the accessories department has 24 weeks of supply left on hand, assuming the sales rate remains consistent.
To determine how many weeks of supply the accessories department has left on hand, we need to calculate the department's current inventory level, then divide that by the weekly sales rate.
The current inventory level of umbrellas in the accessories department can be calculated by subtracting the number of units sold from the initial inventory:
Current inventory level = 1500 umbrellas - 300 umbrellas = 1200 umbrellas
The weekly sales rate can be calculated by dividing the total units sold by the number of weeks:
Weekly sales rate = 300 umbrellas / 6 weeks = 50 umbrellas per week
Now, we can calculate the number of weeks of supply the department has left on hand:
Weeks of supply = Current inventory level / Weekly sales rate
Weeks of supply = 1200 umbrellas / 50 umbrellas per week = 24 weeks
Therefore, the accessories department has 24 weeks of supply left on hand, assuming the sales rate remains consistent.
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a buyer obtains a 90% institutional loan for $180,000 toward the purchase of a $200,000 house. the buyer does not have the necessary $20,000 for the downpayment, so the seller takes back a $10,000, ten-year mortgage and the buyer contributes the other $10,000 in cash. this is known as a/an:
The scenario described is an example of a seller financing arrangement, specifically a "purchase money mortgage" or "seller carryback." This type of arrangement can be beneficial for both the buyer and the seller.
A purchase money mortgage is a mortgage used to purchase real estate by the seller of the property rather than a third-party mortgage lender.
In the situation provided, a purchase money mortgage is utilized to cover the remaining $10,000 necessary to buy the property after the institutional loan was acquired, the buyer did not have enough money for a down payment, and the seller did not want to lower the price of the home.
This example of a seller financing arrangement, specifically a "purchase money mortgage" or "seller carryback."
The buyer may be able to secure the purchase of the property with a smaller down payment, while the seller can earn interest on the funds lent to the buyer and potentially sell the property more quickly.
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Which of these people is a worker in a service industry?
A А.
a worker who plants cotton
B
a worker who styles hair
с
a worker who sells cars
D
a worker who assembles phones
Communication may account for as much as____ of a hiring decision.
a. 25%
b. 40%
c. 65%
d. 80%
It isnt d or b. So its either a or c.
Six years ago, HOPCO granted Mr. Sing a nonqualified option to purchase 1,000 shares of HOPCO stock at $55 per share. On date of grant, the market price was $50 per share. This year, Mr. Sing exercised the option when the market price was $64 per share. How much ordinary income does Mr. Sing recognize because of the exercise
Based on the option that Mr. Sing exercised, the ordinary income recognized would be $0.
What income will Mr. Sing recognize?Income will be recognized when the shares are sold by Mr. Sing because the selling price is necessary to calculate income.
As the shares are yet to be sold, there will be no income recognized by Mr. Sing.
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What societal force was in place in mainstream American culture until the 1960s that resulted in separation of people along racial and other lines
Answer:
segregation
Explanation:
There was a societal force that was in place in mainstream American culture until the 1960s. This societal force was segregation that resulted in the separation of people along racial and other lines.
The United States remains a segregated society in respect of housing patterns and church membership despite all the legal changes that have taken place since the 1960s.
Suppose $4000 is invested in a bank account at an interest rate of 4% per year. (a) The amount in the bank after 7 years if interest is compounded annually is $____________ (b) The amount in the bank after 7 years if interest is compounded quarterly is $_____________ (c) The amount in the bank after 7 years if interest is compounded monthly is $ _____________(d) The amount in the bank after 7 years if interest is compounded continuously is $__________
So, the amount in the bank after 7 years if interest is compounded continuously is approximately $5261.81.
(a) The amount in the bank after 7 years if interest is compounded annually can be calculated using the formula for compound interest:
A = P(1 + r/n)(nt)
Where:
A = the future value of the investment
P = the principal amount (initial investment)
r = annual interest rate (as a decimal)
n = number of times interest is compounded per year
t = number of years
In this case, the principal amount (P) is $4000, the annual interest rate (r) is 4% (or 0.04 as a decimal), the number of times interest is compounded per year (n) is 1, and the number of years (t) is 7.
Plugging in the values into the formula:
A = 4000(1 + 0.04/1)(1*7)
A = 4000(1.04)7
A ≈ $5233.08
So, the amount in the bank after 7 years if interest is compounded annually is approximately $5233.08.
(b) The amount in the bank after 7 years if interest is compounded quarterly can be calculated using the same formula, but with n = 4 (quarterly compounding).
Plugging in the values:
A = 4000(1 + 0.04/4)(4*7)
A = 4000(1.01)28
A ≈ $5253.98
So, the amount in the bank after 7 years if interest is compounded quarterly is approximately $5253.98.
(c) The amount in the bank after 7 years if interest is compounded monthly can be calculated using the same formula, but with n = 12 (monthly compounding).
Plugging in the values:
A = 4000(1 + 0.04/12)(12*7)
A = 4000(1.003333)84
A ≈ $5260.03
So, the amount in the bank after 7 years if interest is compounded monthly is approximately $5260.03.
(d) The amount in the bank after 7 years if interest is compounded continuously can be calculated using the formula:
A = Pe^(rt)
Where:
e = Euler's number (approximately 2.71828)
Plugging in the values:
A = 4000e(0.04*7)
A = 4000e(0.28)
A ≈ $5261.81
So, the amount in the bank after 7 years if interest is compounded continuously is approximately $5261.81.
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All of these are examples of a price except which? Multiple Choice a) tuition b) wages c) a commission d) a discount
d) A discount, which is a reduction in the initial cost of a good or service, is not an example of a price.
Is a deal a decrease in the selling price of the goods?The marked price is decreased to acquire the final selling price, which is known as a discount. Shop owners occasionally give a certain percentage of the marked price off to boost sales or get rid of excess inventory. A concession is what we call this refund.
Is a deal a price cut that is applied to the cost?Discount refers to a price decrease that is offered. Listed price minus sale price is the discount (S.P.) Overhead costs are additional costs incurred after purchasing an item and are included in the cost price.
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Which of the following could be a trade secret?
where are the questions there are not questions
how am i supposed to help you if there is no questions
What can one do to combat using the emotional brain when making financial decisions?
Answer:
not to be controlled by making financial decisions Know when to move on. Be aware of the “I deserve it” mindset. Take a deep breath. Define your requirements. Set financial goals. Surround yourself with the right people.
Explanation:
hope it helps have a nice day with apples)
which of the following skills is necessary for a market researcher?
A.science skills
B.sales ability
C.math skills
D. creativity
it is B sales ability you welcome
Answer:
B. sales ability
Explanation:
hope this helped
Due to financial constraints, the lack of standardization in qualifications for focus group moderators can be minimized by ________
To minimize the lack of standardization in qualifications for focus group moderators due to financial constraints, organizations can implement a certification program that establishes a set of industry-recognized standards and competencies for moderators. This program would ensure that moderators possess the necessary skills, knowledge, and experience to effectively conduct focus groups.
By implementing a certification program, organizations can establish a clear framework for evaluating the qualifications of focus group moderators. This program can include criteria such as formal education in market research or related fields, practical experience in moderating focus groups, and demonstrated knowledge of research methodologies and ethical considerations. Moderators who meet these standards can earn a certification, which would provide a reliable indicator of their competence and professionalism.
Additionally, organizations can collaborate with industry associations or professional bodies to develop and administer the certification program. These associations can contribute their expertise in research methodologies and standards, ensuring that the certification aligns with industry best practices. By involving multiple stakeholders, the program can gain credibility and recognition within the field.
Implementing a certification program for focus group moderators helps address the lack of standardization in qualifications that may arise from financial constraints. This approach ensures that moderators possess the necessary skills and knowledge to conduct focus groups effectively, enhancing the quality and reliability of research outcomes.
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The aggregate demand curve and a demand curve are similar in each of the following ways except that each curve does which of the following? a. Assumes that the prices of all other goods remain constant as the price of the good varies
b. Summarizes the market choices made by many individual buyers c. Represents an inverse relationship between price and quantity variables d. Shows a price variable on the vertical axis
The similarities between the aggregate demand curve and a demand curve. Both curves represent the relationship between the price of a good and the quantity demanded of that good. They both assume that the prices of other goods remain constant and summarize the market choices made by individual buyers. Additionally, they both show an inverse relationship between price and quantity variables, meaning that as the price of a good increases, the quantity demanded of that good decreases and vice versa.
However, there is one key difference between the two curves - the aggregate demand curve shows the total quantity demanded of all goods and services in an economy at different price levels, while a demand curve shows the quantity demanded of a specific good or service at different price levels. In other words, the aggregate demand curve represents the entire economy's demand for all goods and services, while a demand curve represents the demand for a single good or service.
So, to answer your question, the curve that does not share the similarity between the two is d. Shows a price variable on the vertical axis. Both the aggregate demand curve and a demand curve show price on the vertical axis. The other similarities are assumed, summarized, and represent an inverse relationship.
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As a factor of production, what is capital?
A. an industrial good
B. the natural resources used to create a product
C. the entrepreneur who sees how to make something useful
D. the tangible products made by labor
Answer:
Option "D" is the correct answer.
Explanation:
Labor produces tangible goods, which are referred to as capital. There are production-related man-made items such as machinery, vehicles, and chemicals. That is what sets them apart from commercial products.
You buy a new commercial stove for $9,000 and estimate that it will enable you to deliver 20 additional meals per night at an average price of $20. Assuming 25% food cost and no additional costs to using the new stove, how long will it take the stove to pay for itself? a)30 days, b) 90 days, c)180 days, d)365 days
Answer:
a)30 days
Explanation:
For the stove to repay itself, it will have to reach the break-even point.
the costs associated with the are the cost $9000
The gains from the stove: 20 meals per night at $20.
the cost per mean is 25% of the selling price
=25/100 x 20
=0.25 x20
=$5
The profits per meal = $20 -$5 = $15
Profits for 20 meals = $15 x 20 =$300
Dairy income from the stove is $300
To recover the cost, it will take $9000/$300 days.
=30 days
Answer:
30 days
Explanation:
Farmers in developing countries claim that the U.S. government, through farm subsidies, is responsible for the artificially low global price of wheat. Because the U.S. government buys whatever wheat American farmers are unable to sell on the open market, American farmers have no incentive to modulate the size of their crops according to the needs of the global market. As a result, American farmers routinely produce more wheat than the global market can absorb and the global price of wheat is kept low. Without these subsidies, the farmers in developing economies claim, American farmers would produce only the amount of wheat that they could sell on the open market and the global price of wheat would rise.
Which of the following, if true, most weakens the claims of the farmers in developing countries regarding the price of wheat?
(A) Wheat that is not processed for consumption is often used for certain industrial applications.
(B) Non-governmental buyers of wheat and wheat products are able to predict how much wheat they will need several years in advance.
(C) The U.S. government offers similar subsidies to soybean farmers, though the global price of soybeans is significantly higher than that of wheat.
(D) Other countries, such as Canada and Russia, are likely to produce more wheat if the United States were to reduce its output.
(E) The price of sorghum, a crop for which the U.S. government offers no subsidies, is lower than that of wheat.
Answer:
Correct Answer:
(D) Other countries, such as Canada and Russia, are likely to produce more wheat if the United States were to reduce its output.
Explanation:
The farmers narrative on the reason on why the price of wheat on the global market is low is justified due to their reason. Unfortunately, that logic would greatly be weaken if the farmers in United States reduces their output while farmers in other countries such as Canada and Russia increases their own output due to incentives from their governments.
This action would still lead to the global price of wheat continually being low.
Doug offers to sell a computer router to Eve, but it is stolen before Eve accepts. Doug:
a. is not required to obtain a similar item for Eve, because it could take an unreasonable period of time to obtain a replacement.
b. is not required to obtain a similar item for Eve, because the theft of the original router terminated the offer.
c. must obtain a similar item for Eve, if Eve offers to pay before delivery.
d. must obtain a similar item for Eve, if Doug tells Eve that he accepts the offer.
Answer:
The answer is B
Explanation:
Since its been stolen he can't offer her anything anymore based on that transaction
Name three tasks a military police personnel stationed at a detention facility might be responsible for on any given day.
PLEASE HELP QUICK!!!
Which of the following is an advantage of buying your home over renting?
(1 point)
O You do not have to worry about the housing market in your area.
O The amount you pay each month is set by the terms of your mortgage.
O If something breaks, you have to fix it or pay to have it fixed.
O Your mortgage payments will far exceed the value of your home.
Answer:
The amount you pay each month is set by the terms of your mortgage.
Explanation:
connexus
Choose the era that best matches the statement given.
A company who has pleasing the customer in its mission statement
Answer:
Marketing company era
Explanation:
They need to get their product out there, so they use mission statements to please the customer, which is marketing.
The purchaser of a tbond futures contract priced at 101-16 at the time of the sale agrees to deleiever 100,000 facevalue treasury bond in exchange for
Answer:
The answer is "True".
Explanation:
Please find the complete question in the attached file.
It implies that its price of the bond is 101-16, which is to say
\(\to 101 + \frac{16}{32}\\\\\to \frac{3232+ 16}{32} \\\\\to \frac{3248}{32} \\\\\to 101.5\)
Each bond is thus stated as \(101.5 \%\) face value
\(\to 101.5\% \times 100,000 \\\\\to 101,500.00\)
That's why this statement is true.
clothing emporium was organized on january 1, 2024. the firm was authorized to issue 160,000 shares of $10 par value common stock. during 2024, clothing emporium had the following transactions relating to stockholders' equity: issued 48,000 shares of common stock at $12 per share issued 32,000 shares of common stock at $13 per share reported a net income of $160,000 paid dividends of $80,000 what is total paid-in capital at the end of 2024? multiple choice $1,072,000 $912,000 $1,152,000 $992,000
The clothing emporium was organized on January 1, 2024. The total paid-in capital at the end of 2024 is $1,792,000.
The clothing emporium was organized on January 1, 2024.
The firm was authorized to issue 160,000 shares of $10 par value common stock. During 2024, Clothing Emporium had the following transactions relating to stockholders' equity:
Issued 48,000 shares of common stock at $12 per share
Issued 32,000 shares of common stock at $13 per share
Reported a net income of $160,000
Paid dividends of $80,000
To calculate the total paid-in capital at the end of 2024, we need to calculate the paid-in capital first. The paid-in capital represents the total amount of cash collected by the company from the sale of its common stock.
Now, calculate the paid-in capital:
Paid-in capital = (48,000 × $12) + (32,000 × $13)
= $576,000 + $416,000
= $992,000
Now, we can calculate the total paid-in capital at the end of 2024.
Total paid-in capital = Paid-in capital + Par value of issued stock = $992,000 + (80,000 × $10) = $1,792,000
Therefore, the correct answer is $1,792,000.
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jim's car was totaled in a wreck. he failed to yield to oncoming traffic and jim was found to be at fault. the driver of the car he hit did not have insurance. jim's own car insurance policy reimbursed him for the property damage to his own vehicle. what type of coverage would pay for this? g
Option (d) is correct. If Jim’s own car insurance policy reimbursed him for the property damage to his own vehicle then collision coverage would pay for that.
Collision coverage insurance is known for a coverage which helps pay to repair or replace your car if it's damaged in an accident with another vehicle or object such as a fence or a tree. If you're leasing or financing your car this insurance coverage is required by the lender. If your car is paid off, collision is an optional coverage on your car insurance policy as per the collision insurance. It helps pay to repair or replace your vehicle if it's damaged from collision with another vehicle, collision with an object, such as a building or a tree, single-car accident that involves rolling or falling over badly. This insurance coverage has a limit which is the maximum amount your policy will pay toward a covered claim.
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The complete question is,
Jim’s car was totaled in a wreck. He failed to yield to oncoming traffic and Jim was found to be at fault. The driver of the car he hit did not have insurance. Jim’s own car insurance policy reimbursed him for the property damage to his own vehicle. What type of coverage would pay for this?
A)Liability coverage.
B)Uninsured motorist coverage.
C)Comprehensive coverage.
D)Collision coverage.
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. Pharoah Company Adjusted Trial Balance July 31, 2020 Account Titles No. Debit Credit 101 112 $10,100 8,900 15,700 157 158 201 $7,300 4,100 2,100 47,100 208 Cash Accounts Receivable Equipment Accumulated Depreciation-Equip. Accounts Payable Unearned Rent Revenue Owner's Capital Owner's Drawings Service Revenue Rent Revenue Depreciation Expense Salaries and Wages Expense Utilities Expense 301 306 16,000 400 429 64,100 6,200 711 726 732 8,600 56,300 15,300 $130,900 $130,900 Post to Owner's Capital and Income Summary accounts. (Post entries in the order of journal entries presented in the previous part. Enter negative amounts using either a negative sign preceding the number e.g. -45 or parentheses e... (45).) Owner's Capital No. 301 Balance Date Explanation Debit Credit July 31 July 31 July 31 Income Summary No. 350 Date Explanation Debit Credit Balance July 31 July 31 July 31 SHOW LEST OF ACCOUNTS Prepare a post-closing trial balance at July 31, PHAROAH COMPANY Post-Closing Trial Balance Debit Credit Totals
Closing entries transfer temporary account balances to Income Summary and Owner's Capital accounts. A post-closing trial balance confirms all accounts have been adjusted, and Owner's Capital balance is correct.
To post to the Owner's Capital account, we need to close the temporary accounts of Service Revenue, Rent Revenue, Depreciation Expense, Salaries and Wages Expense, and Utilities Expense. We will use the Income Summary account to do this.
First, we will transfer the balances of the temporary accounts to the Income Summary account by debiting or crediting them as necessary. Then, we will transfer the balance of the Income Summary account to the Owner's Capital account. The resulting journal entries are as follows:
Service Revenue $64,100
Rent Revenue 8,600
Income Summary $72,700
Depreciation Expense 15,300
Salaries and Wages Expense 56,300
Utilities Expense 8,600
Income Summary $80,200
Income Summary $80,200
Owner's Capital $80,200
Next, we can prepare a post-closing trial balance to ensure that all accounts have been properly adjusted and that the Owner's Capital account reflects the correct balance after closing the temporary accounts. The post-closing trial balance includes only permanent accounts and should show equal debits and credits. The resulting post-closing trial balance for Pharoah Company at July 31, 2020, is as follows:
Pharoah Company
Post-Closing Trial Balance
July 31, 2020
Debit Credit
Cash $10,100
Accounts Receivable 8,900
Equipment 16,000
Accumulated Depreciation-Equip. 4,100
Accounts Payable 2,100
Unearned Rent Revenue 400
Owner's Capital 80,200
Totals $39,100 $39,100
In summary, the process of closing the temporary accounts and transferring the balances to the Owner's Capital account results in a post-closing trial balance that only includes permanent accounts.
This helps ensure that all accounts are properly adjusted and provides an accurate representation of the company's financial position at the end of the fiscal year.
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Tickets to a fundraiser are $14 if purchased ahead of time and $25 if purchased at the door. The total amount raised from all ticket sales was $625. If eleven tickets were purchased at the door, how many tickets were purchased ahead of time?.
what is the main purpose of alcohol when doing poly gel nails?
Answer:
Gel gloss are included stronger components that realize the nail tighter than traditional lacquers and also are solid sufficient to withstand day-to-day wear and tear without damaging, discusses Essie Global Lead Instructor Rita Comment. A few distinctions in between the formula and also your normal lacquer? Gel polishes are much more adaptable, so they withstand chips; Gels are treated under a UV or LED light and brightens treatment in oxygen. Gels have to be eliminated by soaking in acetone for at the very least 10 minutes, while polishes can be quickly wiped away with nail gloss cleaner.
Explanation:
Stakeholders and their influence- Who are the stakeholders of your business? How do these stakeholders influence your business? for a pharmacy business
Answer:
The stakeholders of a pharmacy business include:
Customers: They are the primary stakeholders of the business. They influence the business by determining the demand for the products and services offered by the pharmacy.
Employees: They are responsible for the day-to-day operations of the business. They influence the business by their level of productivity, job satisfaction, and employee retention.
Suppliers: They supply the products and services needed to run the business. They influence the business by their ability to deliver products and services on time and at a reasonable cost.
Shareholders: They own the business and have a vested interest in its financial performance. They influence the business by providing capital and by making decisions about the direction of the business.
Government: They regulate and oversee the pharmacy industry. They influence the business by imposing regulations and laws that the pharmacy must comply with.
Competitors: They also influence the business by determining the level of competition and the prices of products and services in the market.
Community: The community in which the pharmacy is located also influences the business through public opinion and support.
Health Care Providers: They play a vital role in the pharmacy business as they prescribe the medications and influence the demand of the products and services offered by the pharmacy.
Stakeholders influence the pharmacy business by making decisions, providing support, creating competition, and setting regulations. A pharmacy must take into account the interests and needs of all of its stakeholders in order to be successful in the long term.
Explanation:
Is this counted in the GDP of a country ?The services of a mechanic in fixing the radiator on his own car.
Answer:
Yes this could be counted as GDP
Explanation:
What are taxes?
Do taxes affect the government economic policies today?
Should taxes be lowered overall?
Should some groups be paying more than they are now?
Answer all please, 34 points :)
Answer:
1.Taxes are a amount of money that a government requires people to pay according to their income.
4.Yes, High marginal tax rates can discourage work, saving, investment, and innovation, while specific tax preferences can affect the allocation of economic resources. But tax cuts can slow long-run economic growth by increasing deficits.
3.lowering tastes would lead to raising in disposable income, allowing the consumer to spend additional sums, thereby increasing GNP. Reducing taxes thus pushes out the aggregate demand curve as consumers demand for more goods and services with their higher disposable incomes.
4.No, This reading is because people pay off their incomes so it would be unfair to charge higher then needed.
Answer:
What are taxes?
Taxes are amount of money that a government forces individuals to pay according to their income, the value of their property, etc., and that is used to pay for the activities done by the government.
Do taxes affect the government economic policies today?
Taxes affect the government economic policies today. High marginal tax rates may deter people from working, saving, investing, and innovating, while particular tax preferences can have an impact on how economic resources are allocated in a country. Tax cuts, on the other hand, might have the unintended consequence of slowing long-term economic development through boosting deficits.
Should taxes be lowered overall?
As you would anticipate, decreasing taxes increases disposable income, which allows consumers to spend more money, hence boosting gross national product (GNP). As a result, lowering taxes causes the aggregate demand curve to shift outward, as consumers seek more products and services as a result of their increased disposable incomes.
Should some groups be paying more than they are now?
Personally, I believe that one group should not be overtaxed at the expense of another group. While the tax rate for the rich is much higher, they are able to deduct a large number of expenses. The working middle class bears the brunt of the burden of taxes, whilst the impoverished get the advantages of them. I feel that it would be considerably more equitable to impose a single flat rate tax on everyone and to prohibit the use of write-offs altogether.
Explanation:
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The best time to visit a college campus is:
A: During spring break
B: Over the summer
C: on any Friday
D: Monday Through Friday
Ap3x
Answer:
D.
Explanation:
The best time to visit a college campus is over the summer. Thus, option 'D' is the correct option.
When is the best time to do college tours?Since many universities start their autumn term as early as mid-August, it is ideal to visit during the late summer and early September before senior year. If you've already done your study in college, the spring of your junior year is a terrific time. If you participate in autumn sports or are thinking about applying under early action or early decision programs, which often have application deadlines in November of your senior year, spring break is also an excellent idea.
Seniors might find it more beneficial to postpone their visits until the fall or winter. Seniors may be able to restrict their college choices at that time. To entice them to enrol, several institutions offer their chosen prospects to stay a few days on campus before the May 1 reply deadline.
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Mr.Crimpson is an economist. During the course of each day, he studied how to meet limited wants with limited resources.
True or False?
Answer:
True
Explanation:
Economic analysis is an analysis about how to fulfill infinite, overlapping needs with minimal capital. It's the method of determining how to "do the best from the least"—to have the most fulfillment with both the least amount of money and resources.