Costs that can be traced directly to a segment traceable fixed costs.
Give a brief account on traceable fixed costs.Traceable fixed cost is a term used to describe a fixed cost that a company may assign to a particular market segment, procedure, product, client, site, or business unit. These variables will influence this fixed cost. If these cost items vanish, the associated costs won't follow. These are the fixed costs that can be controlled when the cost object can be controlled. When the cost object is executed, it will be fixed.
In order to aid management in making decisions, this type of cost should be broken down in the income statement. Any cost-intensive product, process, or activity may be decided to be continued or discontinued.
In addition, it assists us in creating income statements for each product, sector, location, and so forth. The management will benefit from having access to overall firm performance data for each area. They are able to improve the most profitable projects' performance and stop the less successful ones.
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Suppose that an oil well is expected to produce 100,000 barrels of oil during its first year in production. However, its subsequent production (yield) is expected to decrease by 10% Over the previous year?s production. The oil well has a proven reserve of 1,000,000 barrels. (a) Suppose that the price of oil is expected to be $60 per barrel for the next several years. What would be the present worth of the anticipated revenue stream at an interest rate of 12% Compounded annually over the next seven years? (b) Suppose that the price of oil is expected to start at $60 per barrel during the first year, but to in crease at the rate of 5% over the previous year?s price. What would be the present worth of the anticipated revenue stream at an interest rate of 12% compounded annually Over the next seven years? (c) Consider part (b) again. After three years? production, you decide to sell the oil well. What would be a fair price?
(a). The present worth was calculated to be $173,466,882.
(b). The leading to present worth of the anticipated revenue stream at an interest rate of 12% compounded annually $321,959,611.
(c). The present worth formula was applied to get a fair price of $196,774,392.
(a) Using the geometric series formula, the anticipated revenue stream for the first year would be :
$60,000,000 (100,000 barrels x $60 per barrel)
The expected revenue for each subsequent year can be calculated as follows:
Year 2: $54,000,000 (90% x $60,000,000)
Year 3: $48,600,000 (90% x $54,000,000)
Year 4: $43,740,000 (90% x $48,600,000)
Year 5: $39,366,000 (90% x $43,740,000)
Year 6: $35,429,400 (90% x $39,366,000)
Year 7: $31,886,460 (90% x $35,429,400)
Using the present worth formula, the present worth of the anticipated revenue stream would be $173,466,882.
(b) The expected revenue for each year can be calculated as follows:
Year 1: $60,000,000
Year 2: $63,000,000 (105% x $60,000,000)
Year 3: $66,150,000 (105% x $63,000,000)
Year 4: $69,457,500 (105% x $66,150,000)
Year 5: $72,930,375 (105% x $69,457,500)
Year 6: $76,576,844 (105% x $72,930,375)
Year 7: $80,406,686 (105% x $76,576,844)
Using the present worth formula, the present worth of the anticipated revenue stream would be $321,959,611.
(c) After three years, the oil well would have produced:
Year 1: 100,000 barrels
Year 2: 90,000 barrels
Year 3: 81,000 barrels
The anticipated revenue for the remaining four years can be calculated using the same formula as in part (b):
Year 4: $57,246,750 (105% x $66,150,000)
Year 5: $60,109,088 (105% x $57,246,750)
Year 6: $63,114,542 (105% x $60,109,088)
Year 7: $66,270,269 (105% x $63,114,542)
Assuming that the interest rate remains constant at 12% and using the present worth formula, a fair price for the oil well would be $196,774,392.
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The correct question is:
Suppose that an oil well is expected to produce 100,000 barrels of oil during its first year in production. However, its subsequent production (yield) is expected to decrease by 10% Over the previous year?s production. The oil well has a proven reserve of 1,000,000 barrels.
(a) Suppose that the price of oil is expected to be $60 per barrel for the next several years. What would be the present worth of the anticipated revenue stream at an interest rate of 12% Compounded annually over the next seven years?
(b) Suppose that the price of oil is expected to start at $60 per barrel during the first year, but to in crease at the rate of 5% over the previous year?s price. What would be the present worth of the anticipated revenue stream at an interest rate of 12% compounded annually Over the next seven years?
(c) Consider part (b) again. After three years? production, you decide to sell the oil well. What would be a fair price?
the formula for calculating declining balance depreciation is the depreciation rate per year times
The formula for calculating declining balance depreciation is the depreciation rate per year times the asset's book value at the beginning of the year.
The declining balance method is a type of accelerated depreciation that allows for larger depreciation deductions in the earlier years of an asset's useful life, and smaller deductions in the later years. The depreciation rate is typically double the straight-line depreciation rate, which means that the asset is depreciated at a faster rate in the early years.
To calculate declining balance depreciation, the depreciation rate per year is first determined. This rate is then multiplied by the asset's book value at the beginning of the year to determine the depreciation expense for the year. The book value is then reduced by the depreciation expense, and the process is repeated for subsequent years until the asset's book value is reduced to its salvage value or zero.
It's important to note that different depreciation methods can result in different amounts of depreciation expense and book value for the same asset over time. The choice of depreciation method can have a significant impact on a company's financial statements and tax liability.
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the system in which an employer pays her employees an amount based on how well they do their jobs, regardless of gender, is called:
Pay equity is the idea that employees of the same gender, race, ethnicity, or other status should be paid equally for jobs with similar responsibilities.
What does confirmation of an organization relationship incorporate?
When a contract is made on behalf of the principal by someone who is not an agent and the principal accepts the contract and (enforces) it, the contract is not enforceable and has legal force. This is recognition.
What exactly is a partnership contract?Partnership. A contract between two or more people to operate the company as co-owners and share profits and control. There can be explicit or implicit agreement.
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-TV and QRS-TV are trying to decide whether to air a sitcom or a reality show in a given time slot. Viewers like both sitcoms and reality shows, but sitcoms are more expensive to produce than reality shows since real actors need to be hired. QRS-TV makes its decision first, and then P-TV observes that choice before making its decision. Both stations know all of the information in the decision tree below. Given the information in this decision tree, if QRS-TV announces that it will air a reality show, it can expect to:
Answer:
i am not sure
Explanation:
the capitalist mutual fund's assets are valued at $45 million. the fund has liabilities of $3 million, and the investment company sponsoring the fund has issued 1,600,000 shares. what is the fund's net asset value?
The fund's net asset value is $26.25 per share. To calculate the net asset value (NAV) of the capitalist mutual fund, we need to consider its assets, liabilities, and the number of shares issued by the investment company sponsoring the fund.
The fund has assets valued at $45 million and liabilities of $3 million. The sponsoring company has issued 1,600,000 shares.
Step 1: Calculate the fund's net assets by subtracting the liabilities from the total assets.
Net Assets = Total Assets - Liabilities
Net Assets = $45 million - $3 million
Net Assets = $42 million
Step 2: Calculate the net asset value per share by dividing the net assets by the number of shares issued.
NAV = Net Assets / Number of Shares
NAV = $42 million / 1,600,000 shares
NAV = $26.25
This value represents the price at which each share of the mutual fund can be bought or sold, reflecting the underlying value of the fund's assets minus its liabilities, divided by the total number of shares outstanding.
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Answer: $26.25
Explanation: The Capitalist Mutual Fund's portfolio is valued at $45 million. The fund has liabilities of $3 million, and the investment company sponsoring the fund has issued 1,600,000 shares. $26.25 is the fund's net asset value. $42M divided by 1.6M = $26.25 per share.
PLEASE MARK ME AS BRAINLIEST IF MY ANSWER IS HELPFUL thank you
Listen All of the following are among the ways in which an organization applies the differentiation strategy to provide the customer with something that is unique and distinctive from its competition except: O create a higher quality product design a technically superior product develop a special appeal for the product undercut competitor's prices for comparable products
Listen Starbucks coffee uses a__design. networking focused differentiation O geographic
Answer:
Explanation:
Among the given options, the exception is:
Undercut competitor's prices for comparable products.
The other options mentioned—creating a higher quality product, designing a technically superior product, and developing a special appeal for the product—are ways in which an organization applies the differentiation strategy to provide the customer with something unique and distinctive from its competition. These strategies aim to differentiate the organization's products or services in a way that sets them apart from competitors and creates value for customers. However, undercutting competitor's prices does not typically align with the differentiation strategy, as it primarily focuses on offering products or services at a lower cost rather than providing unique and distinctive features or qualities.
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branches of accounting
The birthrate in the U.S. increases by 20%. Download the graph below and illustrate what will happen to supply and demand for college educations. Illustrate and label on the graph any shifts in supply or demand. Your labels should include D1, D2, S1, S2, E1, E2, and E3.
Because the birthrate in the U.S. increases by 20%, then, the supply and demand for college educations will increase significantly to the uptrend.
What is the supply and demand for college educations?The supply indicates the provision of college education by the schools while the demand indicates the willingness of more people to get college education.
As the birthrate increase, the demand for college educations will increase as well, thereby, increasing the supply for college educations.
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The acid-test ratio takes the sum of cash, short-term investments, and ________ and divides the total by current liabilities. It helps determine immediate short-term debt-paying ability.
The acid-test ratio takes the sum of cash, short-term investments, and receivables and divides the total by current liabilities. .
Acid test ratio is also known as quick ratio. It is a measure of the capability of a firm to use its short term assets to meet current liabilities. It is an example of an activity ratio.
Acid test ratio = (current asset - inventory) / current liabilities
The higher the acid-test ratio, the better the ability of a firm to meets its short term liabilities.
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The accuracy of forecasting in the healthcare industry has always been an issue. There are a few techniques in forecasting that have aided in the improvement of accuracy. How can the healthcare industry improve when it comes to financial forecasting? Start with Teel (2018) and identify supporting or refuting reference sources.
According to Teel (2018), the healthcare industry can improve its financial forecasting by using forecasting methods such as regression analysis, scenario analysis, and probability forecasting. These methods use historical data to predict future outcomes and can help healthcare organizations make informed financial decisions.
There are several supporting reference sources that highlight the importance of financial forecasting in the healthcare industry. For example, Mazzocato, Savage, Brommels, Aronsson, and Thor (2014) argue that financial forecasting is essential for healthcare organizations to achieve their strategic goals. They suggest that accurate financial forecasting can help organizations allocate resources effectively, identify potential financial risks, and make informed decisions about investments and capital projects.
Additionally, Stensaker and Lien (2016) emphasize the importance of financial forecasting in healthcare organizations that are facing budget constraints. They suggest that financial forecasting can help these organizations identify areas where they can cut costs, as well as opportunities for revenue growth.
On the other hand, there are some refuting reference sources that argue that financial forecasting may not always be accurate in the healthcare industry. For example, Skelton, et al. (2016) suggest that healthcare organizations should be cautious when using financial forecasting to make decisions. They argue that healthcare is a complex industry and that there are many factors that can impact financial outcomes, which may not be captured by historical data. As a result, they suggest that healthcare organizations should use financial forecasting as a tool to inform decision-making, but should also consider other factors when making financial decisions.
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3. Which aspect of professionalism do you feel that you are weakest at? Explain why you think so. Describe at least one thing you could do to improve at it. (1-3 sentences. 2.0 points)
There are several aspects of professionalism that an individual is able to hone, such as communication skills for example.
How to develop communication skills?Communication can be improved through self-confidence and listening skills. It is essential to establish the plan when communicating an important message, with attention to the effectiveness of the channel and the clarity and objectivity of the communication.
Therefore, communication is an essential skill of professionalism that must be developed through openness to experience and dedication.
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a company that produces wallpaper is considering buying some new equipment that it expects will increase future profits. if the interest rate falls, then the present value of these future earnings
When the interest rate falls, the present value of future earnings increases due to the reduced discount rate applied to calculate the present value of cash flows.
When the interest rate falls, the present value of future earnings increases. This is because a lower interest rate reduces the discount rate used to calculate the present value of future cash flows. As a result, the discounted value of the expected future profits of the company increases. A lower interest rate implies that the cost of borrowing or the opportunity cost of capital decreases. Therefore, the company can more easily finance the purchase of new equipment and expects a higher return on investment.
The increased present value of future earnings makes the investment in new equipment more attractive and financially beneficial for the company. It allows the company to allocate resources towards productive investments that are expected to generate higher profits, considering the reduced cost of capital. The lower interest rate creates a favorable environment for the company's decision to purchase the new equipment and leverage the anticipated increase in future profits.
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florida broker devon has chosen to deposit the escrow funds he receives to a title company. after recieving funds from his clients, the hamptons, and depositing the funds with the title company, he must be sure to provide all of the following to the seller's broker except which one?
Florida broker devon has chosen to deposit the escrow funds he receives to a title company. after receiving funds from his clients, the Hamptons, and depositing the funds with the title company, he must be sure to provide all of the following to the seller's broker except the website.
A deposit is a cash you placed into your financial institution account. You must deposit cash in a financial institution to create financial savings and earn a hobby on it. A call for deposit is made for finances you could withdraw anytime. A time deposit is a long-time period investment. A deposit can also be the collateral quantity you pay whilst you are taking on a loan.
A deposit is an amount of cash saved in a financial institution account. The sorts of deposits are calls for deposits and time deposits. Demand deposit debts consist of checking debts, financial savings debts, and cash marketplace debts. Time deposit debts consist of certificates of deposit (CD) debts and personal retirement debts.
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how does the government pay for roads, schools, and emergency services?
Answer:
Taxes
Explanation:
The government pays for the roads, schools, and emergency services by collecting taxes.
What are taxes?
Taxes are obligatory contributions made by individuals or organizations by a government agency — whether local, regional, or national.
Tax revenue supports government services, including public works and services such as roads and schools, or programs such as Community Safety and Medicare.
The Internal Revenue Service (IRS) is responsible for collecting income taxes in the United States.
The cost of building and maintaining highways is received from general taxes such as income and sales taxes as it comes from fuel taxes or other "consumer fees" on drivers.
Thus,the government pays for the roads, schools, and emergency services by collecting taxes.
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the partnership agreement of j. patel and s. moon reflects differences in service and capital contributions as follows: (1) annual salary allowances of $50,000 to patel and $30,000 to moon; and (2) equal share of any remaining balance of income or loss. in the first year, the partnership makes $100,000. the income allocated to patel would be $
the income allocated to patel would be $ 60000 at an annual salary allowances of $50,000 and $30,000 to moon.
given data,
annual salary allowances = $50,000
Remaining income = $10,000
total income = $50,000 + $10,000
= $ 60000
Salary Allowances are any financial compensation that a company provides to employees in excess of the base wage for meeting expenses. The additional financial advantage granted to an employee over and above their monthly wage is known as an allowance. Salary is defined as the money an employee receives in cash, kind, or in the form of a benefit from their company. What do allowances mean? In addition to wages, a company may provide an employee an allowance on a regular basis. As an illustration, consider tiffin allowance, transportation allowance, uniform allowance, etc. Allowances come in three different flavours. Included in these three categories of allowances are non-taxable, partially taxable, and taxable amounts.
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3. Which type of bank card immediately deducts payment for purchases from the cardholder's
checking account?
A.)credit card
B.)debit card
C.)prepaid card
D.)smart card
Answer:
debit card
Explanation:
debit card (also known as a bank card, plastic card or check card) is a plastic payment card that can be used instead of cash when making purchases. It is similar to a credit card, but unlike a credit card, the money is immediately transferred directly from the cardholder's bank account to pay for the transaction.
Answer:
c
Explanation:
it has a certain amount that you can spend on it
Identifying competitive advantages can be difficult and explains why they are typically __________.
Identifying competitive advantages can be difficult and explains why they are typically temporary.
What is competitive advantage?Competitive advantages are economic factors that enables a company be ahead of its competitors when it is able to produce goods which are similar to its competition at a cheaper rate. It is the ability of a company to produce goods more efficiently than its competitors, which leads to greater profit margins.
Examples of competitive advantage are:
Access to natural resources that are restricted from competitors.Highly skilled labor.Unique geographic location.Hence, Identifying competitive advantages can be difficult and explains why they are typically temporary.
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demand is ___ when the price change results in a relatively larger change in the quantity demanded
Answer:
Demand is elastic when the price change results in a relatively larger change in the quantity demanded :3
Explanation:
:3
Consider a second hand car market where three types of cars are being sold: High quality (H), medium quality (M) and low quality (L). Sellers value an H at $2000, an M at $1200 and an L at $800, whereas buyers value an H at $1800, an M at $1600 and an L at $1400. As discussed in the "Akerloff's Lemons Market", sellers are able to distinguish between different quality cars but buyers are not and a buyer believes that in this market 40% of the cars is an H, 30% of the cars is an M and 30% of the cars is an L. a) Determine which type of cars will be sold at the efficient allocation. b) Determine which type of cars will be sold at the market equilibrium.
Answer:
a) Determine which type of cars will be sold at the efficient allocation.
All cars would be sold in a Pareto efficient allocation.
In a Pareto efficient market, resources are all allocated in teh most efficient possible way. This is the reason why this is just a theoretical concept that does not necessarily apply in real life.
b) Determine which type of cars will be sold at the market equilibrium.
Since consumers are only willing to pay up to $1,620 for a used car, only medium quality and low quality cars will be sold. The price of high quality used cars is higher than the equilibrium price.
Explanation:
the most a buyer would be willing to pay for a used car is ($1,800 x 40%) + ($1,600 x 30%) + ($1,400 x 30%) = $720 + $480 + $420 = $1,620
what is the differences and similarities between rental goods services and non goods services
Answer and Explanation:
Rented-Goods Services are represented by retailom where consumers can own a good, or use a service for a specified time. As an example of this, we can mention hotel rooms, ski clothes, cars, houses, among others.
Nongoods Services are also represented by retail, but it presents personal services, where consumers can try them, judge them and then decide if they want to own them.
Firm A and B require labour and machines to produce output. Firm A has L-shaped isoquants, and Firm B has linear (straight), downward-sloping isoquants. Which of the following is true? O a. Workers in Firm B are more substitutable by machines.
Ob. The answer depends on the wage and cost of machines faced by each firm. Oc. Workers in Firm A are more substitutable by machines. Od. It is not possible to compare the substitutability of workers across two firms.
The correct answer is Ob. The answer depends on the wage and cost of machines faced by each firm.
The substitutability of workers and machines depends on the shape of the isoquants and the relative prices of labor and machines.
In this case, Firm A has L-shaped isoquants, which suggests that the marginal rate of technical substitution (MRTS) between labor and machines varies depending on the combination used.
Firm B, on the other hand, has linear downward-sloping isoquants, which implies a constant MRTS between labor and machines.
The relative costs and prices play a crucial role in determining the substitutability between factors of production. Therefore, the correct answer is that it depends on the wage and cost of machines faced by each firm (option b).
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Have you ever bought something you thought would make you happy, but in the end it didn't?
Answer:
ummmmmmmmmm yea, but it's all cool now hbu
Only _______________ goods and services are included in GDP so that expenditures are not counted twice.
Only final goods and services are included in GDP so that expenditures are not counted twice.
Gross Domestic Product (GDP) is a measure of the value of all goods and services produced within a country in a given period of time, usually a year. To accurately measure GDP, it is important to only include the value of final goods and services, rather than intermediate goods and services, which are used as inputs in the production of other goods and services. Including intermediate goods and services in GDP would lead to double counting, as their value would be counted multiple times in the final goods and services they are used to produce. Therefore, only final goods and services, which are those that are sold to the final user, are included in GDP.
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Each of the following is a way that a database may help you manage and manipulate data and records except _____. merging data into a word-processing document merging data into a word-processing document calculating loan payments calculating loan payments updating information in more than one place at the same time updating information in more than one place at the same time arranging the data in a certain order
A way a database could assist you in managing and modifying data and records, excluding loan payment calculations Loan payments are computed.
What provides a great way to manage data in a database?The major piece of technology used to deploy and administer databases is a database management system (DBMS), a software program that acts as an interface between the databases it administers and the database administrators (DBAs), end users, as well as applications that access them.
What kind of database keeps data records that are documents?Document databases, also referred to as Document DBs, are NoSQL databases that store data as documents. Each document shows the data, its relationships to other data items, and the details of the data. Document databases store data in key-value format.
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(e) Recommend two ways in which communication could be improved in a large
organisation. Justify your recommendations.
Way 1:
Way 2:
Give suggestions I will write analysis and conclusion
The recommended ways to improve communication are given below:
The RecommendationsWay 1: Implement a centralized communication platform such as Slack or Microsoft Teams to improve collaboration and facilitate real-time communication across different teams and departments. This would enable employees to quickly and easily share information, documents, and updates, leading to increased productivity and more efficient decision-making.
Way 2: Conduct regular town hall meetings or all-hands meetings, where senior leaders can address the entire organization, provide updates on business goals and priorities, and answer questions from employees. This would help improve transparency and ensure that everyone is aligned on company goals and objectives, leading to greater engagement and job satisfaction.
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What is the best way to encourage customers to come back to your site?
A.Stalk them.
B.Use direct mail.
C.Post viral videos.
D.Treat them like they're special.
Answer:
D because they will feel like they are being cared about and will come back
Your email campaign has an open-rate of 9.6%, you emailed 25,000 people. How many people opened your email?
Answer:
2,400 people
Explanation:
if open rate is 9.6%
people emailed were 25,000
the people who opened will be 9.6% of 25,000
=9.6/100 x 25,000
=0.096 x 25,000
=2,400
When an organization buys raw materials that are reprocessed and sold as finished goods, or if it buys a good it will then sell, then it is considered to be?.
Answer:
Explanation:
Three types of organizational buying situations: new buy, straight rebuy, or modified rebuy
USA TEST PREP HELP ILL GIVE BRAINLIEST. If both monetary policy and fiscal policy were used at the same time to contract the economy, which set correctly describes the likely result of these actions?
A) A
B)B
C)C
D)D
Answer:
I am unsure of the answer but it can be narrowed down to B D or E because the GDP would decrease.
What is a tampered device?
A tampered device is, where tampered is a combination of Android devices that fail that Safety Net check and iOS devices detected to be jail broken. Android users can trigger them by failing the SafetyNet or Duo's standalone rooted test.
Android is an open-source operating system used for smartphones and tablet computers.
Device Tampering is interfering with device's software or hardware. A tampered device is called in Tampered State. Tampered State can include a 'rooted device', 'device affected by malware' or 'device being monitored by some malicious piece of code'. A tampered state can have many definitions.
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