on january 1 2020, bumper corp. acquires a customer list for 400000. bumper estimates that that this customer list will generate value for at least 5 years. at the end of 3 years, bumpers plans to sell the customers list to another company for 62,500. on bumper's income statement for the year ended december 31, 2020, how much amortization expenses should it report

Answers

Answer 1

On bumper's income statement for the year ended December 31, 2020, the amortization expenses should it report $112,500.

Along with the balance sheet and the cash flow statement, an income statement is one of the three key financial statements that presents a company's financial performance for a certain accounting period.

The revenue, costs, profits, and losses incurred by a corporation during a specific time period are the main topics of the income statement.

The Annual Amortization Expense for the bumper corp. is:

Annual Amortization Expense = (Cost – residual value)/ useful life

Annual Amortization Expense = ($400,000 – $62,500)/ 3 years

Annual Amortization Expense = $112,500

Therefore, the  annual amortization expense is $112,500.

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Related Questions

Grand Energy Corporation (GE) plans to issue bonds to raise $190 million. GE's investment banker will charge 5 percent of the total amount issued to help raise the funds. The market value of each bond at issue time will be $1,000. How many bonds must GE sell to net $190 million after flotation costs? Assume that fractions of bonds cannot be issued. Round your answer to the nearest whole number.

Answers

The number of bonds that GE must sell to net $190 million after flotation costs is 200,000 bonds.

Number of bonds

First step is to calculate the amount issue

Net proceeds = Amount of issue x (1 - Flotation costs)

$190,000,000 = Amount of issue x (1 - 0.05)

Amount of issue = $190,000,000/0.95

Amount of issue= $200,000,000

Second step is to calculate number of bonds

Number of bonds = $200,000,000/$1,000

Number of bonds= 200,000 bonds

Inconclusion the number of bonds that GE must sell to net $190 million after flotation costs is 200,000 bonds.

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Risk can be thought of as the possibility of incurring??

Answers

Answer:

Risk can be thought of as the possibility of incurring a loss.

Explanation:

Loss.

Maricopa's Success scholarship fund receives a gift of $ 100000. The money is invested in stocks, bonds, and CDs. CDs pay 5.25 % interest, bonds pay 5.1 % interest, and stocks pay 7.1 % interest. Maricopa Success invests $ 15000 more in bonds than in CDs. If the annual income from the investments is $ 5837.5 , how much was invested in each account

Answers

Approximately $22,951.15 was invested in CDs, and $22,951.15 + $15,000 = $37,951.15 was invested in bonds. The remaining amount would have been invested in stocks.

Let's assume the amount invested in CDs is x dollars. Since the investment in bonds is $15,000 more than in CDs, the amount invested in bonds would be (x + $15,000) dollars.

Given the interest rates, the annual income from CDs can be calculated as 0.0525x dollars, the annual income from bonds as 0.051(x + $15,000) dollars, and the annual income from stocks as 0.071(x + $15,000) dollars.

The total annual income from the investments is $5,837.5. Therefore, we can set up the following equation:

0.0525x + 0.051(x + $15,000) + 0.071(x + $15,000) = $5,837.5

Simplifying the equation:

0.0525x + 0.051x + 0.051($15,000) + 0.071x + 0.071($15,000) = $5,837.5

0.1745x + 0.051($15,000) + 0.071($15,000) = $5,837.5

0.1745x + $765 + $1,065 = $5,837.5

0.1745x + $1,830 = $5,837.5

0.1745x = $5,837.5 - $1,830

0.1745x = $4,007.5

x ≈ $22,951.15

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Given the behavior of the stock market in recent years:

A:many economists still believe that it is unlikely that investors can hope to earn above-average returns in the stock market by following traditional strategies
B:most economists think the efficient markets hypothesis provides little insight into the behavior of the stock market
C:most economists think the rational investor can outperform the stock market in the long run
D:most economists still think the efficient markets hypothesis is an accurate description of the daily behavior of the stock market

Answers

Most economists still think the efficient markets hypothesis is an accurate description of the daily behavior of the stock market. Here option D is the correct answer.

The efficient markets hypothesis (EMH) asserts that financial markets, including the stock market, are efficient in processing and reflecting all available information.

According to the EMH, it is difficult for investors to consistently outperform the market by using traditional strategies because stock prices already reflect all relevant information.

Despite the behavior of the stock market in recent years, which might include periods of volatility, it does not necessarily invalidate the EMH. The EMH is a long-standing theory in finance that has been widely accepted by the economic community.

It suggests that in an efficient market, it is challenging to predict stock price movements or consistently earn above-average returns through active trading or traditional strategies.

While some economists may have differing views and may propose alternative theories or strategies, the majority still hold the view that the EMH provides a valuable framework for understanding the behavior of the stock market.

They argue that even in times of volatility or seemingly irrational price movements, these can be explained by factors such as market sentiment, investor behavior, or temporary imbalances in supply and demand, rather than systematic opportunities for consistently beating the market. Therefore option D is the correct answer.

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A tax on automobiles imported into the United States that raises prices on imported vehicles to make the price of cars produced in the United States more competitive is a(n) ______; a tax on all oil imported into the United States, which is implemented to raise money for the U.S. government, is a(n)
A. import barrier; income tariff
B. embargo agreement; income tariff
C. quota tariff; revenue tariff
D. revenue tariff; protective tariff
E. protective tariff; revenue tariff

Answers

Answer:

E. protective tariff; revenue tariff

Explanation:

In an international trading, the protective tariff is defined as the tariff that is made to protect the domestic production from the from the foreign competition. This is done by raising the price of the goods that are imported to the United States.

A revenue tariff is defined as the tariff that is imposed on imported goods and is imposed mainly to increase the revenue of the government and not to provide protection to the domestics production or domestic industries.

Thus, in the context, the automobiles which are imported to the US is the protective tariff and the palm oil imported to the US to raise the government revenue is called a the revenue tariff.

in which of the following cases is a firm employing omni-channel retailing? russel stores' sales operations are based on heavy outbound telephone marketing. e-tailers such as hammon market their products through a strong online presence. lues wholesalers markets its products to retailers through personal selling. local convenience stores promote products through word-of-mouth marketing. wingate retail sells its products through e-tailers and hundreds of physical superstores.

Answers

Out of the five cases mentioned, Wingate Retail is employing omni-channel retailing. This is because they are selling their products through both e-tailers and physical superstores. Omni-channel retailing involves creating a seamless shopping experience for customers across multiple channels, such as online, mobile, and physical stores.

By offering their products through both e-tailers and physical superstores, Wingate Retail is providing their customers with a variety of options to purchase their products, whether it be through online shopping or in-store browsing. This allows customers to have the flexibility to shop in the way that best suits them, providing a convenient and personalized experience. In contrast, the other cases mentioned are not employing omni-channel retailing.

Russell Stores relies heavily on outbound telephone marketing, e-tailers like Hammond only sell products through online channels, blue wholesalers only market their products to retailers through personal selling, and local convenience stores rely on word-of-mouth marketing. These companies are not providing their customers with multiple channels to purchase their products, which limits the shopping experience and may lead to lower customer satisfaction.

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What does a risk mean in regard to investments?



A. Uncertain outcomes
B. Certain outcomes
C. High rate of return
D. Low rate of return
E. Both A and C
regard to investments?
F. Both B and D

Answers

Every investment-related uncertainty that has the potential to have a negative influence on your financial well-being is referred to be a risk.

What are risk mean in regard to investments?

It is the possibility of losing the money invested if the security's fair price drops. Higher returns are offered by riskier securities. Market risk is a major component of the risk, but it is not the only one. Other risk categories include inflation risk, reinvestment risk, and credit risk, among others. For instance, market circumstances might influence the value of your investment to increase or decrease (market risk).

Market risk, credit risk, operational risk, strategic risk, liquidity risk, and event risk are just a few of the categories into which risks may be divided. One of the risk categories with the highest priority for every firm is financial risk. Financial risk is a result of market fluctuations, which may be influenced by a variety of causes.

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for a brand manager, which of the four social media networks discussed in the text is preferable for explaining the benefits of a complex product?

Answers

Strategies for complex product : A Four-Step Process

Identifying your goals is the first step.

Customer research is the next step.

Utilizing the appropriate content management system is step three.

Decide how your content should be presented.

Who manages a brand?

A brand manager is a person whose job it is to build the brand of a company's product.

Product branding, or the branding of a product, is crucial because it helps consumers and target markets become aware of a product and makes it possible for customers to understand what the firm has to offer based on its product branding.

Because Y.o.u.T.u.b.e enables users to generate their own content and advertise their product among others, it is the greatest social network to employ if the brand manager wants to convey to consumers the advantages of utilising a difficult product.

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Gina is about to use a fire extinguisher on a small fire.
What factor determines the type of extinguisher she
should use?

Answers

Well the fact that it says that it was a small fire can tell you what kind of fire extinguisher it was

what is pupil reflex?​

Answers

Answer:

constriction of the pupil that is elicited by an increase in illumination of the retina

Explanation:

Khalifa’s friend, Khalid, has told him that managing the finances of the business is very important.

Q1a. What are fixed costs?

Q1b. What are variable costs?

Q1c. What is revenue?

Q1d. Explain the difference between revenue and profit.

Answers

Answer:

Fixed costs are usually negotiated for a specified time period and do not change with production levels. ... Examples of fixed costs include rental lease payments, salaries, insurance, property taxes, interest expenses, depreciation, and potentially some utilities.Variable costs are dependent on production output. ... Examples of variable costs are sales commissions, direct labor costs, cost of raw materials used in production, and utility costs. The total variable cost is simply the quantity of output multiplied by the variable cost per unit of output.Fees earned from providing services and the amounts of merchandise sold. Examples of revenue accounts include: Sales, Service Revenues, Fees Earned, Interest Revenue, Interest Income. ... Revenue accounts are credited when services are performed/billed and therefore will usually have credit balances.Revenue is the total amount of income generated by the sale of goods or services related to the company's primary operations. ... Profit is the amount of income that remains after accounting for all expenses, debts, additional income streams, and operating costs.

Explanation:

1. Suppose that incomes have fallen on average, and that the state of Florida had an extremely favorable growing season for its orange crop. How would we expect that this will affect the supply curve and why? (The supply curve can remain static, the supply curve can shift to the left, we do not have enough information to say, or the supply curve will shift to the right)

Answers

Because it affects the environment and how we devolpe in it every day

Due to severe weather and a disease that affects citrus fruit, Florida's orange harvest is anticipated to fall to its lowest level since before World War II. Orange juice costs would rise as a result of this further reducing the state's already meager supply.

Where Florida is Located?

Florida is a state located in the southeast region of the United States. It is bordered by the Atlantic Ocean and Bahamas to the east and southeast, Georgia to the north, Alabama to the north and northwest, the Straits of Florida to the south, and the Gulf of Mexico to the west.

The Atlantic Ocean and the Gulf of Mexico both border this state, making it unique. With approximately 21 million residents and a land size of 65,758 square miles, Florida is the 22nd-largest state in the nation by both population and area (170,310 km2).

The Miami metropolitan area, which is funded by Florida, is the state's largest metro area even though Jacksonville is the largest city in terms of area.

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Using the table below, Sales Wages and salaries Rent Cost of materials Cost of equity capital Interest on debt Company K 55000 24000 4000 4500 7000 20000 4. Measure Company K's accounting profit. 5. Measure Company K's economic profit. VIR

Answers

Company K's accounting profit can be calculated by subtracting the sum of explicit costs from total revenue.

Measure Company K's accounting profit.

Accounting profit is calculated by subtracting all explicit costs from total revenue. In this case, Company K's accounting profit can be determined as follows:

Total Revenue = Sales

Explicit Costs = Wages and salaries + Rent + Cost of materials + Cost of equity capital + Interest on debt

Accounting Profit = Total Revenue - Explicit Costs

Using the provided values:

Total Revenue = $55,000

Explicit Costs = $24,000 + $4,000 + $4,500 + $7,000 + $20,000

Accounting Profit = $55,000 - ($24,000 + $4,000 + $4,500 + $7,000 + $20,000)

Therefore, Company K's accounting profit can be calculated by subtracting the sum of explicit costs from total revenue.

Measure Company K's economic profit.

Economic profit takes into account both explicit costs and implicit costs. Implicit costs include the opportunity cost of using resources for a particular business venture. In this case, we need to consider the opportunity cost of the company's resources, specifically the cost of equity capital and the interest on debt.

Economic Profit = Accounting Profit - Implicit Costs

To measure Company K's economic profit, we need to include the opportunity cost associated with the cost of equity capital and the interest on debt in addition to the explicit costs.

Therefore, Economic Profit = Accounting Profit - (Cost of Equity Capital + Interest on Debt)

Using the provided values:

Accounting Profit = Calculated in question 4

Cost of Equity Capital = $7,000

Interest on Debt = $20,000

Economic Profit = Accounting Profit - ($7,000 + $20,000)

Hence, Company K's economic profit can be calculated by subtracting the sum of implicit costs (cost of equity capital and interest on debt) from the accounting profit.

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___ relates to a system of checks and balances that limit employees' and managers' opportunity to deviate from policies and codes of conduct.

Answers

Internal controls relate to a system of checks and balances that limit employees' and managers' opportunity to deviate from policies and codes of conduct. So, the correct answer is Internal controls.

Internal controls are processes, policies, and procedures that an organization implements to safeguard its assets, ensure accuracy in financial reporting, and comply with laws and regulations. They provide a system of checks and balances that help limit opportunities for employees and managers to engage in fraud, embezzlement, or other unethical behaviour.

By implementing effective internal controls, organizations can minimize risks, improve accountability, and increase transparency. Overall, the answer demonstrates a good understanding of the concept of internal controls in the context of business and organizational management.

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Describe at least two capital investments that would increase growth for your business. In other words, how might you expand the frontier of your production possibilities curve? Explain how your capital investments would help, and classify each investment by category: facilities, equipment, labor, marketing, or expansion. (Business would be making baked goods and drawings.

Answers

While the second would fall under marketing. Other potential capital investments for a business like this might include expanding facilities (such as renting a larger kitchen or office space), hiring additional labor to increase production, or expanding the product line to include new baked goods or artwork.

What is Capital Investment?

Capital investment refers to the purchase of long-term assets or investments that are expected to provide benefits for the company over a prolonged period. These investments are intended to generate income or increase productivity and efficiency, rather than be used for immediate consumption.

Online Marketing Campaign (Marketing): Another way to expand the business could be to invest in an online marketing campaign. This might involve hiring a marketing consultant to develop a social media strategy or creating targeted ads to reach a wider audience.

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An S corporation does not recognize a loss when distributing assets that are worth less than their basis. a) True b) False.

Answers

b) False. An S corporation does recognize a loss when distributing assets that are worth less than their basis.

When an S corporation distributes assets with a fair market value lower than their adjusted basis, it results in a loss for the corporation. This loss can be recognized and used to offset other income or gains of the S corporation, reducing its taxable income. It is important to note that shareholders of the S corporation may have limitations on deducting the loss on their personal tax returns. Loss refers to a financial outcome where the expenses or costs incurred by an individual, business, or entity exceed the revenue or income generated. It represents a negative result in terms of financial performance. Losses can occur in various contexts, such as in business operations, investments, or personal finances. In business, losses can result from factors such as low sales, high expenses, inefficient operations, or unfavorable market conditions. They can impact profitability and financial stability, and businesses often aim to minimize or mitigate losses through strategic planning, cost control, and risk management.

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⚠︎IF SOMEONE SHARES A LINK DO NOT GO TO IT! IT WILL DOWNLOAD A VIRUS!⚠︎

ok have a good day ❀

Answers

Answer:

tank us.

Explanation:

IF SOMEONE SHARES A LINK DO NOT GO TO IT! IT WILL DOWNLOAD A VIRUS!ok have a good day

6. White Water Kayak Company's bank statement for the month of September showed a balance per bank of $6,900. The company's Cash account in the general ledger had a balance of $5,573 at September 30 . Other information is as follows: (1) Cash receipts for September 30 recorded on the company's books were $5,850 but this amount does not appear on the bank statement. (2) The bank statement shows a debit memorandum for $25 for check printing charges. (3) Check No. 119 payable to Blacque Company was recorded in the cash payments journal and cleared the bank for $236. A review of the accounts payable subsidiary ledger shows a $27 credit balance in the account of Blacque Company and that the payment to them should have been for $263. (4) The total amount of checks still outstanding at September 30 amounted to $4,800. (5) Check No. 148 was correctly written and paid by the bank for $408. The cash payment journal reflects an entry for Check No. 148 as a debit to Accounts Payable and a credit to Cash in Bank for $480. (6) The bank returned an NSF check from a customer for $340. (7) The bank included a credit memorandum for $2,670 which represents collection of a customer's note by the bank for the company; principal amount of the note was $2,600 and interest was $70. Interest has not been accrued. Instructions (a) Prepare a bank reconciliation for White Water Kayak Company at September 30 . (b) Prepare any adjusting entries necessary as a result of the bank reconciliation.

Answers

The total of all adjusting entries is $305 ($263 + $72 - $70). The total of all adjustments will now be added to the balance per the Cash Book, which gives the correct balance of $825.

Bank Reconciliation Statement of White Water Kayak Company as at September 30:

Particulars Amount ($) Amount ($)

Balance as per Bank Statement 6,900

Add: Deposits in transit 5,850

12,750

Less: Outstanding checks 4,800

Adjusted balance 7,950

Balance as per Cash Book 5,573

Add: NSF check 340

5,913

Less: Bank charges 25

Outstanding checks 4,800

Incorrect payment for check no. 119263

Total deductions 5,088

Adjusted balance 825

The Adjusting entries necessary for the bank reconciliation are as follows:

White Water Kayak Company Bank Reconciliation Adjustment Entry:

Account Title and Explanation Debit ($) Credit ($)

Blacque Company Account Payable 263 Accounts Payable 263

To record the correct payment to Blacque Company

Accounts Payable 72 Cash in Bank 72

To adjust the check no. 148 payment difference to Accounts Payable

Interest expense 70 Interest Receivable 70

To record interest earned on the customer's note as per the bank statement

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(T/F) When demand and supply are not equal in a transportation problem then the problem cannot be solved.

Answers

The given statement "When demand and supply are not equal in a transportation problem then the problem cannot be solved" is false because in this case, the problem can still be solved by either adjusting the supply or the demand, or by introducing additional sources or destinations to balance the supply and demand.

A transportation problem is a type of linear programming problem that deals with the distribution of goods from several sources to several destinations in the most efficient manner possible.

Several methods can be used to solve transportation problems, including the Northwest Corner Method, the Least Cost Method, and the Vogel's Approximation Method. These methods can be used to find the optimal solution that minimizes the total transportation cost while satisfying the demand and supply constraints.

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the company closes out any underapplied or overapplied overhead to cost of goods sold. what was the is-28370 company's net operating income for last year?

Answers

The actual and applied overhead costs, sales revenue, and operating expenses for company IS-28370.

To calculate the net operating income for company IS-28370, we will follow these steps:

Step 1: Determine the amount of underapplied or overapplied overhead.
- To do this, we would need information about the actual overhead costs incurred during the year and the amount of overhead that was applied to the jobs or products based on a predetermined overhead rate. Unfortunately, this information is not provided in the question.

Step 2: Close out the underapplied or overapplied overhead to the cost of goods sold.
- If the overhead is underapplied, it means the actual overhead costs were higher than the applied overhead. In this case, we would add the difference to the cost of goods sold.
- If the overhead is overapplied, it means the actual overhead costs were lower than the applied overhead. In this case, we would subtract the difference from the cost of goods sold.

Step 3: Calculate the net operating income.
- Net operating income is calculated as Sales Revenue - Cost of Goods Sold - Operating Expenses. We need the values of sales revenue and operating expenses, which are not provided in the question.

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Consider the following: Days' sales in inventory is 55 days, Average collection period 20 days, and Average payment period is 10. What is the operating cycle?
a. 25
b. 65
c. 75
d. 95

Answers

The operating cycle for this business is 65 days

In this case, the days' sales in inventory is 55 days, meaning it takes the company 55 days to sell its inventory. The average collection period is 20 days, which is the average amount of time it takes for the company to collect payments from its customers. The average payment period is 10 days, which is the average amount of time it takes for the company to pay its suppliers.
To calculate the operating cycle, we add the days' sales in inventory (55) and the average collection period (20), which equals 75. We then subtract the average payment period (10) from this total, which gives us an operating cycle of 65 days.
Therefore, the operating cycle for this business is 65 days. This means that it takes the company 65 days to convert its inventory into cash, collect payments from customers, and pay its suppliers. This information can be used to help manage cash flow and optimize the company's working capital.

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The operating cycle can be calculated by adding the days' sales in inventory to the average collection period, and then subtracting the average payment period.

Operating cycle = Days' sales in inventory + Average collection period - Average payment period

Operating cycle = 55 + 20 - 10

Therefore, the operating cycle is 65 days.

This means that it takes the company 65 days to convert its inventory into sales, collect payments from its customers, and pay its suppliers. The operating cycle is an important measure of the efficiency of a company's working capital management, as it reflects the amount of time that its cash is tied up in the production and sales process. By reducing the operating cycle, a company can free up cash for other uses, such as investment in growth opportunities or debt reduction.

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A credit union

Question 3 options:

is larger than most banks


promotes good spending habits among its members


will allow anyone to join


provides financial service at a higher cost than a bank

Answers

Answer: A credit union promotes good spending habits among its members.

Does anyone know were I can find all the answers to EverFI

Answers

i just use goog le and every answer shows

find two rational number between -3 and -2​

Answers

Answer:

-2.1 and - 2.89

They are rational numbers between - 3 and - 2

If Treasury bills are currently paying 5.2 percent and the inflation rate is 2.7 percent, what is the approximate real rate of interest?

Answers

Answer:

2.43 %

Explanation :

Real Interest rate =  (1 + nominal rate) / (1 + inflation rate) - 1

therefore,

Real Interest rate =  1.052 / 1.027 - 1

                              = 2.43 %

the approximate real rate of interest is 2.43 %

What 3 questions will you ask in the survey?

Answers

do you have a car?

do you have anyone in the house under 18?

are you an expirenced worker?

johathan saved all of his receipts in a folder with different sections labelled with the schedule a and schedule 1 categories. during the year he filed all applicable receipts into this folder, so it only took him 2 hours to total the receipts for each category and fill out schedule a and schedule 1. how much did he save per hour?

Answers

Jonathan saved 2 hours of time by organizing his receipts into sections and filing them into the folder. This means he saved 1 hour per hour, or $60 per hour.

By organizing his receipts and filing them in the folder, Jonathan was able to save himself two hours worth of work. By doing this, he saved himself an hour of work per hour, which is equivalent to $60 per hour.

This is because if Jonathan had spent the two hours totaling up his receipts and filling out Schedule A and Schedule 1, he would have had to spend two hours at his hourly rate of $30, which would have amounted to $60. Therefore, by organizing his receipts and filing them into the folder, Jonathan saved himself $60 per hour.

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the break-even point can be expressed as sales in ___ or ____

Answers

The break-even point can be expressed as sales in dollars or units.

The break-even point is the point at which a business neither makes a profit nor incurs a loss. It is the point where the total revenue earned is equal to the total costs incurred. The break-even point can be calculated by dividing the total fixed costs by the contribution margin per unit. The contribution margin is the amount by which the selling price exceeds the variable cost per unit. Once the break-even point is calculated, it can be expressed as a dollar amount or a unit amount, depending on the needs of the business.

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Favors distribution company purchases small imported trinkets in bulk, packages them, and sells them to retail stores. They are conducting an inventory control study of all their items. The following data for the year 2006 are for one such item, which is not seasonal. [10 points] month jan feb mar apr may jun jul aug sales 11 19 17 14 15 16 20 15 use trend projection to estimate the relationship between time and sales (state the trend line equation in this problem). Calculate forecasts for february 2007, april 2007, and february 2008

Answers

This is the most straightforward and widely used method for forecasting demand. Trend Projection projects future sales by using data from previous sales.

Organizations with sufficient historical sales data—typically more than 18 to 24 months—may employ this strategy.

Can a trend chart be used to predict sales?

The Trend chart compares each forecast amount to the period-end prediction and quota to show how it is trending over time. In order to forecast future revenue over time, a separate predicted realization line is automatically generated. The predictive forecasting feature includes access to the Trend chart.

Forecast: trend equation = a + bx y = a + bx 7 = 15-17858+ (-0,09524) X 14, 4 = 15-17858 -0.09524x Feb 2007 for here: x = 14 4 Feb 2007: 15.17858 -0.09524X14 = 15.17858-1.33336 = 13.84522 Y Feb 2007: 13.84522 The April 2007 forecast can be found here. x=16 In April 2007, 15-17858-009524X16 = =15-17858-11 52384 = 13.65474 In April 2007, 13.65474 The forecast for February 2008 is as follows: x=26 In February 2008, 15.17858-0.09524x26 = 15.178 58-2.47624 = 12.70234 In February 2008, 12.70234.

Month of Math: Sales.

x2 X x = 2x = 36 = 4.5 XS 9=24=118 14-75 79 19  14 2 22 4 42  3 2xy = 527 68 16 s 20 (x)2= (4.5)2 = 20.25 60 5 12 25 May 14 84 36 h=8 7 16 112 49 J 15 120 64 h=8=36 118 527 204 rosel b(slope) = Exy -n

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Manufacturing cells are comprised of groups of similar machines that process a family of parts. T/F

Answers

True. Manufacturing cells are indeed made up of groups of similar machines that process a family of parts. This approach is commonly used in modern manufacturing plants to increase efficiency and productivity.

The idea behind manufacturing cells is to group together machines that have similar functions and can work together seamlessly to produce a specific type of part or product. This approach reduces the time and effort required to switch between different types of products, which in turn reduces downtime and increases output.For example, a manufacturing cell might be comprised of a group of CNC machines that can be used to produce a variety of precision parts. These machines might be set up to work together in a specific order, with each machine performing a specific operation on the part before passing it on to the next machine in the cell. By doing this, the manufacturing process becomes more streamlined and efficient, with less waste and fewer errors.
In summary, manufacturing cells are a powerful tool for modern manufacturing plants that can help to increase productivity, reduce costs, and improve the quality of products. By grouping together similar machines and processing a family of parts, manufacturers can create a more efficient and effective production process that delivers results.

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