Option C requires meeting both eligibility criteria and stipulations before recognizing government transfer payments as expenses.
Option C of Section PS 3410 of the CPA Canada Public Sector Accounting Handbook's list of cost recognition criteria is "All eligibility requirements and all stipulations have been met by the recipient."
Government transfer payments are cash that the government gives to people, organizations, or other levels of government for a variety of uses, such as grants, subsidies, or social assistance, in the context of public sector accounting. To guarantee accurate and fair financial reporting, certain criteria must be followed when classifying these transfer payments as expenses.
Option C specifies that the receiver is required to meet the transfer payment's requirements as well as its eligibility requirements. Typically, eligibility requirements specify what a person or organization must satisfy in order to qualify for the transfer money. On the other hand, stipulations are the requirements or obligations that the recipient must fulfil after getting the money.
Option C ensures that the receiver has satisfied all relevant requirements and obligations associated with the transfer payment before it can be recognized as an expense by the government by requiring the fulfilment of both eligibility criteria and conditions. This requirement encourages transparency and accurate financial reporting in the public sector.
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A 25-year mortgage of $300,000 was originally agreed to with a 5-year term and 3% compounded monthly. After 5 years, another 5-year is agreed to with a 2.7% compounded monthly interest rate. What is the new payment amount? Round your payment calculations up to the next penny.
The new payment amount after the initial 5-year term at 3% compounded monthly and subsequent 5-year term at 2.
the new payment amount for the mortgage, after the initial 5-year term at 3% compounded monthly and subsequent 5-year term at 2.7% compounded monthly, is $1,481.97.
let's break down the calculation into two parts:
1. for the first 5-year term:using the formula for monthly mortgage payment, we can calculate the payment amount for the initial 5-year term at 3% compounded monthly. plugging in the values, we have:
pv = $300,000 (principal loan amount)r = 0.03/12 (monthly interest rate)
n = 5*12 (total number of payments)using the formula: payment = pv * (r * (1 + r)ⁿ) / ((1 + r)ⁿ - 1)
payment = $300,000 * (0.0025 * (1 + 0.0025)⁽⁵*¹²⁾) / ((1 + 0.0025)⁽⁵*¹²⁾ - 1)payment = $1,450.82 (rounded to the nearest penny)
2. for the subsequent 5-year term:
now, we need to calculate the payment amount for the remaining balance of the mortgage after the first 5-year term at a new interest rate of 2.7% compounded monthly. the remaining balance can be determined using an amortization schedule or financial calculator.remaining balance after 5 years = $300,000 - (payment * n), where n = 5*12 (total number of payments in the first term)
remaining balance after 5 years = $300,000 - ($1,450.82 * 5 * 12) = $156,917.60
using the same formula mentioned earlier with the remaining balance, we calculate the payment for the subsequent 5-year term:pv = $156,917.60 (remaining balance)
r = 0.027/12 (monthly interest rate)n = 5*12 (total number of payments)
payment = $156,917.60 * (0.00225 * (1 + 0.00225)⁽⁵*¹²⁾) / ((1 + 0.00225)⁽⁵*¹²⁾ - 1)payment = $1,481.97 (rounded up to the nearest penny) 7% compounded monthly is $1,481.97.
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The most important feature of a collaboration information system is ______. A. sharing alternative solutions. B. managing tasks. C. regular backups
The most important feature of a collaboration information system is managing tasks. Collaboration among team members can become complex when multiple individuals are working on the same project. As a result, it's crucial to have a tool that can efficiently manage all the tasks involved.
This feature allows everyone involved in the project to track their tasks, prioritize their work, and have a clear understanding of what needs to be done and when. Additionally, a collaboration information system that effectively manages tasks promotes accountability among team members, encourages communication, and fosters an environment of collaboration, ultimately leading to a successful outcome. While sharing alternative solutions and regular backups are also important features of a collaboration information system, they do not take precedence over managing tasks as they are supplemental to the primary goal of effective task management.
The most important feature of a collaboration information system is A. sharing alternative solutions. Collaboration information systems facilitate communication, coordination, and cooperation among team members. Sharing alternative solutions is crucial because it allows individuals to present different perspectives, ideas, and approaches, which in turn can lead to more informed decision-making and better problem-solving. By allowing team members to discuss various options, a collaboration information system encourages creativity, critical thinking, and knowledge sharing, all of which are essential to effective teamwork and project success. While managing tasks and regular backups are also important features of such systems, the primary focus remains on promoting collaborative work through the exchange of diverse solutions.
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how the company handles its credit accounts. this includes methods of invoicing and collecting past-due accounts.
How the company handles its credit accounts. this includes methods of invoicing and collecting past-due accounts' cost of capital.
An invoice, invoice or tab is a business document issued via a vendor to a customer regarding a sale transaction and indicating the products, quantities, and agreed-upon expenses for products or services the vendor had supplied the purchaser. fee terms are normally said at the bill. these may also specify that the customer has a most number of days to pay and is every now and then supplied a reduction if paid before the due date. The consumer ought to have already paid for the goods or offerings listed at the invoice. To keep away from confusion and consequent pointless communications from consumer to supplier, a few dealers simply state in huge and capital letters on an bill whether or not it has already been paid. From a dealer's factor of view, an invoice is a sales invoice. From a client's factor of view, an bill is a buy invoice. The file indicates the consumer and seller, however the term bill indicates cash is owed or owing.
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with respect to tablet computers in 2011 total sales for the industry were 800 million and ipad sold in 2011 $600 million. therefore the ipad market share in 2011 was a. 25% b. 60% c. 75% d. 80%
In 2011, the total sales for the tablet computer industry were 800 million dollars, and the iPad sales amounted to 600 million dollars. Therefore, the iPad's market share in 2011 was 75%. Option c.
To calculate the iPad's market share, we divide the sales of iPads by the total sales of the industry and multiply by 100 to get the percentage. In this case, the iPad sales were 600 million dollars, and the total industry sales were 800 million dollars.
The formula for calculating market share is: (iPad sales / Total industry sales) * 100.
Substituting the values into the formula, we have: (600 million / 800 million) * 100 = 0.75 * 100 = 75%.
Therefore, the iPad's market share in 2011 was 75%. This means that the iPad accounted for 75% of the total sales in the tablet computer industry for that year.
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37. Bill incorporated his business four years ago and owns 100% of its stock. The corporation distributes a piece of land, used as a parking lot for customers, to Bill. Bill’s basis in his stock is $21,000, and the land has a basis of $7,000 and a value of $24,000, and E&P is $5,000.
a. What are the tax consequences to the corporation?
b. To Bill?
a) The corporation will have a net recognized gain of $12,000
b) Bill will be required to pay capital gains tax on the $3,000 realized gain.
How to calculatea. The corporation distributes land to Bill that has a basis of $7,000 and a value of $24,000. The corporation must recognize a gain of $17,000 ($24,000 - $7,000) on the distribution of land to Bill.
However, the corporation may reduce this gain by the amount of E&P, which is $5,000.
Therefore, the corporation will have a net recognized gain of $12,000 ($17,000 - $5,000).
The corporation must pay corporate tax on the recognized gain.
b. Bill will receive land with a fair market value of $24,000. Because the land is considered a dividend, the basis of the land will be the same as the basis of Bill's stock in the corporation.
As a result, Bill's basis in the land will be $21,000. This suggests that Bill has a realized gain of $3,000 ($24,000 - $21,000) as a result of receiving the land.
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Which industry is the second-largest employer of teens
and young people?
What percentage of employed teens are employed by
the government?
I got it
is retail trade
and 7%
Answer:
I. Retail industry
ii. 7%
Explanation:
Retail industry is the second largest employers of teen and young people next to health sector which is the largest employer.
Retailing involves buying goods either from the producers or wholesaler and selling them to the final consumers. Some services are also offered in these retailing such as call center representative, those who work in innovation lab. etc
In the United States, about 7% of teens and young people are in the employment of government , while retail industry is the largest employer of teen and young people because it provides flexibility and also do not involve much academic qualifications.
Example of these retail jobs are those who work in call center, sales representatives and those who works in stores.
Answer:
Retail Trade
7%
Explanation:
Edge 2020
Which of these can lower the amount of monthly payments on a mortgage?
Insurance
Down payment
Property taxes
Collateral
Answer:
I think that the answer is collateral
Collateral is the item that can lower the amount of monthly payments on a mortgage.
What is collateral?Collateral refers to item owned by a borrower, which is used as a guarantee that loan taken will be repaid. It is an asset that a borrower offers to a lender as a promise that the payment of the loan will be repaid as agreed.
It is important to note that collateral is used to secure loan incase a borrow does not pay back the loan taken.
Hence, collateral is the one that can lower the amount of monthly payments on a mortgage.
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1929 and 1933 what was the real return on the stock market in each year
In 1929, the real return on the stock market was -25.51%. In 1933, the real return on the stock market was 33.78% as these years marked the beginning and end of the Great Depression.
In 1929, the stock market crashed, leading to a decrease in stock prices and a negative return for investors. This marked the beginning of the Great Depression, a period of economic downturn that lasted for several years. In 1933, the stock market had not yet fully recovered, and the real return was still negative.
It is important to note that the real return on the stock market takes into account not only the change in stock prices, but also the effect of inflation. During the Great Depression, there was deflation, meaning that prices were decreasing. This further contributed to the negative real return on the stock market during this time period.
In conclusion, the real return on the stock market in 1929 and 1933 was negative due to the stock market crash and the effects of the Great Depression.
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individuals in different segments should have ______ within the segment and ______ across the segments.
Answer:
similarities; differences Is correct answer
Explanation:
individuals in different segments should have similarities within the segment and differences across the segments.
(Hope this helps can I pls have brainlist (crown)☺️)
The Gallup Organization contacts 1595 male university graduates who have a white collar
job and asks whether or not they had received a raise at work during the past 4 months
Determine the sample
the 595 male university eraduates who have received mise at work.
Male university graduates who have a white collar job
The 1595 male university eraduates who have a white collar iob
Sample contains the 1595 male university eraduates who have a white collar job. Hence, option C is the correct answer.
What is the population?The set of all people, items, or objects that are required for a specific study is defined as the population.
Given that
Population size be N
And the gallup organization contains 1595 male University graduate who have a white collar job and ask whether or not they have received a rise at work during the past four months.
Here sample size is N = 1595
And random variable of interest is white collar job.
It is heavy for researchers to inspect each discrete in the population. Hence, a smaller group of sole (subjects) are selected from the population of interest. Therefore, the group of sole taken from the population of interest is known as the sample.
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What 3 shoe companies are mentioned as having sponsor deals? how many countries does each sponsor?.
The 3 shoe companies having sponsor deals along with the total count are: nike - 32, adidas - 28, puma 15.
Sponsorship is the act of supporting an event, activity, person, or organization through financial support or the provision of goods or services. The support is provided by the sponsor, who serves in a similar capacity as a benefactor. The question asks about the Top 3 shoes companies. They are: 1) Nike - An American multinational firm called Nike, Inc. designs, develops, produces, distributes, and sells footwear, apparel, equipment, accessories, and services on a worldwide basis. Near Beaverton, Oregon, in the Portland metro area, the company has its headquarters. 2) Adidas AG is a multinational company based in Germany that designs and makes clothing, accessories, and shoes. In Bavaria's Herzogenaurach, it was founded. It is the largest sportswear manufacturer in Europe and the second-largest in the world after Nike. 3) Puma SE, generally known as Puma, is a global company that designs and produces sports and leisure footwear, clothes, and accessories. It is headquartered in Herzogenaurach, Bavaria, Germany. Puma is the third-largest manufacturer of sportswear in the world.
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A production possibilities curve that is concave to the origin (bowed out) implies that as more of a good is produced, the opportunity cost A. decreases B. remains constant C. increases D. increases at first and then decreases Capital Goods Origin Consumer Goods 22. On the production possibilities frontier above, if the unemployment rate decreases from 10% to 5%, the economy will: A. more away from the PPC toward the origin B. remain on the origin C. remain on the PPC D. move closer to the PPC
The answers to the given questions are as follows:
a) A production possibilities curve that is concave to the origin (bowed out) implies that as more of a good is produced, the opportunity cost increases. Thus, the correct answer is Option C.
b) On the production possibilities frontier above, if the unemployment rate decreases from 10% to 5%, the economy will move closer to the PPC. Thus, the correct answer is Option D
a) When the production possibilities curve is concave, it indicates that resources are not equally efficient in producing different goods. As more of a good is produced, resources that are better suited for producing other goods need to be allocated, leading to an increase in opportunity cost.
b) A decrease in the unemployment rate means that more people are employed, and therefore more resources are being utilized. This leads to an increase in the overall production capacity of the economy, allowing it to move closer to its production possibilities frontier (PPC).
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A production possibilities curve that is concave to the origin (bowed out) implies that as more of a good is produced, the opportunity cost is option C increases.
When the production possibilities curve is concave, it indicates increasing opportunity costs. This means that in order to produce more of one good, the economy must give up increasing amounts of the other good.
As resources are shifted from the production of one good to another, the opportunity cost of producing additional units of the desired good rises.
Regarding the second question, if the unemployment rate decreases from 10% to 5%, the economy will:
D. move closer to the PPC
A decrease in the unemployment rate suggests that more resources (labor) are being utilized in the economy.
This means that the economy is moving closer to its full potential and can produce more output.
As a result, the economy will move closer to its production possibilities curve (PPC) as it approaches its maximum production capacity.
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Stephenson, a corporate executive, earns a salary of $500,000 per year. in addition, stephenson owns and participates in a separate business. the business produces a loss of $75,000 during the year. if stephenson materially participates in the business, the $75,000 loss is an active loss that may offset stephenson's active income from the corporate employer.
Yes, if Stephenson materially participates in the business, the $75,000 loss is an active loss that may offset Stephenson's active income from the corporate employer.
This means that Stephenson's taxable income from the corporate employer can be reduced by the amount of the business loss. This can result in a lower overall tax liability for Stephenson.
The amount that a person, company, or other entity owes to a federal, state, or local tax authority is known as their tax liability. In general, you owe taxes when you earn money or make gains off of the sale of an investment or other item.
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If a firm's cost function is c(y)=y 2
+16, what is its Average Total Cost function? 16 y+16/y y y/2 16/y 2y 6 2points The Average Variable Cost curve lies below the Average Total Cost curve. True False
If a firm's cost function is c(y) = y² + 16, its Average Total Cost function can be calculated as follows:Solution:We know that Average Total Cost (ATC) is the sum of Average Variable Cost (AVC) and Average Fixed Cost (AFC).
Average Variable Cost (AVC) = Variable Cost/Quantity of output (y) = c(y)/yAverage Fixed Cost (AFC) = Fixed Cost/Quantity of output (y)Total Cost (TC) = Variable Cost (VC) + Fixed Cost (FC) = c(y) + FCTotal Output (y)Therefore, Average Total Cost (ATC) can be calculated as:ATC = TC/y = c(y)/y + FC/yATC = AVC + AFCATC = c(y)/y + FC/y.
Substituting the given cost function c(y) = y² + 16 in the above formula, we get:ATC = (y² + 16)/y + FC/yThus, the Average Total Cost function for the given firm function c(y) = y² + 16 is given by ATC = (y² + 16)/y + FC/y.The graph of the Average Variable Cost (AVC) curve lies below the graph of the Average Total Cost (ATC) curve. Therefore, the given statement "The Average Variable Cost curve lies below the Average Total Cost curve" is true.
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You want to compare the batting average of all the players on the league's baseball teams. Which type of chart would be best for this purpose? a.Pie b.Bar c.Line d.Column
Answer: B.) Bar
Explanation: When trying to compare batting average of all players on the leagues baseball team, the batting average of the players in each team is measured and the data grouped by team. When measuring changes, differences or comparison, the bar chart and line chart seems to be the best for such purposes. However, depending on whether the changes in measured data is large or small, the bar chart seems best suited in cases where large differences exists, while line graphs are better when small differences exist between measure data.
Answer:
B.) Bar
Explanation:
A product's price will increase the most if:
Answer:
Demand is high and if the manufacturing prices increase
HELP PLEASE
20 points :)
Answer:
the last one.
Explanation:
they both are traveling at the same speed. the size (mass) won't matter because only temperature affects average kinetic energy.
hope this helps :)
A wholly owned subsidiary whose primary purpose is to finance sales of the parent company's products and services, provide wholesale financing to distributors of the parent company's products, and purchase receivables of the parent company is a
It should be noted that a wholly owned subsidiary whose primary purpose is to finance sales of the parent company's products and services is regarded as captive finance subsidiary.
Captive finance subsidiary serves as one that finance the sales of the the manufacturer, it helps with resources.
It also provide wholesale financing to distributors that are associated with parent company.
Therefore, Captive finance subsidiary serves as subsidiary whose primary purpose is to finance sales of the parent company's products
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five basic functions of business networks are communication, mobility, collaboration, relationships, and search. select one: true false
False. The five basic functions of business networks are communication, mobility, collaboration, transactions, and information sharing.
These functions enable businesses to connect, communicate, and collaborate with stakeholders, customers, and partners. Communication involves the exchange of information and ideas, while mobility allows for accessing network resources and services from anywhere. Collaboration fosters teamwork and joint decision-making, while transactions involve the exchange of goods, services, or money. Finally, information sharing facilitates the sharing of valuable data and knowledge within the network, enhancing efficiency and innovation. These functions collectively support the overall operations and success of a business network.
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how can formal business documnets help managers solve problems
Managers can fix problems by providing clear, precise information about them.
Who is the managers?A manager is someone who is in charge of managing or monitoring the business. He or she is an acting leader who helps set objectives and allocate responsibilities. He or she also exemplifies specific leadership traits that support the efficient running of the business.
The manager will be assisted in evaluating the situation and providing complete information by the formal business document.
They will be better able to handle the problem as a result. In addition, these documents will give them the precise information that the manager would need.
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do you like lauge arts it is supper fun in cool
Answer: It's really confusing. its just mid.
Explanation:
what information does u.s. gaap require to be disclosed for a major customer?
U.S. GAAP (Generally Accepted Accounting Principles) requires companies to disclose information about major customers in their financial statements.
A major customer is one that represents 10% or more of a company's total revenue. This disclosure is essential for investors and stakeholders to assess the company's reliance on specific customers and the associated risks. The main information required to be disclosed for a major customer under U.S. GAAP includes:
Revenue concentration: Companies must disclose the total revenue generated from each major customer. This allows investors to understand the degree of reliance on these customers and potential risks of revenue fluctuations.Receivables balance: The outstanding balance of receivables from each major customer should be disclosed, as it can impact the company's cash flow and liquidity position.Geographic information: If a major customer operates in a different geographic region, companies must disclose this information to provide insight into potential economic or political risks associated with the customer's location.Industry or segment: Companies should disclose the industry or segment in which the major customer operates, as it can help investors understand the market dynamics and potential risks associated with the customer's business.Impact of loss: Companies should provide an explanation of the potential impact on their financial position and results if a major customer were to be lost or face significant difficulties.By disclosing this information, U.S. GAAP aims to enhance transparency and provide a more comprehensive understanding of a company's financial position and risk profile related to major customers.
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The ratio of average volume in declining issues to average volume in advancing issues is called the ______________.
a. market breadth
b. market volume
c. trin statistic
d. relative strength ratio
The ratio of average volume in declining issues to average volume in advancing issues is called the c. trin statistic
TRIN is a short-term trading instrument that measures stock market volatility. TRIN describes the evolution and decline of emissions by measuring flow. A rising TRIN indicates a weak market and a falling TRIN indicates a strong market. You can add a moving average to smooth your data.
TRIN readings below 0.50 are considered indicative of an overbought condition where analysts expect a downward correction retracement to be imminent. TRIN readings above 3.00 are usually interpreted as indicating an oversold condition that could lead to an up rally.
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What are the eight differences between personal selling (direct contact) and non-personal selling (indirect contact, such as Internet sales)?
Answer:
see below
Explanation:
Personal selling is popularly known as a face to face selling or direct selling. In personal selling, the salesperson engages a potential customer in a conversation to persuade them to buy. This type of selling requires the physical presence of a salesperson engaging in a one-on-one conversation with the clients. Its success largely depends on the selling skills of the salesperson.
Non-personal selling is the use of advertisements to persuade customers to buy. There is no direct meeting between the seller and buyer; hence the term indirect, impersonal, or non-personal selling. Non-personal selling uses print media, broadcast media, and digital platforms to reach out to customers.
Assume that the production function for a country is given by Y = Squareroot k, annual investment is given by the function l = y x^+ Y, where y = 0.2900, and that the yearly depreciation rate is 4.833%. Suppose that this year the output in the country is 1 and a neighbor country's output is 50% higher. Calculate the time it would take to the country's output to catch up with its neighbor's output. Assume the neighbor country's economy is neither growing nor shrinking.
It would take approximately 20.6 years for the country's output to catch up with its neighbor's output. The first step is to calculate the neighboring country's output.
This is done by multiplying the country's output by 1.5 since the neighboring country's output is 50% higher. This gives us an output of 1.5. The next step is to calculate the rate of investment. This is done by dividing the annual investment by the capital stock. This gives us a rate of investment of 0.2900. The final step is to calculate the time it would take to catch up. This is done by dividing the neighboring country's output by the rate of investment. This gives us a time of 20.6 years.
It is important to note that this is just an estimate. The actual time it would take to catch up could be longer or shorter, depending on a number of factors, such as the rate of economic growth in both countries. Here are some additional details about the calculation:
The production function is a mathematical equation that describes the relationship between output and capital. In this case, the production function states that output is equal to the square root of capital.
The annual investment is the amount of money that is invested in the economy each year.
The depreciation rate is the rate at which capital wears out each year.
The neighbor country's output is the output of the country that the country is trying to catch up to.
The rate of investment is the amount of money that is invested in the economy each year, divided by the capital stock.
The time it would take to catch up is the amount of time it would take for the country to invest enough money to increase its output to the level of the neighboring country's output.
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the risk of employee opportunism, on behalf of agents, is exacerbated by the concept of multiple choice corporate governance. stakeholder analysis. competitive advantage. information asymmetry.
Option A. The risk of employee opportunism, on behalf of agents is exacerbated by the concept of multiple corporate governances.
Stakeholder analysis is a framework used by organizations to determine how they affect and are affected by stakeholders in their operations.
What is employee opportunism? Employee opportunism is a situation where the interests of the employer and the employee are not aligned, and the employee pursues their self-interest at the expense of the organization. The employee may manipulate the rules or use their position to gain an advantage or benefit.
The concept of multiple corporate governance structures exacerbates the risk of employee opportunism. This concept refers to a situation where different entities within an organization have different interests that they seek to advance.
In such a situation, employees may use their positions to favor one entity over another, leading to a conflict of interests and ultimately compromising the organization's objectives.
What is stakeholder analysis? Stakeholder analysis is a framework used by organizations to determine how they affect and is affected by stakeholders in their operations. It involves identifying stakeholders, assessing their interests, and evaluating their power or influence over the organization. The goal of stakeholder analysis is to identify the key stakeholders and understand their expectations, concerns, and demands in order to develop strategies that ensure their support and minimize conflicts.
Option A- corporate governance.
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In your own words, how do you apply for scholarships
Which term means the government isn't above the law?
Answer:
rule of law
Explanation:
Rocky Mountain Tire Center sells 20,000 go-cart tires per year. The ordering cost for each order is $40, and the holding cost is 20% of the purchase price of the tires per year. The purchase price is $20 per tire if fewer than 500 tires are ordered, $18 per tire if 500 or more—but fewer than 1,000—tires are ordered, and $17 per tire if 1,000 or more tires are ordered. a) How many tires should Rocky Mountain order each time it places an order? b) What is the total cost of this policy?
Answer:
a) How many tires should Rocky Mountain order each time it places an order?
667 tiresb) What is the total cost of this policy?
total costs (including merchandise purchased) = $362,400total costs (not including merchandise purchased) = $2,400Explanation:
we must find the EOQ for the three possible prices:
when price per tire is $17:
EOQ = √(2SD) / H
S = cost per order = $40
D = annual demand = 20,000
H = 20% x $17 = $3.40
EOQ = √[(2 x $40 x 20,000) / $3.40] = 685.99 = 686 tires
when price per tire is $18:
EOQ = √(2SD) / H
S = cost per order = $40
D = annual demand = 20,000
H = 20% x $18 = $3.60
EOQ = √[(2 x $40 x 20,000) / $3.60] = 666.67 = 667 tires
when price per tire is $20:
EOQ = √(2SD) / H
S = cost per order = $40
D = annual demand = 20,000
H = 20% x $20 = $4
EOQ = √[(2 x $40 x 20,000) / $4] = 632.46 = 632 tires
since all options are over 500 units but lower than 1,000, we must take the option where each tire costs $18
total cost:
20,000 x $18 = $360,000
(20,000 / 667) x $40 = $1,199.40
holding costs = average inventory = 667 / 2 = 333.5 x $3.60 = $1,200.60
total costs (including merchandise purchased) = $362,400
Personal Financial
Literacy
Answer:
You would have to answer this because I dind't read the story.
Explanation: