one product to another. This can be detrimental to the company's overall revenue and profitability, especially if the cannibalization rate is high.

Cannibalization is a complex issue that can have serious implications for companies launching new products or services. When a company introduces a new product, it is often with the goal of increasing revenue and capturing new market share. However, if the new product ends up competing with and taking sales away from the company's existing products, it can actually have a negative impact on revenue and profitability.

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for a cpa, a client imposed scope limitation during a review of financial statements is most likely to result in:

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For a CPA, a client-forced scope impediment during a survey of fiscal summaries is probably going to bring about the Issuance of a disclaimer of opinion.

The option (B) is correct

For a CPA, when a client forces a restriction on the extent of budget reports to be surveyed, he will think about giving a disclaimer of assessment. If the restriction forced affects the review of budget summaries, then CPA can think about acquiescence.

In a survey commitment, the CPA gives restricted confirmation about whether material changes to the financial reports are required for the budget summaries to be in similarity to bookkeeping norms.

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This question is not complete, Here I am attaching the complete question:

For a cpa, a client imposed scope limitation during a review of financial statements is most likely to result in: Multiple Choice

(A) Resignation from the engagement.

(B) Issuance of a disclaimer of opinion.

(C) Issuance of an adverse opinion.

(D) Only an explanatory paragraph added to report, with no change in the assurance provided.

Select the statement that best defines required reserves. The amount banks are required by law to hold on each deposit. The amount of reserves banks have on hand to handle litigation The amount of reserves a bank must loan out for a given deposit. The amount banks are required by law to hold on each loan

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The correct option is A, The statement that best defines required reserves is "The amount banks are required by law to hold on each deposit."

A deposit refers to the act of placing money or other assets into a bank account or other financial institution, with the intention of holding them for safekeeping or future use. Deposits can be made in a variety of forms, including cash, checks, electronic transfers, and even physical assets like gold or jewelry.

Deposits serve as a way for individuals and businesses to store their wealth and earn interest or other returns on their funds. Banks and other financial institutions use deposits to provide loans, make investments, and conduct other financial activities that generate revenue. Deposits can also be subject to various fees, restrictions, and regulations, depending on the type of account and the financial institution. For example, some accounts may require minimum balances, while others may limit the number of transactions or withdrawals per month.

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Identify which way the labor supply curve would shift under the following scenarios. a. A country experiences a huge influx of immigrants who are skilled in the textile industry b. wages increase in an industry that requires similar job skills c. Changes in technology increase the marginal productivity of labor

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A country experiences a huge influx of immigrants who are skilled in the textile industry: The labor supply curve for the textile industry would shift to the right, indicating an increase in the quantity of labor supplied, as the influx of skilled immigrants increases the number of workers available to work in the industry.

b. Wages increase in an industry that requires similar job skills: The labor supply curve for the textile industry would shift to the left, indicating a decrease in the quantity of labor supplied, as workers switch from the textile industry to the higher-paying industry that requires similar job skills.

c. Changes in technology increase the marginal productivity of labor: The labor supply curve for the textile industry would shift to the left, indicating a decrease in the quantity of labor supplied, as workers become more productive and are able to produce more output with the same amount of labor.

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which information would be considered a material fact in a real estate transaction that must be disclosed to prospective buyers?

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The information that would be considered a material fact in a real estate transaction that MUST be disclosed to prospective buyers is two home invasions have occurred in the neighborhood. (option a)

In a real estate transaction, the seller is legally obligated to disclose any material facts about the property to potential buyers. Material facts can include anything that could affect the property's value or the buyer's decision to purchase it. The examples provided in the question highlight some of the material facts that must be disclosed to prospective buyers.

This is because such an event can have a significant impact on the property's value and the buyer's decision to purchase it. Similarly, if there have been home invasions in the neighborhood, that is also a material fact that must be disclosed.

In the case of the cracks in the foundation, the situation can be a bit more complicated. If the cracks are significant enough to affect the property's value or pose a risk to the buyer, then they must be disclosed. However, if the cracks are minor and do not have a significant impact, they may not be considered a material fact.

Hence the correct option is (b).

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Complete Question:

Which information would be considered a material fact in a real estate transaction that MUST be disclosed to prospective buyers?

a. Two home invasions have occurred in the neighborhood.

b. The homeowners were caregivers for a family member diagnosed with acquired immune deficiency syndrome.

c. There are 1/4" wide cracks in the foundation of the residence that have been filled in with concrete

real per capita gdp in china in 1959 was about $350, but it doubled to about $700 by 1978, when deng xiao ping started market reforms. chinese per capita real gdp doubled again in only seven years, reaching $1,400 by 1986. what was the average annual economic growth rate between 1979 and 1986? group of answer choices 3.5% 10% 100% 700%

Answers

The average annual economic growth rate between 1979 and 1986 in China was 10%.

The correct option is B.

This growth rate was largely driven by Deng Xiaoping's market reforms implemented in 1978. These reforms opened up the Chinese economy to foreign investment, encouraged private enterprise, and introduced market-oriented pricing. These changes opened up many opportunities for the Chinese economy and enabled it to double its per capita real GDP in seven years.

The average annual growth rate of 10% was significant, especially when compared to the average annual growth rate of only 0.7% between 1959 and 1978. This economic growth rate provided an important foundation for China's continued economic development and its rise to become one of the world's leading economies.

The correct option is B.

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a proposed new investment has projected sales of $640,000. variable costs are 35 percent of sales, and fixed costs are $171,000; depreciation is $84,000. assume a tax rate of 21 percent.

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The proposed new investment has a net income of $127,190 after considering projected sales, variable costs, fixed costs, depreciation, and taxes.

Assuming a tax rate of 21%, we can calculate the net income for the proposed new investment as follows:


Sales revenue: $640,000
Variable costs: 35% x $640,000 = $224,000
Contribution margin: $640,000 - $224,000 = $416,000
Fixed costs: $171,000 + $84,000 = $255,000
Operating income: $416,000 - $255,000 = $161,000
Tax expense: 21% x $161,000 = $33,810
Net income: $161,000 - $33,810 = $127,190. Therefore, the proposed new investment is projected to have a net income of $127,190 after taxes.


To calculate the net income for the proposed new investment with projected sales of $640,000, follow these steps:

1. Calculate variable costs: Variable costs are 35% of sales, so multiply $640,000 by 0.35 to get $224,000.
2. Calculate total costs: Add fixed costs ($171,000) and variable costs ($224,000) to get $395,000.
3. Calculate earnings before interest, taxes, and depreciation (EBIT): Subtract total costs ($395,000) from sales ($640,000) to get $245,000.
4. Calculate earnings before interest and taxes (EBIT): Subtract depreciation ($84,000) from EBIT ($245,000) to get $161,000.
5. Calculate taxable income: Since there's no mention of interest expense, taxable income is the same as EBIT, which is $161,000.
6. Calculate taxes: Multiply taxable income ($161,000) by the tax rate (21%) to get $33,810.
7. Calculate net income: Subtract taxes ($33,810) from taxable income ($161,000) to get a net income of $127,190.

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The bonds issued by United Corp. bear a coupon of 7 percent, payable semiannually. The bond matures in 14 years and has a $1,000 face value. Currently, the bond sells at $1004. The yield to maturity (YTM) is

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As is common knowledge, when bonds are selling at yield to maturity a discount, their coupon rate is lower than their YTM.A bond's coupon rate is higher than its YTM if it is selling for a premium.

If a bond is trading at par, its YTM and coupon rate are the same. In this case, the bond is being sold at par.

Bond Coupon Rate equals Yield to Maturity

Yield to maturity equals 6%.

F represents the bond's Face Value.

P represents the bond's current value, and n represents the bond's remaining life.

Coupon payout is equal to 1000 * O.06 * 6/12 = 30.

Number of periods until maturity is 11 + 2 = 22.

Semi-annual Year-To-Mean (YTM) = [(30 + (1000 - 989/22) / (1000 + 989/ 2)].

Semi-annual Year-to-Mean (YTM) = 0.03066867773, or 3.066867773% 3.07% when rounded off

The yield to maturity, also known as YTM, is the yield or return an investor may receive on a bond if they bought it today and kept it until it matured. The following formula can be used to determine a bond's yield till maturity:

Complete question:

The bonds issued by United Corp. bear a coupon of 7 percent, payable semiannually. The bond matures in 14 years and has a $1,000 face value. Currently, the bond sells at $1004. The yield to maturity (YTM) is ?

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Prohibiting new investment in and certain services to the russian federation in response to continued russian federation aggression.

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The term "prohibiting new investment" refers to a decision by a country or group of countries to prevent any new investments from being made in the Russian Federation.

What does this mean?

This could be in response to continued aggression by the Russian Federation in various forms, such as military actions, cyber attacks, or political interference.

In addition, "certain services" may also be prohibited, such as financial transactions, technology transfers, or the provision of certain goods or services.

This type of response is meant to send a strong message to the Russian Federation that their actions will not be tolerated, and that they will face economic consequences if they continue their aggressive behavior.

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Inventory control models assume that demand for an item is.

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Inventory control models assume that demand for an item is either deterministic (constant or known) or probabilistic (random or uncertain). These models help businesses manage stock levels efficiently, minimizing costs while meeting customer demand.

Inventory control models are designed to help businesses manage their inventory levels in a way that maximizes profits while minimizing costs. In order for these models to be effective, they need to make certain assumptions about the demand for a particular item. One of the most fundamental assumptions that inventory control models make is that the demand for an item is predictable. This means that businesses are able to forecast how much of a particular product they will need to meet customer demand over a given period of time.

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assume the perpetual inventory method is used. 1) the company purchased $12,100 of merchandise on account under terms 3/10, n/30. 2) the company returned $1,600 of merchandise to the supplier before payment was made. 3) the liability was paid within the discount period. 4) all of the merchandise purchased was sold for $18,200 cash. the amount of gross margin from the four transactions is:

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the amount of gross margin from the four transactions is $7,323. Assuming the perpetual inventory method is used, we can calculate the amount of gross margin from the four transactions by first determining the cost of the merchandise sold.

1) The company purchased $12,100 of merchandise on account under terms 3/10, n/30. This means that if the company pays within 10 days, they will receive a 3% discount. Otherwise, they have 30 days to pay the full amount.
2) The company returned $1,600 of merchandise to the supplier before payment was made. This means that the company did not have to pay for this merchandise, and it should be deducted from the total amount of merchandise purchased.
3) The liability was paid within the discount period, meaning that the company paid within 10 days and received the 3% discount.
4) All of the merchandise purchased was sold for $18,200 cash.
To calculate the cost of the merchandise sold, we can use the formula:
Cost of Goods Sold = Beginning Inventory + Purchases - Purchase Returns and Allowances
Assuming there was no beginning inventory, we can calculate the cost of goods sold as follows:
Cost of Goods Sold = ($12,100 - $1,600) x (1 - 0.03)
Cost of Goods Sold = $10,877
Now that we know the cost of goods sold, we can calculate the gross margin as follows:
Gross Margin = Sales - Cost of Goods Sold
Gross Margin = $18,200 - $10,877
Gross Margin = $7,323
Therefore, the amount of gross margin from the four transactions is $7,323.

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which of the following is an example of sustainable design? group of answer choices karin fong and mark gardner's lincoln center infopeel bmw's concept e scooter sony corporation's tr-610 transistor radio terada design architects' n building next

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The example of sustainable design is Terada Design Architects' N Building Next. So, correct option is D.

Sustainable design, also known as green design, involves creating buildings and products that minimize their impact on the environment while maximizing their functionality and efficiency.

Terada Design Architects' N Building Next is a prime example of sustainable design. It is a commercial building located in Tokyo, Japan, that incorporates a range of sustainable features.

The building uses natural ventilation to regulate temperature, reducing the need for air conditioning. It also features a rooftop garden that helps to absorb rainwater and reduce the heat island effect.

The building's facade is covered in a unique system of QR codes that allow visitors to access information about the building's energy usage and other sustainability metrics. This not only serves as a educational tool but also promotes transparency and accountability.

In addition to its sustainability features, N Building Next also incorporates cutting-edge technology, such as facial recognition software that allows tenants to access the building without the need for keys or ID cards.

Overall, N Building Next is a prime example of sustainable design, showcasing the potential for buildings to be both environmentally responsible and technologically innovative.

So, correct option is D.

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Complete question is:

which of the following is an example of sustainable design? group of answer choices

a) karin fong and mark gardner's lincoln center

b) infopeel bmw's concept e scooter

c) sony corporation's tr-610 transistor radio

d) terada design architects' n building next

explain how the use of internal equity rather than external equity affects the analysis of an in investment project.

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Internal equity and external equity are two approaches that companies use to finance their investment projects. Internal equity is when a company raises funds for an investment project from its retained earnings or profits, while external equity is when a company raises funds from outside sources.

The use of internal equity has several advantages for investment analysis. First, it avoids the high transaction costs that are associated with external equity, such as fees charged by investment banks or underwriters. Second, it avoids the dilution of ownership that occurs with external equity financing. However, the use of internal equity may also limit the amount of funding available for investment projects, as the company may have limited retained earnings. This can affect the analysis of an investment project by reducing the potential returns that could be achieved if external equity were used to raise additional funds. Additionally, the use of internal equity may also limit the flexibility of the company to pursue other investment opportunities, as it may be limited by the amount of retained earnings available. Overall, the use of internal equity rather than external equity can have both positive and negative effects on the analysis of an investment project, and companies must carefully consider which approach is most appropriate for their specific needs.

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T/F. Capacity increases are usually acquired in fairly large "chunks" rather than smooth increments.

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Capacity increases are usually acquired in fairly large "chunks" rather than smooth increments is True.

Capacity increases are often acquired in large "chunks" because they require significant investments in equipment, infrastructure, and personnel. It is more cost-effective and efficient for businesses to invest in significant upgrades or expansions instead of making small, continuous changes to their operations. For example, a manufacturer may decide to add a new production line that can increase their output by 50%. This would involve purchasing new machines, hiring additional workers, and potentially expanding their facility. These changes cannot be made in small increments and usually require a significant investment of time and money. Therefore, it is common for businesses to acquire capacity increases in large chunks rather than small, gradual increments.

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How does the money laundering process usually begin?.

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The money laundering process usually begins with the placement stage. In this stage, illicit funds from criminal activities, such as drug trafficking, are introduced into the legitimate financial system. Criminals often use cash-intensive businesses, such as casinos, restaurants, or retail shops, to deposit the funds.

They might also use smurfing, a method that involves breaking large sums of money into smaller amounts and depositing them into different accounts or financial institutions, making it difficult for authorities to detect the illegal funds. Once the money enters the financial system, it goes through the layering stage, where it is moved through multiple transactions to obscure its origin. This can involve transferring funds between bank accounts, making wire transfers, investing in high-value assets, or using shell companies. Finally, the money reaches the integration stage, where it is reintegrated into the legitimate economy. This could be through purchasing assets, such as real estate or luxury goods, or investing in legitimate businesses. The goal is to make the laundered money appear as if it has been earned through legal means, thus making it difficult for authorities to trace it back to its original source of crime.
the money laundering process begins with the placement of illicit funds into the financial system, followed by the layering of transactions to conceal its origin, and finally the integration of the funds into the legitimate economy.

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Suppose that Hungary and Wales both produce olive oil and broccoli. Hungary's opportunity cost of producing a bushel of broccoli is 6 crates of olive oil while Wales's opportunity cost of producing a bushel of broccoli is 12 crates of olive oil. By comparing the opportunity cost of producing broccoli in the two countries, you can tell that has a comparative advantage in the production of broccoli and has a comparative advantage in the production of olive oil. Suppose that Hungary and Wales consider trading broccoli and olive oil with each other. Hungary can gain from specialization and trade as long as it receives more than of olive oil for each bushel of broccoli it exports to Wales. Similarly, Wales can gain from trade as long as it receives more than of broccoli for each crate of olive oil it exports to Hungary. Based on your answer to the last question, which of the following prices of trade (that is, price of broccoli in terms of olive oil) would allow both Wales and Hungary to gain from trade? Check all that apply. 19 crates of olive oil per bushel of broccoli 11 crates of olive oil per bushel of broccoli 3 crates of olive oil per bushel of broccoli 1 crate of olive oil per bushel of broccoli

Answers

A price of trade that would allow both Wales and Hungary to gain from trade is 11 crates of olive oil per bushel of broccoli. At this price, Hungary can receive more than its opportunity cost of producing broccoli, and Wales can receive more than its opportunity cost of producing olive oil.

To determine the price of trade (that is, price of broccoli in terms of olive oil) that would allow both Wales and Hungary to gain from trade, we need to find a price that is between Hungary's opportunity cost of producing broccoli (6 crates of olive oil) and Wales's opportunity cost of producing broccoli (12 crates of olive oil).

This means that the price of broccoli in terms of olive oil should be less than 12 crates but more than 6 crates of olive oil per bushel of broccoli. Therefore, the following prices of trade would allow both Wales and Hungary to gain from trade:

11 crates of olive oil per bushel of broccoli3 crates of olive oil per bushel of broccoli

However, the price of 19 crates of olive oil per bushel of broccoli would not allow Hungary to gain from trade because it is higher than Hungary's opportunity cost of producing broccoli (6 crates of olive oil).

Similarly, the price of 1 crate of olive oil per bushel of broccoli would not allow Wales to gain from trade because it is lower than Wales's opportunity cost of producing broccoli (12 crates of olive oil).

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Crafter's Supply offers online 40% off coupons to shoppers. It is easy to go to the Crafter's Supply website, download the coupon, and apply it to an online purchase. This example shows that the biggest trend in sales promotion is the use of _______. (a) the internet (b) trade shows (c) event sponsorships (d) point-of-purchase displays

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This example of Crafter's Supply offering online coupons demonstrates the increasing trend of using the internet as a platform for sales promotions. The correct option  is A

The rise of e-commerce has made it easier for companies to offer discounts and coupons to customers, and for customers to access and redeem these offers. With the internet, companies can easily reach a wider audience, track and measure the effectiveness of their promotions, and personalize their offers to individual customers.

As a result, many companies are shifting their focus to digital promotions and away from traditional methods like trade shows, event sponsorships, and point-of-purchase displays.

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In the current period, Forward Co. started production of 21,000 units and completed 8,400 units, leaving 12,600 units in process that are 42% complete. Assume there was no beginning work in process. If Forward Co. incurred production costs of $34,980 in the current period, what was Forward's cost per equivalent unit for the period?

Answers

Forward Co.'s cost per equivalent unit for the period is $2.55.

In order to calculate Forward Co.'s cost per equivalent unit for the period, we need to follow these steps:

1. Determine the total number of equivalent units: Since there are 12,600 units in process that are 42% complete, we can calculate the equivalent units for these in-process units as follows: 12,600 units * 42% = 5,292 equivalent units. Add this to the 8,400 completed units: 5,292 + 8,400 = 13,692 equivalent units.

2. Calculate the total production costs: In the current period, Forward Co. incurred production costs of $34,980.

3. Divide the total production costs by the total number of equivalent units: To find the cost per equivalent unit, divide the total production costs ($34,980) by the total number of equivalent units (13,692).

$34,980 ÷ 13,692 = $2.55 per equivalent unit.

So, Forward Co.'s cost per equivalent unit for the period is $2.55. This value helps the company allocate its production costs appropriately between completed and in-process units, giving a more accurate picture of its production efficiency and cost management.

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Which of the following factors would not indicate that a potential component unit (PCU) imposes a financial burden or provides a financial benefit to the primary government?
A. The primary government is entitled to its share of any dividends distributed by the PCU.
B. The primary government is obligated to provide financial support to the PCU.
C. The primary government is obligated for the PCU's debt.
D. The primary government is entitled to the PCU's resources.

Answers

The following conditions must be met in order for the main government to be entitled to its share of any profits paid by the PCU: the PCU must not put the primary government under any financial strain or benefit it financially. Option A is Correct.

The PCU's resources belong to the primary government.  Which of the following is not an aim of financial statements, according to the IASB Conceptual Framework: Helping to evaluate a business's ability to continue operating.  

In accordance with GABS 14, a unit qualifies as a component unit either when its financial accountability rests with the elected officials of the primary government or otherwise. Excluding it from the principal government's financial reporting would be inaccurate or incomplete.  Option A is Correct.

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you buy a new piece of equipment for $16,230, and you receive a cash inflow of $2,500 per year for 12 years.what is the internal rate of return? use appendix d for an approximate answer but calculate your final answer using the financial calculator method.

Answers

The internal rate of return (IRR) using the financial calculator method is   11.29%.

A financial metric known as the internal rate of return  is used to calculate the profitability of potential investments. The discount rate is what brings the net present value  of cash inflows and outflows into balance. The annualized rate of return that the investment is anticipated to produce over its lifetime is represented by the IRR. An investment that has a higher IRR is more successful.

For the given problem, the cash flows are:

Initial investment (year 0): -$16,230

Cash inflows (years 1-12): $2,500

Entering these values into the financial calculator and pressing the IRR key gives an internal rate of return of approximately 11.29%.

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Pharoah Company ended its fiscal year on July 31, 2020. The company's adjusted trial balance as of the end of its fiscal year is as follows.

No.
101
112
157
158
201
208
301
306
400
429
711
726
732

Account Titles Debit Credit
Cash $10.100
Accounts receivable 8.900
Equipment 15.700
Accumulated $7.300
depreciation-equip.
Accounts payable 4.100
Unearned rent revenue 2.100
Owner's capital 47.100
Owner's drawings 16.000
Service revenue 64.100
Rent revenue 6.200
Depreciation expense 8.600
Salaries and wages expense 56.300
Utilities expense 15.300
$130.900 $130,900

Prepare a post-closing trial balance at July 31.

Answers

Post-Closing Trial Balance at July 31, 2020: Cash $10,100 and Owner's Equity $58,600 for a total of $68,700.

To prepare a post-closing trial balance at July 31 for Pharoah Company, we need to start by understanding the purpose of this financial statement. The post-closing trial balance is used to verify that all temporary accounts have been closed and the balances have been transferred to the permanent accounts in the general ledger.

To create this statement, we need to first identify the temporary accounts that need to be closed. These include salaries and wages expense, which has a balance of $56,300.

This account needs to be closed by transferring its balance to the retained earnings account, which is a permanent account. The same applies to owner's drawings, which has a balance of $16,000.

After closing these temporary accounts, we can prepare the post-closing trial balance by listing all permanent accounts in the general ledger, along with their closing balances. This includes the cash account, which has a balance of $10,100, and the retained earnings account, which now has a balance of $58,600 ($42,300 + $16,000).

The post-closing trial balance for Pharoah Company at July 31 would look as follows:

Cash                                       $10,100
Retained earnings                 $58,600
                                              $68,700

By preparing this statement, we can verify that all temporary accounts have been closed and the balances have been correctly transferred to the permanent accounts. This helps to ensure the accuracy of the company's financial statements and provides a clear picture of its financial position at the end of the fiscal year.

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You will select, read and analyze 4 articles from a variety of newspapers or magazines to provide some ‘real value’ to the theoretical contents that we deal with in the class. You may use web sites as sources of articles but do provide a copy of the articles you are reviewing. Articles should relate to any 5 of the following Macroeconomic topics and should not be earlier than January 2020. Articles should be critiqued (as explained below). The critique should be typed, double- spaced, with correct grammar and spelling. Please use your own words and write a lot of words at least on paragraph per question some of them say how much to write. Thumbs up to whoever does this while following all rules and intructions.Topics1. Current state of the Canadian economy due to COVID -19.2. Exchange rate of the Canadian Dollar3. Inflation4. Government budget5. UnemploymentCRITIQUE OUTLINETitle PageInclude your name, student number & course sectionTable of ContentsAuthors, sources and topicBibliography: Comprehensive and integrated bibliography Using APA format(in alphabetical order)Basic ThemeThis is the idea or the argument of the article (no more than a few sentences).Analyze the headline with regards to its relevance.Critical ReviewCarefully analyze the article, using your critical thinking skills. (4-5 paragraphs). Relate the article to the macroeconomic concept covered in the course. Your opinion on the issue is important.TerminologyYou should include at least 10 relevant economic terms used in the article and define all of them.Articles: Attach all the original articles at the end of the assignment and provide the links for each article.

Answers

To fulfill the assignment requirements, you will need to select, read, and analyze four articles related to any five of the following macroeconomic topics - The current state of the Canadian economy due to COVID-19, Exchange rate of the Canadian Dollar, Inflation, Government budget, and Unemployment. The articles should not be earlier than January 2020, and you should provide a copy of the articles you are reviewing.

In your critique, you should include a title page with your name, student number, and course section, a table of contents, authors, sources, and topic, a bibliography using APA format, a basic theme (an idea or argument of the article in a few sentences), and an analysis of the headline's relevance.

You should also provide a critical review of the article using your critical thinking skills, relating the article to the macroeconomic concept covered in the course, and sharing your opinion on the issue in 4-5 paragraphs. In addition, you should include at least ten relevant economic terms used in the article and define all of them.

Finally, you should attach all the original articles at the end of the assignment and provide the links for each article. To provide some real value to the theoretical contents, it is essential to critically analyze the articles and relate them to the macroeconomic concepts covered in the course.
Make sure to provide a detailed answer to each of the questions and follow the guidelines provided in the critique outline. By doing so, you can demonstrate your understanding of the macroeconomic concepts and provide a well-informed opinion on the issues discussed in the articles.

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A sustained, long-term slow down in economic growth is called:.

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A sustained, long-term slow down in economic growth is called a recession. A recession is generally characterized by a decline in GDP (Gross Domestic Product) for two consecutive quarters, which means that there is a reduction in the total economic output of a country.

In a recession, there is often high unemployment rates, reduced consumer spending, and decreased business profits. Governments and central banks can try to stimulate economic growth by implementing measures such as cutting interest rates, increasing government spending, and reducing taxes. However, it can take a long time for the effects of these measures to be felt, and recovery from a recession can be slow and challenging. It is important to note that not all economic slowdowns are classified as a recession, as they can also be caused by short-term fluctuations or external factors such as natural disasters or political instability.
A sustained, long-term slowdown in economic growth is referred to as an economic stagnation. Economic stagnation occurs when an economy experiences little to no growth or even a decline in key indicators, such as GDP, employment, and investment, over a prolonged period. This situation can be caused by various factors, including low productivity growth, declining population growth, and structural issues in the economy.

During economic stagnation, businesses may struggle to expand, unemployment rates may increase, and wages may remain stagnant or even decrease. Governments and central banks can use fiscal and monetary policies, such as tax cuts, government spending, and interest rate adjustments, to stimulate growth and counteract stagnation. However, these measures may not always be effective, and it may take time for an economy to recover from a prolonged period of stagnation.

It is crucial for policymakers to identify the underlying causes of economic stagnation and implement targeted solutions to address these issues, as a long-term slowdown can negatively impact the overall well-being and living standards of the population.

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what does the presentation recommend you do if you find a home fitting your needs and budget? responses continue looking for a few days continue looking for a few days stop searching stop searching revisit your three favorites revisit your three favorites show the house to your parents show the house to your parents

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The presentation recommends revisiting your three favorite homes if you find a home fitting your needs and budget.

Continuing to look for a few days before making a final decision, and showing the house to your parents for their input. It does not recommend stopping the search altogether if you find a home that fits your needs and budget.

The presentation recommends that if you find a home fitting your needs and budget, you should continue looking for a few days, revisit your three favorites, and show the house to your parents. When you find a suitable home, it's essential to take some time to explore other options and compare them. Revisiting your top three choices allows you to evaluate each property carefully and ensure you're making the right decision. Involving your parents can provide valuable insights and support in making your final choice.

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for a recent year, wicker company-owned restaurants had the following sales and expenses (in millions): sales $16,000 food and packaging $4,360 payroll 4,000 occupancy (rent, depreciation, etc.) 4,860 general, selling, and administrative expenses 2,300 $15,520 income from operations $480 assume that the variable costs consist of food and packaging; payroll; and 40% of the general, selling, and administrative expenses. a. what is wicker company's contribution margin? round to the nearest million. (give answer in millions of dollars.) $fill in the blank 1 6,720 million b. what is wicker company's contribution margin ratio? round your answer to one decimal place. fill in the blank 2 42 % c. how much would income from operations increase if same-store sales increased by $1,000 million for the coming year, with no change in the contribution margin ratio or fixed costs? round your answer to the closest million. $fill in the blank 3 million feedback area feedback

Answers

If same-store sales increased by $1,000 million with no change in contribution margin ratio or fixed costs, income from operations would decrease by $3,100 million.

a. To calculate the contribution margin, we need to first determine the total variable costs.

From the given information, we know that the variable costs consist of food and packaging, payroll, and 40% of the general, selling, and administrative expenses.
Variable costs = Food and packaging + Payroll + 40% of General, selling, and administrative expenses
Variable costs = $4,360 + $4,000 + ($2,300 x 0.4)
Variable costs = $4,360 + $4,000 + $920
Variable costs = $9,280 million

Contribution margin = Sales - Variable costs
Contribution margin = $16,000 - $9,280
Contribution margin = $6,720 million

Therefore, the contribution margin for Wicker Company is $6,720 million.

b. The contribution margin ratio is the contribution margin as a percentage of sales.

To calculate the contribution margin ratio, we can use the following formula:

Contribution margin ratio = (Contribution margin / Sales) x 100%

Contribution margin ratio = ($6,720 million / $16,000 million) x 100%
Contribution margin ratio = 42%

Therefore, Wicker Company's contribution margin ratio is 42%.

c. To calculate how much income from operations would increase with a $1,000 million increase in same-store sales, we need to use the following formula:
Income from operations = (Contribution margin ratio x Sales) - Fixed costs

We are assuming that the contribution margin ratio and fixed costs remain the same. We already know the contribution margin ratio from part b, and we can calculate the fixed costs as follows:

Fixed costs = Payroll + Occupancy + 60% of General, selling, and administrative expenses
Fixed costs = $4,000 + $4,860 + ($2,300 x 0.6)
Fixed costs = $4,000 + $4,860 + $1,380
Fixed costs = $10,240 million

Now we can plug in the numbers to calculate the new income from operations:

Income from operations = (42% x ($16,000 + $1,000) million) - $10,240 million
Income from operations = (0.42 x $17,000 million) - $10,240 million
Income from operations = $7,140 million - $10,240 million
Income from operations = -$3,100 million

Therefore, if same-store sales increased by $1,000 million with no change in contribution margin ratio or fixed costs, income from operations would decrease by $3,100 million.

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tire manufacturer goodt sells tires to retail firm a. average annual sales for firm a is $150,000. average profit margin is 20%. the expected lifetime is 5 years. using a discount rate of 6 percent, calculate the customer lifetime value of firm a and choose the closest answer below:

Answers

The customer lifetime value of Firm A is $112,339.70.

How to solve for the customer lifetime value

To calculate the customer lifetime value of Firm A, we need to consider the total revenue generated over the expected lifetime of the customer, which is 5 years in this case.

The annual sales for Firm A is given as $150,000, and the profit margin is 20%, which means the profit per year is:

Profit per year = 20% * $150,000 = $30,000

The total profit over the expected lifetime of the customer is:

Total profit = $30,000 * 5 = $150,000

Using a discount rate of 6%, we can calculate the present value of the total profit as follows:

Present value of profit = $150,000 / (1 + 0.06) ^ 5 = $112,339.70

Therefore, the customer lifetime value of Firm A is $112,339.70.

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