(Click the icon to view the analysis.) Total fixed costs will not change if the company stops selling DVD. Read the requirements. Requirement 1. Prepare a differential analysis to show whether Movie Plus should drop the DVD product line. Begin by preparing a differential analysis to show whether Movie Plus should drop the DVDs product line. (Enter decreases to profits with a parentheses or minus sign.) Expected decrease in revenues-Dropping DVDs Data table Expected decrease in costs-Dro Expected in operati Requirements 1. Prepare a differential analysis to show whether Movie Plus should drop the DVD product line. 2. Will dropping DVDs add $40,000 to operating income? Explain.

Answers

Answer 1

Differential analysis is required in order to evaluate whether Movie Plus should discontinue its DVD product line. The following alterations would occur if DVDs were dropped: Revenues are predicted to decline as DVD sales decline: This would entail calculating the reduction in sales that would happen if the DVD product line was discontinued. Assume it will cost $60,000, then.

Costs to be reduced - DVDs to be dropped: To do this, it would be necessary to calculate the costs that would be saved or decreased if the DVD product line were discontinued. Let's say that it will cost $30,000 in total. Operating income reduction anticipated – declining DVD sales This is calculated by deducting the anticipated decrease in expenditures from the anticipated decline in income. It would be ($60,000 - $30,000) = $30,000 in this instance. Consequently, based on the Our analysis predicts a $30,000 decline in operational income if Movie Plus discontinues its DVD product line. Will the loss of DVD sales increase operational income by $40,000? Explain. The differential analysis performed for Requirement 1 revealed that discontinuing the DVD product line would result in a $30,000 decline in operating income. Thus, operational income would not increase by $40,000 as a result. According to the analysis, discontinuing the DVDs would have a detrimental effect on operating income. Dropping DVD sales could increase operational income by $40,000 if there is a particular justification or supporting evidence offered, then it should be taken into account. On the other hand, based on the information provided, the anticipated decline in operating income is $30,000, not An extra $40,000 is needed.

learn more about cost here:

https://brainly.com/question/14566816

#SPJ11


Related Questions

Write about a problem related to (managing one of the Apple projects) and the following should be mentioned:
The problem:
Cause of the problem:
Problem evaluation:
Solutions to solve the problem:

Answers

The problem related to managing one of the Apple projects is content loaded. As a result of content-loaded projects, Apple has experienced difficulties in maintaining control and quality control standards for its products. This has led to delays in product launches, unsatisfied customers, and a decrease in sales.The cause of the problem is that many Apple projects are content loaded.

This implies that the company employs a lot of media and interactive components in its products. This kind of approach needs a lot of work and effort. Apple employs the best specialists in the industry to maintain a high standard of quality. However, with too much content to manage, the quality control team may overlook defects or bugs that would have been caught in a less content-heavy project.

Problem evaluation: Managing projects with a lot of content is a daunting task. They are always prone to delays due to unforeseen issues. Often, in a project with too much content, there is a lot of pressure on the team to deliver on time, leading to errors and omissions that may go unnoticed. This could lead to the launch of a low-quality product that could harm Apple's reputation. Inadequate project management could lead to delays and miscommunication, which may be detrimental to the project's success.

Solutions to solve the problem: There are various solutions to the problem of content-loaded projects. One solution would be to employ more staff members to manage the project. This could ensure that each component of the project is being closely monitored and developed without compromising quality. Another solution would be to prioritize the development of important features of the project that add value to the product. This would ensure that the project is not delayed due to insignificant features that could be added later on. Lastly, Apple could use agile project management techniques that allow the team to be flexible and adapt to changes in the project as needed. This could lead to a more efficient and cost-effective process, which would ultimately benefit the company.

To know more about content-loaded projects visit:

https://brainly.com/question/33213206

#SPJ11

Vital Energy (as discussed in class) is a good example of a young company taking advantage of creative buzz marketing techniques. For example, they have been known to build snowmen in the middle of the night on college campuses and in common public areas. People then stop and stare and tell others about what they saw. How do their actions increase demand for the Vital Energy product?
Other young consumers become motivated to create their own user-generated advertising.
Celebrity endorsers reach out to the company to try and negotiate a sponsorship contract.
People spread positive word of mouth about the company and the product.
Consulting agencies take note and try to hire the members of the company.
Retailers see the story on the news and want to try their own buzz marketing techniques.

Answers

Vital Energy uses buzz marketing techniques to increase demand for their product. Buzz marketing can create consumer excitement and demand by using unique marketing methods to reach consumers.

The use of creative buzz marketing by Vital Energy is a good example of how a young company can take advantage of this technique to generate interest in its products. Vital Energy uses several buzz marketing techniques that are unique, and they have been successful in building consumer interest and demand for their products.

Vital Energy's snowman building is an example of buzz marketing, which captures the attention of people walking by, thus increasing brand visibility and creating brand recall. This activity causes people to take notice, and as a result, they spread positive word of mouth about the company and the product.

The buzz marketing campaign's success can also motivate other young consumers to create their user-generated advertising and make them feel part of the brand.Vital Energy's buzz marketing campaign may also attract the attention of celebrity endorsers, who may want to try and negotiate a sponsorship contract with the company.

In addition, consulting agencies may try to hire members of the company because of their unique marketing skills. Also, retailers may see the story on the news and want to try their buzz marketing techniques. These outcomes increase demand for the product, and Vital Energy can make more sales, which is the ultimate goal of their buzz marketing campaign.

To know more about techniques visit:

https://brainly.com/question/31591173

#SPJ11

An offeror's intent to be bound to an offer is determined by:
Group of answer choices
A. the offeree's ratification of the statement.
B. how a reasonable person would interpret the offeror's statement.
C. the subjective belief of the parties.
D. the type of consideration being offered.

Answers

An offeror's intent to be bound to an offer is determined by how a reasonable person would interpret the offeror's statement. A statement can only be considered an offer if a reasonable person in the offeree's position would interpret it as such.

The offeror's intent to be bound to an offer is determined by the objective test:

The viewpoint of a reasonable person. The interpretation of the language of the offer and the circumstances surrounding it are examined in the light of what a reasonable person in the offeree's position would understand.

An invitation to deal or an invitation to make an offer is not a legal offer since it does not include a definite promise to enter into a contract with the offeree. The type of consideration being offered is not a consideration in determining the offeror's intent to be bound to an offer.

To know more about determined visit:

https://brainly.com/question/29898039

#SPJ11

2) Define and explain the Pigouvian Taxes in details and give example.

Answers

Pigouvian taxes are taxes levied by the government on products and services that are harmful to the environment or society to internalize the negative externalities produced by the consumption of such products and services.

What are Pigouvian Taxes?

Pigouvian taxes, often referred to as sin taxes, are taxes levied on products and services that have negative externalities, such as alcohol, tobacco, gasoline, and other items. These taxes are intended to make consumers pay for the costs of the negative externalities produced by their consumption.

Example:An example of a Pigouvian tax is a tax on gasoline, which is meant to incentivize individuals to drive less and encourage them to switch to alternative, greener modes of transportation. The taxes collected can be used to offset the negative externalities generated by gasoline usage, such as environmental pollution and congestion.

To summarize, Pigouvian taxes are taxes imposed by the government on products or services that cause externalities that are harmful to society or the environment. They aim to encourage people to internalize the costs of these externalities, hence making them pay for them.

To know more about consumption visit :

https://brainly.com/question/31868349

#SPJ11

Which of the following is NOT one of the rights mentioned under the Consumer Bill of Rights? A. Consumers have a right to be heard. B. Consumers have a right to be educated about purchases. C. Consumers have a right to choose what they buy. D. Consumers have a right to safe products. E. Consumers have a right to have environmentally friendly products.

Answers

Option E - Consumers have a right to have environmentally friendly products, is NOT one of the rights mentioned under the Consumer Bill of Rights.The right of consumers to have environmentally friendly products is NOT one of the rights mentioned under the Consumer Bill of Rights.

The Consumer Bill of Rights is a set of guidelines for ethical business conduct aimed at the consumer. In 1962, President John F. Kennedy established these rights to safeguard customers from unethical corporate practices.The rights mentioned under the Consumer Bill of Rights are:

Consumers have a right to be heard.Consumers have a right to be educated about purchases.Consumers have a right to choose what they buy.Consumers have a right to safe products.

Therefore, option E - Consumers have a right to have environmentally friendly products, is NOT one of the rights mentioned under the Consumer Bill of Rights.

For more question on Consumer Bill of Rights

https://brainly.com/question/14367791

#SPJ8

Describe a current governmental or political issue or problem of importance.
• Address the various sides of the current issue and draw personal conclusions based on analysis of the issue.
• demonstrate an understanding of its complexities.
• Present an informed evaluation of the evidence and the different viewpoints surrounding the topic.
• Compare and contrast the different viewpoints of the sources cited, taking into account position limits. Analyze and question your sources’ assumptions.

Answers

The world is experiencing a political issue that has so far spread across the globe, which is the issue of Climate Change. This issue is getting worse by the day as temperatures increase worldwide. The change in weather patterns and the rise in sea levels are some of the adverse effects of this problem. The adverse effects of this issue cut across every sector of the economy.

Various sides of the issue have been expressed, with some people believing that climate change is a myth while others see it as a reality. Some people argue that climate change is not caused by human activities but rather by natural causes, while others believe that human activities cause climate change. There is also a group that believes that the government should play a more active role in finding solutions to this problem while others think that the government should not interfere with the market forces that have led to the current situation.

To sum up, climate change is a global issue that must be addressed urgently. There are various sides to the issue, and it is a complex problem that requires a multidisciplinary approach. Governments must play an active role in finding solutions to this problem while taking into consideration the interests of various stakeholders. It is only through a collaborative approach that we can find sustainable solutions to this problem.

To know more aboit experiencing visit:

https://brainly.com/question/6895280

SPJ11

madison spent 5/8 of her savings on a microwave and a fridge. she used 4/7 of the amount she spent to buy the fridge. the fridge cost $280 more than the microwave. how much savings did madison start with

Answers

Madison started with $2240 in savings.To find out how much savings Madison started with, we need to work backwards from the information given in the question.



First, we know that Madison spent 5/8 of her savings on a microwave and a fridge. This means that the amount she spent is 5/8 of her total savings.Next, we are told that Madison used 4/7 of the amount she spent to buy the fridge. This means that the amount she spent on the fridge is 4/7 of the total amount she spent.We also know that the fridge cost $280 more than the microwave.

Let's say the cost of the microwave is x. Then the cost of the fridge would be x + $280.Now, we can set up an equation using the information we have:5/8 * total savings = amount spentLet's solve this equation step-by-step Set up the equation:Simplify the equation:Multiply both sides of the equation by 56 to eliminate the fractions:Simplify the equation:Combine like terms:Divide both sides of the equation by 15 to solve for total savings.

To know more about Madison visit:

https://brainly.com/question/7659575

#SPJ11

The YTM on a bond is the interest rate you earn on your investment if you keep the bond until maturity. If you actually sell the bond before it matures, your realized return is known as the holding-period yield (HPY). (Do not round intermediate calculations. Round the final answers to 2 decimal places. Omit $ sign in your response.)
a. Suppose that today you buy a 12 percent annual coupon bond for $1.140. The bond has 19 years to maturity. What rate of return do you expect to earn on your investment?
Expected rate of return %
b-1. Two years from now, the YTM on your bond has declined by 1 percent, and you decide to sell. What price will your bond sell for?
Bond price
b 2. What is the HPY on your investment?
HPY

Answers

a. Calculation of expected rate of return of a 12% annual coupon bond priced at $1.140 with 19 years to maturity is as follows;The bond pays $120 in annual interest (=$1,140 × 0.12) for 19 years plus $1,000 at maturity.

The expected rate of return for the bond is calculated as the discount rate that makes the present value of these payments equal to the bond price. The expected rate of return is 9.90%.

The expected rate of return on the investment is 9.90%.

b-1. Calculation of bond price when YTM has declined by 1% after 2 years;The number of coupon payments remaining is 17 (19 - 2), and the coupon payment is $120. At a YTM of 11%, the bond price is $1,196.42.

The bond price would be $1,196.42 when YTM has declined by 1% after 2 years.

b 2. Calculation of holding-period yield (HPY) on the investment;The holding-period yield on the bond is the total dollar return earned over the investment's holding period divided by the investment's initial price. The total dollar return is the sum of coupon interest and the capital gain/loss. In this case, the bond is sold for $1,196.42 two years from now.

Total dollar return is $120 (coupon interest) + $56.42 (capital gain)= $176.42.

HPY on the investment is 7.14% (=$176.42 / $1,140).

To know more about rate of return visit:

https://brainly.com/question/17164328

#SPJ11

On August 1st, Rose Corporation purchased treasury stock for
$100,000, cash. On September 1st, Rose sold the treasury stock for
$80,000, cash. Rose does not have an additional paid in capita
account.

Answers

Therefore, the corporation should reduce its retained earnings by $20,000.

The term "treasury stock" is used to describe the stock a company has bought back from investors. It can be held by the corporation for its own use, sold back to the public at a later date, or retired. The amount of shares outstanding is reduced by the quantity of treasury stock.

Rose Corporation bought back treasury stock for $100,000 on August 1st.

This was financed with cash. On September 1st, the stock was sold for $80,000 in cash. Rose does not have an additional paid-in capital account.

The transaction should be treated as a decrease in retained earnings of $20,000.

The corporation should write down its treasury stock when it acquires it.

When it sells treasury shares for less than their cost, the difference between the proceeds from the sale and the amount the company paid for the stock should be debited to Retained Earnings.

The amount of retained earnings will be reduced by $20,000 due to the treasury stock sales.

The gain or loss on a treasury stock sale should be included in the income statement for the period in which the sale took place.

To know more about treasury stock visit:

https://brainly.com/question/28392297

#SPJ11

list the steps in the performance management process in the correct order, with the first step listed at the top and the last step listed at the bottom.

Answers

The steps in the performance management process in the correct order are Establishing goals and performance expectations, Providing regular feedback, Conducting formal performance reviews, etc.

1. Establish goals and performance expectations: This involves setting clear, specific, and measurable goals and performance expectations for each employee.

2. Provide regular feedback: Managers need to provide regular feedback to employees about their performance. This feedback can be both positive and constructive.

3. Conduct formal performance reviews: Formal performance reviews are usually conducted once or twice a year. During these reviews, the manager and employee discuss the employee's performance over the past year and set new goals for the coming year.

4. Set development plans: Based on the performance review, the manager and employee should collaborate on developing a development plan that focuses on improving the employee's skills and addressing any performance gaps.

5. Provide ongoing coaching: Managers should provide ongoing coaching and support to employees throughout the year to help them achieve their goals and improve their performance.

6. Recognize and reward good performance: Managers should recognize and reward employees who perform well. This can be through salary increases, promotions, or other forms of recognition such as employee of the month programs or bonus payments.

To learn more about performance management click here

https://brainly.com/question/33028404

#SPJ11

Consider the static model of the household discussed in Lecture 3. Suppose that instead of being subject to a lump-sum tax, the consumer faces a labour income tax and a consumption tax c . For simplicity, we normalize h (total time available) as 1 and there is no dividend income.
a) Write down the household’s budget constraint.
b) Draw the household’s budget constraint. What is the slope?
c) Find the , (Hint: using the Lagrange method, first order condition). How do the effects of and c relate to each other? Explain.
d) If the household choose C* and *, how much tax revenue does the government collect?
e) Suppose that the government had originally set c = 0 and > 0 and now wants to enact a tax reform that uses consumption taxes instead of income taxes. What would be the level of c that leaves the decisions of the household unchanged?
f) How much the revenue does the government collect under the new system? How does it compare to the old system?

Answers

Household’s budget constraint is given by: C = Y – T_c – T_h

The above equation is the household's budget constraint, where C is consumption, Y is income earned by the household, Tc is the consumption tax, and Th is the income tax.

b) The slope of the budget constraint is - (1 - Tc).

The -1 comes from the fact that the amount of consumption one can buy reduces by (1-Tc) for each unit of income earned.

c) To solve this problem, the Lagrange method will be used.

[tex]λL = U(C,H) + λ(Y - T_h H - T_c C - P C)[/tex]

Where λ is the Lagrange multiplier and P is the price of the consumption good.

The first-order conditions are:

∂λL/∂C = λ(1 - T_c P)

= 0∂λL/∂H = λ(Y - T_h - P) =

0∂λL/∂λ = Y - T_h H - T_c C - P C

= 0If [tex]∂λL/∂C = λ(1 - T_c P)

= 0∂λL/∂H = λ(Y - T_h - P)

= 0∂λL/∂λ = Y - T_h H - T_c C - P C = 0If[/tex]

Tc increases, the consumer's optimal consumption decreases, and leisure increases.

The two effects work in the opposite direction.

The substitution effect is negative, while the income effect is positive.

d) If the household chooses C* and H*, the tax revenue of the government is:

[tex]Tc C* + Th H*.[/tex]

e) The consumption tax and income tax should be equal for the decision of the household to remain the same.

[tex]Y - Tc = Y (1 - θ)Tc = θ Yf)[/tex]

The government revenue under the new tax system would be:

[tex](θ Y) C* + (1 - θ) Y H*[/tex]

The revenue in the new system depends on the value of θ.

As compared to the old system, the government will collect more or less revenue based on the value of θ.

To know more about budget visit:

https://brainly.com/question/31952035

#SPJ11

A firm's inverse-demand curve is P(Q)=100−4Q and its total cost curve is C(Q)=20Q, where P is price and Q is quantity. (i) Solve for optimal P ∗ and Q ∗
under the monopoly pricing rule. (ii) Calculate the deadweight loss to society from monopoly pricing

Answers

Optimal P* and Q* under the monopoly pricing ruleAs per the problem, A firm's inverse-demand curve is P(Q)=100−4Qand its total cost curve is C(Q)=20QGiven that the inverse-demand function for the firm is P(Q) = 100 - 4Q, the marginal revenue (MR) is: MR = 100 - 8Q Total cost function is C(Q) = 20QThe profit function is π (Q) = TR(Q) - TC(Q) = Q(100 - 4Q) - 20Qπ(Q) = 80Q - 4Q²The first-order condition for maximization isπ' (Q) = 0=> 80 - 8Q = 0=> Q* = 10.

The optimal Q* is 10.Substituting this value of Q in the inverse demand function, we get:P(Q*) = 100 - 4Q*=> P* = 60Therefore, the optimal price P* and optimal quantity Q* under the monopoly pricing rule are 60 and 10, respectively. (ii) Deadweight loss to society from monopoly pricing The deadweight loss to society from monopoly pricing is given by the formula:DWL = ½ (Pm - Pc) (Qm - Qc).

Here, Pm is the monopoly price, Pc is the price under perfect competition, Qm is the quantity sold under monopoly pricing, and Qc is the quantity sold under perfect competition. We already know the values of Pm and Qm.

i.e., 60 and 10, respectively.For perfect competition, the price equals marginal cost, which in this case is the same as the average cost because the firm has constant marginal costs AC(Q) = C(Q)/Q = 20Q/Q = 20.

Therefore, the price under perfect competition is: Pc = AC(Q*) = 20The quantity sold under perfect competition is: Qc = P/AC = 60/20 = 3Thus, the deadweight loss to society is:DWL = ½ (Pm - Pc) (Qm - Qc)= ½ (60 - 20) (10 - 3)= 210The deadweight loss to society from monopoly pricing is 210.

To know more about inverse-demand visit:

https://brainly.com/question/28484263

#SPJ11

What is the float and how can a company use it for working capital? Provide an example that illustrates how it happens.

Answers

Float refers to the funds that have been deposited by a company, but have not been cleared yet. Float occurs due to a delay between the time when the bank receives a deposit from a company and the time it's cleared.

Float is the amount of money that a company deposits, but it hasn’t cleared yet. Float happens when the bank receives the company’s deposit, and there is a delay before it’s cleared. The float is divided into two categories, namely collection float and disbursement float.

A company can use the float to help it increase its working capital. This can be done by using the float to pay for purchases of goods and services before the funds are cleared. The company can then repay the funds to the bank once it receives payment from its customers.

Float has a direct impact on a company's working capital. It is the difference between the company's bank balance and its available funds. A company can use the float to increase its working capital, as the funds are not yet cleared, allowing the company to use them for purchases of goods and services.

For example, a company may deposit a check for $10,000 on Monday, but the funds will not be cleared until Wednesday. The company can use the $10,000 to pay for purchases of goods and services before Wednesday. Once the funds are cleared, the company can then repay the bank the $10,000 they borrowed to cover the purchases. By using the float in this manner, a company can increase its working capital, allowing it to operate more efficiently.

Learn more about disbursement float: https://brainly.com/question/15570504

#SPJ11

Tobacco Master (references needed)
Research all the information you can from the company website, industry
reports, research papers, news etc. to understand and study the nature of the
business.
 What kind of business they have
 What do they sell
 How long they are in the business
 Who are their target market
 What is their product.

Answers

Tobacco Master is a private limited company that operates in the tobacco industry. They were established in 2018, and their headquarters are in London, United Kingdom. They specialize in the wholesale distribution of tobacco products, including cigarettes, cigars, rolling tobacco, and snus.

Tobacco Master's primary customers are other companies that operate in the tobacco industry, such as retailers and wholesalers. They operate primarily in the United Kingdom, but they also serve customers in other countries, such as Italy and France. According to the company's website, their mission is to provide high-quality tobacco products to their customers at competitive prices.

The tobacco industry is a highly regulated industry, and companies like Tobacco Master must comply with a range of laws and regulations. In the United Kingdom, the sale of tobacco products is regulated by the Tobacco and Related Products Regulations 2016. These regulations require companies to comply with a range of requirements, such as displaying health warnings on cigarette packets and ensuring that tobacco products are not sold to minors.As the tobacco industry continues to evolve, it will be interesting to see how Tobacco Master adapts to new trends and regulations.

To know more about tobacco visit:

https://brainly.com/question/32881991

#SPJ11

most exchange traded currency options a. mature every month, with daily resettlement. b. have original maturities of 1, 2, and 3 years. c. have original maturities of 3, 6, 9, and 12 months. d. mature every month, without daily resettlement.

Answers

option c: most exchange-traded currency options have original maturities of 3, 6, 9, and 12 months.most exchange traded currency options have original maturities of 3, 6, 9, and 12 months, providing traders with flexibility in choosing the appropriate time horizon for their trading strategies.


Exchange traded currency options are financial derivatives that give the buyer the right, but not the obligation, to buy or sell a specified amount of a currency at a predetermined exchange rate within a certain time period. These options are typically traded on organized exchanges, such as the Chicago Mercantile Exchange. The original maturity refers to the length of time from the date of the option contract until the expiration date. In the case of most exchange traded currency options, they have original maturities of 3, 6, 9, and 12 months. This means that when a trader buys or sells a currency option, it will have an expiration date that falls within one of these time periods.

Having options with multiple maturities allows traders to choose the time horizon that aligns with their trading strategies and market outlook. It provides flexibility in terms of the length of time the option is valid and can be exercised.It's important to note that while option contracts have original maturities of 3, 6, 9, and 12 months, they can still be traded and closed out before the expiration date if the trader wishes to do so. This allows traders to manage their positions and take advantage of market movements even before the option reaches its original maturity.

To know more about currency visit:
https://brainly.com/question/15586598
#SPJ11

An example of assonance is __.
a)
The hole in the ozone is growing.
b)
Give me liberty or give me death.
c)
We shall pay any price, bear any burden, meet any hardship
d)
I could kill for a cup of coffee right now.

Answers

Option (d) "I could kill for a cup of coffee right now." is the correct answer as an example of assonance.

Assonance is the repetition of vowel sounds in nearby words. An example of assonance is "I feel the need for speed." The "ee" sound in "need" and "speed" is repeated.

Another example of assonance is "Hear the mellow wedding bells" because the "e" sound is repeated in "mellow" and "wedding."Similarly, "Do you like blue?" is another example of assonance because of the "oo" sound in "blue" and "you."As per the given options, "I could kill for a cup of coffee right now." is an example of assonance. The "i" sound in "kill," "for," and "coffee" is repeated, creating an assonant sound.

for such more questions on assonance

https://brainly.com/question/32204853#SPJ8

risk for the businers. Please is important to identifying risks of material misstatement in financial statements or met, First you must substantive work? Explain. explain your reasoning. Second you must determine if a combined approach for testing control is requited or on substantive work? Explain. Company A A monthly analysis for liventory is completed to ensure inventory is sufficient and that they are staying within budget. A concern is that cost overruns will occur if no action is taken when it is apparent that they are outside the budget. Company B The company has a complete online sales ordering system. The customers enter all information including a credit card and its validated and if oka the order is processed. This also includes verification of availability of the product and making all financial transactions into the accounting system. Company C Higher than a $ dollar store mainly has transactions of cashsalas

Answers

In order to identify the risks of material misstatement in financial statements, substantive work is necessary.

This work includes examining and verifying financial records, transactions, and accounts, as well as performing analytical procedures. A combined approach for testing control is required if the auditor believes that controls may not be operating effectively and a combination of control testing and substantive procedures is necessary to obtain sufficient evidence.

The reason for this is that controls are put in place to reduce the risk of material misstatement, but they may not always be operating effectively, which is why substantive procedures are necessary. For Company A, the concern is that cost overruns will occur if no action is taken when it is apparent that they are outside the budget.

This is a risk that needs to be addressed by management, and auditors should ensure that the company has adequate controls in place to monitor and report on budget variances.

For Company B, the online sales ordering system includes verification of availability of the product and making all financial transactions into the accounting system.

To know more about misstatement visit:

https://brainly.com/question/29219333

#SPJ11

suppose gdp is $10 billion, consumption expenditure is $7 billion, investment is $2 billion, and government expenditures on goods and services is $2 billion. net exports of goods and services must be

Answers

net exports of goods and services must be  -$1 billion implying that the country has a trade deficit.

How to calculate net export

To determine the net exports of goods and services, we can use the following equation:

GDP = C + I + G + NX

where

GDP is the gross domestic product,

C is the consumption expenditure,

I is the investment, G is the government expenditures on goods and services, and

NX is the net exports of goods and services.

Substitute the given values, in the equation

$10 billion = $7 billion + $2 billion + $2 billion + NX

NX = $10 billion - $7 billion - $2 billion - $2 billion

= -$1 billion

Since the value of NX is negative, this means that the country has a trade deficit, i.e., its imports of goods and services are greater than its exports of goods and services.

Learn more on GDP on https://brainly.com/question/31199521

#SPJ4

For a salesperson, the best-selling tool is most often:A) a brochure.B) videocassette recordings.C) a photograph or illustration.D)the product itself. E) testimonials of satisfied customers

Answers

The best-selling tool for a salesperson can vary depending on the context and the specific product or service being sold. However, based on the given options, the answer that generally holds true is: D) the product itself.

In many cases, the product itself is the most effective selling tool. Being able to demonstrate the features, quality, and benefits of the product directly to potential customers can have a significant impact on their purchasing decisions. When customers can see, touch, or experience the product firsthand, it can create a stronger impression and build trust.

While brochures, videocassette recordings, photographs, illustrations, and testimonials can be useful supporting materials, they often serve as supplements to the product demonstration. These tools can provide additional information, visual aids, or social proof to enhance the sales process. However, the product itself remains the primary focus and the most influential selling tool for a salesperson.

To learn more about, salesperson, click here, https://brainly.com/question/28336031

#SPJ11

the conceptual anchor that suggests that ob should be studied using evidence-based management and methodical research techniques is the _____ anchor.

Answers

The conceptual anchor that suggests that OB should be studied using evidence-based management and methodical research techniques is the Scientific anchor.

OB (Organizational Behavior) is a field of study that investigates how people, organizations, and structures interact.

It involves the study of human behavior in organizations and the factors that affect this behavior.

How is OB studied?

OB is studied using evidence-based management and methodical research techniques.

These techniques include systematic observation, controlled experiments, and quantitative analysis.

What is the Scientific anchor?

The Scientific anchor is a conceptual anchor that suggests that OB should be studied using evidence-based management and methodical research techniques.

It is grounded in the belief that OB can be studied using the same scientific methods used in other disciplines,

such as physics, chemistry, and biology.

As such, it emphasizes the importance of empirical research,

data analysis, and the use of scientific theories and models to understand and explain organizational behavior.

The Scientific anchor also promotes the use of quantitative methods to measure and analyze the behavior of individuals and groups within organizations.

This involves the use of statistical analysis,

hypothesis testing,

and other mathematical techniques to study the relationships between variables and to develop predictive models that can be used to guide decision-making in organizations.

To know more about methodical visit:

https://brainly.com/question/5082157

#SPJ11

what is the pricing model that enables aws customers to pay for resources on an as-needed basis

Answers

The pricing model that enables AWS customers to pay for resources on an as-needed basis is known as the Pay-as-you-go pricing model.

Pay-as-you-go pricing is a type of pricing model in which customers are only charged for the services they consume, and they are charged on an hourly basis, meaning that they only pay for what they use and can stop using a service at any moment without incurring any additional costs.This model is suitable for customers who are new to AWS, who only want to try out the services for a short period, or who require resources for temporary or short-term projects, since it offers flexibility and cost-effectiveness.It's also helpful for consumers who have fluctuating demands, since they can increase or decrease their resources as needed without worrying about long-term commitments. This model is ideal for businesses that want to avoid any upfront expenses and that have uncertain or changing workloads.

To know more about customers visit:

https://brainly.com/question/31192428

#SPJ11

We want to fund 450,000 8 years after, how much we put
every 3 months to reach the amount at 3% interest rate quarterely
compounded.

Answers

To find the amount to be put every 3 months to reach the fund of 450,000, 8 years after, we need to use the formula for compound interest. Let's assume that the interest rate is 3% quarterly, and the time is 8 years, or 32 quarters. Let P be the amount to be put every three months.

Then the future value of the investment will be given by the formula:FV = P(1 + i)ⁿ - 1 / i,where i is the interest rate per quarter, n is the number of quarters, and FV is the future value of the investment. Substituting the given values, we get:FV = P(1 + 0.03)³² - 1 / 0.03 = 450,000Multiplying by 0.03 on both sides, we get:P(1 + 0.03)³² - 1 = 13,500Dividing by (1 + 0.03)³² - 1, we get:P = 13,500 / (1.03³² - 1) ≈ 2,222.84Rounding off to two decimal places, we get that the amount to be put every three months is $2,222.84.We need to put $2,222.84 every three months to reach the fund of $450,000, 8 years after, at a 3% interest rate quarterly compounded.

To know more about amount visit:

https://brainly.com/question/32453941

#SPJ11

Research the development of Hollywood film and media franchises in the 2000s and beyond. What is the historical background to the development of these franchises? How do these franchises exploit an intellectual property? How do franchises exploit serial media formats? How do these franchises relate to notions of commercial intertexts and the role of multinational corporations? Is there a relationship between these franchises and Hollywood's global capitalism?

Answers

The development of Hollywood film and media franchises in the 2000s and beyond The history of Hollywood film and media franchises can be traced back to the late 1970s and early 1980s when movies like Star Wars and Indiana Jones were released.

These movies were huge commercial successes and led to the creation of many sequels and spin-offs. The 2000s saw a renewed interest in film franchises with the release of The Lord of the Rings trilogy and the Harry Potter series. These franchises proved to be extremely profitable, with each movie grossing over a billion dollars at the box office. Intellectual property is one of the key factors that drive the development of these franchises.

Franchises are designed to be profitable, and multinational corporations are willing to invest in them because of their potential for high returns. In conclusion, the development of Hollywood film and media franchises in the 2000s and beyond can be traced back to the success of movies like Star Wars and Indiana Jones.

These franchises exploit intellectual property and serial media formats to create a recognizable brand and to increase engagement with fans. Franchises also rely on commercial intertexts to generate revenue, and multinational corporations play a significant role in their development.

To know more about Hollywood visit:

https://brainly.com/question/32288337

#SPJ11

1. What is "Tiramisu"? 2. Which cheese is used in making of Tiramisu? 3. What is the strength of the cream used in making desserts? 4. What is lady finger cookie? 5. Which cheese is used for Canoli filling? 6. What is Canoli? 7. Which is the second prominent flavour in Tiramisu other than the cheese?

Answers

1. Tiramisu is an Italian coffee-flavored dessert. The name Tiramisu comes from the Italian phrase “Tira Mi Su,” which means “lift me up.”

2. The cheese that is used in the making of Tiramisu is mascarpone cheese. Mascarpone cheese is an Italian cream cheese that is smooth, buttery, and rich. It is used in many Italian dishes.

3. The strength of the cream used in making desserts is fat content. The cream used in making desserts has to have a high-fat content. This is because the fat content is what gives the cream its richness and texture.

4. Ladyfinger cookies are delicate and light sponge cookies that are shaped like fingers. They are often used in desserts such as Tiramisu.

5. The cheese that is used for Cannoli filling is Ricotta cheese.

6. Canoli is an Italian dessert that is made up of a tube-shaped shell that is filled with sweetened ricotta cheese. The shell of the Canoli is made of fried pastry dough, and the filling is usually sweetened with sugar.

7. The second prominent flavor in Tiramisu other than the cheese is coffee. Tiramisu is a coffee-flavored dessert, so it is not surprising that coffee is the second prominent flavor in Tiramisu. The coffee flavor is usually achieved by soaking the ladyfinger cookies in espresso or coffee syrup.

To know more about Tiramisu visit:

https://brainly.com/question/29990181

#SPJ11

Task oriented group discussions need to generate ideas. Which of these leadership behavior help the group start to move toward its goal?

A. initiating

B. coordinating

C. elaborating

D. summarizing

Answers

Task-oriented group discussions need to generate ideas. The leadership behavior that helps the group move toward its goal is initiating. Initiating leadership behavior involves the leader suggesting ideas and proposing solutions to the problem at hand.

The goal of a task-oriented group discussion is to generate ideas. Task-oriented group discussions are meetings where individuals come together to brainstorm and develop a plan of action to solve a particular problem. In such discussions, the leadership style adopted by the leader is crucial to the success of the group.The initiating leadership behavior is most appropriate in this situation.

Initiating leadership behavior involves the leader suggesting ideas and proposing solutions to the problem at hand. In this context, the leader should be able to stimulate discussion and generate new ideas for the group to consider. The leader should be confident in presenting his or her own ideas while also encouraging others to contribute theirs.

The coordinating leadership behavior, on the other hand, is essential when the group is actively involved in carrying out its plan. The coordinating leader must ensure that all members are working together, that everyone is on the same page, and that the task is completed on time. They must be proactive in communicating with the group members and be ready to intervene in case of any disagreements.

To know more about leadership visit:

https://brainly.com/question/32010814

#SPJ11

Trading blocs are an important aspect of our course. The European Union(EU) describes 4 fundamental freedoms of goods, services, people, andcapital. Describe how the BRI as championed by China gives Chinesefirms a very big competitive advantage as well as makes China thedominant economy in the world in the next few years.

Answers

The Belt and Road Initiative is helping China to become a dominant player in global trade.

The Belt and Road Initiative (BRI) of China is giving Chinese firms a very big competitive advantage as well as making China the dominant economy in the world in the next few years. China is building infrastructure projects in different countries in Asia, Africa, Europe, and the Middle East. BRI aims to create a network of railways, highways, ports, and airports, which will allow China to have faster and more efficient access to these countries.

The infrastructure projects of BRI have two main benefits to China. Firstly, China is able to export its excess production capacity. China is the world's largest producer of steel, cement, and other construction materials. With the infrastructure projects of BRI, China has found new markets for its products.

Secondly, China's infrastructure projects are creating a network of interdependent countries. As these countries become more dependent on China, they are more likely to align with China on other issues such as trade. China's increasing influence is a threat to the dominance of the United States in global trade. In conclusion, the Belt and Road Initiative is helping China to become a dominant player in global trade.

To know more about global trade visit:

https://brainly.com/question/32321422

#SPJ11

tan Company purchased a large server for $ 38500.the Company paid 45.00%of the value as a down payment and received a loan for the balance at 5.25% compounded monthly. the loan has a term of 5 years and tan Company has to make month end payments to settle the loan.
1.what is the size of month end payments.
2. what was total amount paid to settle the loan?
3. calculate the total amount of interest paid throughout the term of the loans

Answers

Given: The tan Company purchased a large server for $ 38500. The Company paid 45.00% of the value as a down payment and received a loan for the balance at 5.25% compounded monthly.

The loan has a term of 5 years.

Solution:

Given: Cost of the server = $ 38500Down payment made by the company = 45.00% = 0.45

Balance payment to be made through the loan = $ 38500 - (0.45 * 38500) = $ 21175Principal amount = $ 21175Interest rate = 5.25% compounded monthly

Time period = 5 years = 5 * 12 = 60 months1.

Size of month-end payments:

In order to calculate the size of month-end payments, we have to first calculate the number of monthly payments required for the loan.

N = 60, i = (5.25/12)/100, P = 21175

Monthly payment amount = (P * i)/(1 - (1 + i)^(-N))= (21175 * (5.25/12)/100) / (1 - (1 + (5.25/12)/100)^(-60))= $ 406.29

Therefore, the size of month-end payments is $ 406.29 (approx).

2. Total amount paid to settle the loan:

The total amount paid to settle the loan is the sum of the down payment made by the company and the total amount of payments made at the end of the loan term.

Down payment = 0.45 * 38500 = $ 17325Total amount of payments made at the end of the loan term = $ 406.29 * 60 = $ 24377.40Therefore, the total amount paid to settle the loan = $ 17325 + $ 24377.40= $ 41702.40 (approx)

3. Total amount of interest paid throughout the term of the loan:

The total amount of interest paid throughout the term of the loan is the difference between the total amount paid to settle the loan and the principal amount.

Total interest paid = $ 41702.40 - $ 21175= $ 20527.40

Therefore, the total amount of interest paid throughout the term of the loan is $ 20527.40 (approx).

To know more about interest visit:

https://brainly.com/question/15037155

#SPJ11

You establish a straddle on Walmart using September call and put options with a strike price of $98. The call premium is $7.90 and the put premium is $8.65. a. What is the most you can lose on this position? (Input the amount as positive value. Round your answer to 2 decimal places.) Maximum loss b. What will be your profit or loss if Walmart is selling for $100 in September? (Input the amount as positive value. Round your answer to 2 decimal places.) of c. At what stock prices will you break even on the straddle? (Input your answers from highest to lowest to receive credit for your answers. Round your answers to 2 decimal places.) Break even prices [ and

Answers

a. The maximum loss would be $7.90 + $8.65 = $16.55.

b.The overall profit or loss would be $-5.90 + $-10.65 = $-16.55 (or a loss of $16.55).

c.The break-even prices for the straddle would be $105.90 (upper break-even price) and $89.35

a. The maximum loss on the straddle position can be calculated by adding the premiums of the call and put options. In this case, the call premium is $7.90 and the put premium is $8.65. Therefore, the maximum loss would be $7.90 + $8.65 = $16.55.

b. To determine the profit or loss if Walmart is selling for $100 in September, we need to consider the options that are in the money. Since the strike price is $98, both the call and put options would be in the money.

For the call option, the profit would be the difference between the selling price ($100) and the strike price ($98) minus the call premium ($7.90). Therefore, the profit from the call option would be $100 - $98 - $7.90 = $-5.90 (or a loss of $5.90).

For the put option, the profit would be the difference between the strike price ($98) and the selling price ($100) minus the put premium ($8.65). Therefore, the profit from the put option would be $98 - $100 - $8.65 = $-10.65 (or a loss of $10.65).

To calculate the overall profit or loss, we add the profits or losses from the call and put options. In this case, the overall profit or loss would be $-5.90 + $-10.65 = $-16.55 (or a loss of $16.55).

c. The break-even prices for the straddle can be calculated by adding or subtracting the premiums from the strike price. In this case, the strike price is $98.

To calculate the upper break-even price (the price at which the call option starts making a profit), we add the call premium of $7.90 to the strike price. Therefore, the upper break-even price would be $98 + $7.90 = $105.90.

To calculate the lower break-even price (the price at which the put option starts making a profit), we subtract the put premium of $8.65 from the strike price. Therefore, the lower break-even price would be $98 - $8.65 = $89.35.

Therefore, the break-even prices for the straddle would be $105.90 (upper break-even price) and $89.35 (lower break-even price).

To know more about profit or loss refer here:

https://brainly.com/question/32126602

#SPJ11

List the factors that help establish the ethics (and legality)
of gift giving and receiving.

Answers

The ethics and legality of gift giving and receiving can be influenced by several factors.

Intentions: The intention behind the gift plays a significant role. Gifts given with pure intentions, such as appreciation or celebration, are generally viewed positively.

Reciprocity: The expectation of receiving something in return can raise ethical concerns. Gifts should not be used as a means to gain unfair advantages or manipulate others.

Transparency: Transparency in gift giving and receiving is essential. Disclosing the nature and value of gifts helps maintain trust and avoids conflicts of interest.

Legal requirements: Compliance with legal regulations and policies is crucial. Some organizations have specific guidelines or limits regarding gifts to prevent bribery, corruption, or conflicts of interest.

Fairness and equality: Gifts should be given and received fairly and without bias. Equal treatment of individuals helps ensure ethical practices.

Relationship and context: The nature of the relationship and the context in which the gift is exchanged can influence its ethics. In professional settings, gifts should not compromise objectivity or create a perception of favoritism.

Cultural and social norms: Cultural and social norms play a role in defining acceptable gift-giving practices. Understanding and respecting these norms helps establish ethical boundaries.

Disclosure and approval: In certain situations, gifts may require disclosure and approval from relevant authorities, such as in the case of public officials or employees of organizations with specific policies.

It is important to note that ethical considerations may vary in different contexts, cultures, and legal jurisdictions. Consulting relevant guidelines, policies, and legal frameworks can provide further guidance in establishing the ethics and legality of gift giving and receiving.

Learn more about the ethics from the given link:

https://brainly.com/question/26273329

#SPJ11

Verde Company reported operating costs of $42,000,000 as of December 31, 20x5, with the following environmental costs:
Testing for contamination $ 672,000
Inspecting products 798,000
Treating toxic waste 1,974,000
Obtaining ISO 14001 certification 714,000
Designing processes 756,000
Cleaning up oil spills 2,646,000
Maintaining pollution equipment 1,008,000
Cleaning up contaminated soil 4,368,000

Answers

Verde Company incurs these environmental costs to reduce environmental risks, as well as to improve the health and safety of its workers and customers.

Verde Company, as of December 31, 20x5, had reported operating costs of $42,000,000.

The following environmental costs were also incurred: Testing for contamination $ 672,000, inspecting products $ 798,000

treating toxic waste $ 1,974,000, obtaining ISO 14001 certification $ 714,000, designing processes $ 756,000

cleaning up oil spills $ 2,646,000, maintaining pollution equipment $ 1,008,000 and cleaning up contaminated soil $ 4,368,000.The environmental costs incurred by the Verde Company amount to $13,932,000 in total.

Of these, cleaning up contaminated soil has the highest cost, followed by cleaning up oil spills and treating toxic waste.

Obtaining ISO 14001 certification has the lowest cost, followed by testing for contamination.

To know more about operating visit:

https://brainly.com/question/30581198

#SPJ11

Other Questions
Let h be the function defined by the equation below.h(x) = X - x + x + 3Find the following.h(-8) =h(0) =h(a) =h(-a) = Evaluate how the following situations will affect the demand curve for iPods .A. Income statistics show that the income of 1825-year-old citizens has increased by 10 percent over the last year.B. Believing that it has significant control of the portable digital music players market, Apple decides to raise the price of iPods to increase profits.C. The price of movie tickets decreases. 1. Classify each of the following annuities by the date of payment and conversion period: a. Regular contributions of $200 are made at the end of each month for five years into a savings account caming interest at 4% compounded quarterly. b. You start to save for a major purchase. You can invest $329 every three months starting today for 5 years and 9 months. You are able to eam 5.87% compounded semi-annually. c. Monthly payments of $100.00 made at the end of each month for ten years earning interest at 12% p.a. compounded monthly. d. Steve deposited $600.00 in a trust account on the day of his son's birth and every three months thereafter in order to plan and pay for his son's higher education. If interest paid is 7.2% compounded quarterly. e. A dealer sold a car to Kristy for $2000 down and monthly payments of $259.50 for 3.5 years, including interest at 7.5% compounded annually. f. Sofia plans to save for next two years. She plans toput away $1000 every 6 months starting 6 months from now and her savings accounts carns at a rate of 8% compounded semiannually. g. A lease requires payments of $1200.00 at the beginning of every quarter for ten years, If interest is 6% compounded monthly. h. A vacation property was bought by making semi-annual payments of $7500.00 for seven years. If the first payment is due on the date of purchase and interest is 6% p.a. compounded quarterly. i. Payments of $500.00 are made at the beginning of each month for four years. The interest rate is 4.5% compounded monthly. j. The loan will have a term of 54 months and monthly payments of $385.13. The interest rate on the loan is 8.84% compounded quarterly. discuss how newton's law of universal gravitation can be used to explain the movement of a satellite and how it maintains its orbit. you must provide the necessary equations and examples with calculations. Complete the code below to calculate and print the volume of a square pyramid. Output should be informative and professional. This question is worth 25/100 points. The formula for the volume of a square pyramid is: Volume = 3l 2hwhere I is the length and h is the height int main(void) \{ //declare input variables //declare output variables //prompt and read values for length and height //calculate volume of the square pyramid //output the volume of the square pyramid A paleontologist works at two different sites. At his inland site, he finds fossils of a unicellular protist at a density about 3 Individuals/m2, within sedimentary rock with some Igneous rock that he dates to about one million years old. At the coastal site, Inrocks of about the same age, he finds fossils of large mussels, also at an average density of who is responsible if an inappropriate scope of work is used in an appraisal assignment?\ Process times on a machine are known to have mean of 7 minutes. A histogram shows a bell-shaped distribution with a minimum at 2 minutes, so you do not want simulated value below that threshold.a) What is the maximum standard deviation that is reasonable for a normal distribution to apply?b) If a Pert distribution is used, what is the standard deviation? Simplify to a single power of 6:66646 46 6 What happens at subduction zones?Huge earthquakes occur constantly.Plates slide past one another without creating or destroying lithosphere.Plate edges move away from one another.Where plates converge, one plunges into the deeper mantle while the overriding plate experiences volcanic activity and buckling that uplifts tall mountain ranges Let L(x,y) be a predicate " x loves y ". The domain of x and y is the set of all people. Translate to following First Order Logic sentences into plain English. 2.1xy(L(x,y)) 2.2xyz(L(x,y)L(x,z)(y=z)w(L(x,w)((w=y)(w=z)))) How many key comparisons does insertion sort make to sort a list of 20 items if the list is given in reverse order? suppose it were proved that liquidity traps do not occur and that investment is not interest insensitive. would this be enough to disprove the claim that expansionary monetary policy is not always effective at changing real gdp? why or why not chris says he loves betsy but he's not sure they have a future together. chris's feelings toward betsy indicate What are some mining activities? is a sock drawer homogeneous or heterogeneous In relation to employment law, condonation on the part of the employer will have the effect ofQuestion 4 options:allowing the employer to fire an employeepreventing the employer from disciplining an employeeincreasing the reasonable notice period for terminating an employee----------What is the difference between a bankrupt debtor and an insolvent debtor?Question 5 options:bankruptcy is a legal status ordered by a court when a debtor is insolventthe insolvent debtor no longer controls their assets & debtsthere is no differenceinsolvency is a legal status ordered by a court--------------------------------------Marne's contract states her employment arrangement is for one year, while Brelle's contract is silent on that point. If they both want to leave their positions after one year, in what way are Marne's employment obligations different from Brelle's?Question 6 options:Brelle must give reasonable notice of termination.Marne must give notice of termination.Marne is an independent contractor. what is a primary concern for residential sprinkler systems installed according to nfpa 13? Desmond bought ( 1)/(2) of a pound of green grapes and ( 3)/(10) of a pound of red grapes. How much more did the green grapes weigh than the red grapes? Write your answer as a fraction or as a whole o A car can travel 10.6 kilometers on one liter of gasoline. How far can the car travel on 28 liters of gasoline? The car can travel kilometers on 28 liters of gasoline.