The shop manager's desired service level is 91%
What is Lead time?The delay between the start of a procedure and its conclusion is known as a lead time. For instance, the lead time from placing an order and receiving a new automobile from a certain manufacturer might range from 2 weeks to 6 months, based on a variety of specifics.
Lead time is the time of time from the beginning of a procedure to its completion. In the pre-processing, processed, and post-processing stages of the manufacturing, supply chain, and management processes, businesses evaluate lead times. The delay here between start of a procedure andits conclusion is known as a lead time.
The shop manager's desired service level is computed as follows:
R = Stock out risk = 9 %
SL = Service Level = 1 - R
= 100 - 9
= 91%
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Mention any five important points of universities.
Answer:
1. A positive attitude towards study.
2. A passion for the chosen course subject.
3. An ability to think and work independently.
4. An ability to persevere and complete tasks.
5. An inquiring mind.
6. Good written English.
7. An ability to work well in groups.
Extras you receive for employment, which could include retirement plans, health insurance, and vacation time, are called ______. A. Flextime b. Income c. Benefits d. Outlook Please select the best answer from the choices provided A B C D.
Answer:
C. Benefits
Hope this helps!
Pineapple whip, a company that makes an ice cream-like treat using pineapple, sells its branding, production techniques, and proprietary flavors to other companies for a fee and a share of the profits. Pineapple whip is engaged in.
In this context, the Pineapple whip is engaged in a business arrangement called Franchising.
What is Franchising?Franchising is a business arrangement where the franchisor (one party) grants some rights and authorities to the franchisee.
In this case, the franchisee will pays a fee to the franchisor because he is using the business's success, trademarks, proprietary knowledge etc.
In conclusion, the Pineapple whip is engaged in a business arrangement called Franchising.
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In Europe, schoolchildren devote time during each school day to calisthenics. North American schools rarely offer a daily calisthenics program. Tests prove that North American children are weaker, slower, and shorter-winded than European children. We must conclude that North American children can be made physically fit only if they participate in school calisthenics on a daily basis. Which one of the following is assumed in the passage?
a. All children can be made physically fit by daily calisthenics.
b. All children can be made equally physically fit by daily calisthenics.
c. Superior physical fitness produces superior health.
d. School calisthenics are an in indispensable factor in European children’s
e. North American children can learn to eat a more nutritious diet as well as to exercise daily.
Answer:
ummmm...
Explanation:
FIRST ANSWER WILL BE NAMED BRAINLIEST
Which action would effectively and appropriately address a budget deficit?
A. reduce income
B. reduce expenses
C. apply for bankruptcy
D. apply for new credit
Answer:
It is letter B
Explanation:
Reducing expenses would effectively and appropriately address a budget deficit. Thus option B is correct.
What is the budget?A budget is a financial plan that projects future earnings and costs. A budget, put simply, forecasts future finances in addition to anticipated revenues and expenditures. Calculating the company's earnings and costs for a set period of time is the procedure for creating a budget.
Increasing tax rates while decreasing government expenditures are the two apparent ways to minimize a budget deficit. the reduction of government spending and/or the raising of taxes, which results in either a rise in the primary surplus or a decrease in the budget deficit. greater taxes and less funding by the government. If public spending is lower than tax receipts, a budget surplus results.
Therefore, option B is the correct option.
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financial statement users need to be aware of changes in inventory levels when using
Financial statements are used to assess the performance and financial stability of a firm. Inventory is an essential part of a business' operations since it represents the raw materials and ongoing activity.
How does the revenue statement alter when inventory changes?To calculate a company's cost of goods sold, an increase in inventory will be deducted from purchases of goods and a decrease in inventory will be added to purchases of goods.
What impact does inventory have on the financial statement of a company?The cost of inventory sold appears as cost of goods sold on the income statement. The balance of retained earnings on the statement of retained earnings is impacted by the cost of goods sold figure since it has an impact on the business's net income.
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if a monopoly can produce a good at zero marginal cost, then its lerner index is a) infinity. b) one. c) zero. d) undetermined.
The correct answer is: b. one.If L is0, the market is perfectly competitive, and the profit margin is low.
A Lerner index of 0 means what? When there is no change in revenue, the revenue is maximized.When Q = 12 units, the quantity at which marginal revenue is zero, is reached, something happens.Production at the point where marginal revenue and marginal cost are equal maximizes profit for monopolies.The quantity where marginal revenue equals zero is where revenue is maximized.Monopoly power, also known as market power, is measured by economists using the Lerner Index.The index measures the price's markup as a percentage of marginal cost.The Lerner Index shows an increase in market power and is positive (L0). The Lerner index will therefore always be between 0 and 1: the closer it is to 0, the closer it is to perfect competition; the closer it is to 1, the greater the seller's market power and, consequently, the closer it is to a monopoly.To learn more about Lerner index refer
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Calculate the FV for the following 3 scenarios. Investment scenario #1:
You invest $1,000 (PV) for 10 years (n) at an interest rate of 5% (r). What is the amount you would receive at
the end of 10 years (FV)?
Investment scenario #2:
You invest $5,000 (PV) for 20 years (n) at an interest rate of 8% (r). What is the amount you would receive at
the end of 20 years (FV)?
Investment scenario #3:
You invest $10,000 (PV) for 30 years (n) at an interest rate of 12% (r). What is the amount you would receive
at the end of 30 years (FV)?
PLEASE ANSWER WITH WORK SHOWN :)
Answer:
?
Explanation:
Answer:
$2191.12
Explanation:
We are asked to find the value of a bond after 10 years, if you invest $1000 in a savings bond that pays 4% interest, compounded semi-annually.
FV=C_0\times (1+r)^n, where,
C_0=\text{Initial amount},
r = Rate of return in decimal form.
n = Number of periods.
Since interest is compounded semi-annually, so 'n' will be 2 times 10 that is 20.
4\%=\frac{4}{100}=0.04
FV=\$1,000\times (1+0.04)^{20}
FV=\$1,000\times (1.04)^{20}
FV=\$1,000\times 2.1911231430334194
FV=\$2191.1231430334194
FV\approx \$2191.12
Therefore, the bond would be $2191.12 worth in 10 years.
Question #2: Why should we simplify expressions in algebra Using race
Answer:
Why should we simplify expressions in algebra Using race?
Learning how to simplify an expression is the most important step in understanding and mastering algebra. Simplification of expressions is a handy mathematics skill because it allows us to change complex or awkward expressions into simpler and compact forms.
xXxAnimexXx
Have a great day!
Ingersol Construction Supply Company is developing its annual financial statements at December 31, current year. The statements are complete except for the statement of cash flows. The completed comparative balance sheets and income statement are summarized as follows:
Additional Data:
a. Bought equipment for cash, ($ 21,000).
b. Paid $ 6,000 on the long-term note payable.
c. Issued new shares of stock for $ 16,000 cash.
d. Dividends of $ 15,000 were declared and paid in cash.
e. Other expenses included depreciation, ($ 5,000); wages, ($ 20,000); taxes, ($ 6,000); and other, ($ 6,800).
f. Accounts payable includes only inventory purchases made on credit. Because there are no liability accounts relating to taxes or other expenses, assume that these expenses were fully paid in cash.
Required:
(1) Prepare the statement of cash flows using the indirect method for the year ended December 31 , current year.
To prepare the statement of cash flows using the indirect method for the year ended December 31, current year, we need to analyze the provided data and categorize the transactions into three main sections: operating activities, investing activities, and financing activities.
1. Operating activities:
To calculate the cash flow from operating activities, we need to adjust the net income by considering non-cash items and changes in current assets and liabilities. In this case, we have the following information:
- Other expenses: depreciation ($5,000), wages ($20,000), taxes ($6,000), and other ($6,800). These expenses are not cash outflows but are recorded as expenses in the income statement. We add them back to the net income.
- Changes in current assets and liabilities: Since all expenses were assumed to be fully paid in cash, we don't have any adjustments related to changes in current assets and liabilities.
2. Investing activities:
We have one transaction related to investing activities:
- Bought equipment for cash ($21,000). This transaction is a cash outflow and is categorized as an investing activity.
3. Financing activities:
We have two transactions related to financing activities:
- Paid $6,000 on the long-term note payable. This transaction is a cash outflow and is categorized as a financing activity.
- Issued new shares of stock for $16,000 cash. This transaction is a cash inflow and is categorized as a financing activity.
- Dividends of $15,000 were declared and paid in cash. This transaction is a cash outflow and is categorized as a financing activity.
Now, we can summarize the statement of cash flows using the indirect method:
Statement of Cash Flows for the Year Ended December 31, current year
-------------------------------------------------------------
Operating Activities:
Net Income: $X
Adjustments:
- Add: Depreciation $5,000
- Add: Wages $20,000
- Add: Taxes $6,000
- Add: Other $6,800
Net Cash Provided by Operating Activities: $X
Investing Activities:
- Purchase of Equipment ($21,000)
Net Cash Used in Investing Activities: ($21,000)
Financing Activities:
- Payment of Long-Term Note Payable ($6,000)
- Proceeds from Issuance of Stock $16,000
- Payment of Dividends ($15,000)
Net Cash Provided by Financing Activities: ($5,000)
Net Increase/(Decrease) in Cash: $X
Explanation:
In the operating activities section, we adjust the net income by adding back non-cash expenses. Since there are no changes in current assets and liabilities, there is no need for adjustments related to them.
In the investing activities section, we include the cash outflow for the purchase of equipment.
In the financing activities section, we include the cash outflow for the payment of the long-term note payable and the payment of dividends. We also include the cash inflow from the issuance of stock.
Finally, we calculate the net increase/(decrease) in cash by summing up the cash flows from operating, investing, and financing activities.
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A _____ is a set of unique features of a company and its products that are perceived by the people or companies the organization wishes to serve as significant and superior to those of the competition.
A competitive advantage is a set of unique features of a company and its products that are perceived by the people or companies the organization wishes to serve as significant and superior to those of the competition.
What exactly is a competitive advantage?If a company have something that gives it an edge over its competitors that eventually helps it attract more customers and grows its market share, then it is a competitive advantage to the company.
There are three primary forms of a competitive advantage, namely (1) cost advantage, (2) offer advantage, and (3) niche advantage.
Cost advantage means providing a service or producing a product at a lower cost than competitors.Offer advantage means a company's product or service stands out from the competitors by meeting a unique customer need.Niche advantage means designing a product or service that attracts a specific audience.Find out more about competitive advantage here: https://brainly.com/question/26514848
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You deposit $1,500 in a bank where you have a savings account. The bank
pays you an interest of 5% per month. But later, the bank reduces the
interest rate from 5% to 3%, and that reduces your interest earnings from
$75 to $45.
What kind of risk explains the given situation?
according to proponents of the interest-rate-based monetary policy transmission mechanism, any increase in the money supply
According to proponents of interest-rate-based monetary policy, an increase in the money supply can lead to inflation and currency devaluation unless accompanied by increased output or economic activity.
According to proponents of the interest-rate-based monetary policy transmission mechanism, any increase in the money supply can lead to inflation and currency devaluation unless accompanied by a corresponding increase in output or economic activity. This is because an increase in the money supply without a corresponding increase in output can lead to an increase in demand for goods and services, which can push up prices.
In addition, an increase in the money supply can lead to a reduction in interest rates, which can make borrowing cheaper and stimulate investment and economic activity. This can lead to increased output and employment, which can help to offset the inflationary impact of the increase in the money supply.
However, if the increase in the money supply is not accompanied by an increase in output or economic activity, it can lead to inflation, as the excess money chases a limited supply of goods and services.
This can lead to a devaluation of the currency, as investors lose confidence in its purchasing power. Therefore, proponents of the interest-rate-based monetary policy transmission mechanism argue that it is important to use interest rates to manage the money supply and maintain a balance between inflation and economic growth.
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You scheduled a meeting with your banker to discuss your findings. How will you fine-tune your product to incorporate your market research?
Answer:
5 Simple Steps to Fine-Tune Your Digital Marketing Planwww.convinceandconvert.com › digital-marketing › fi...
Were results good, targets met, and goals achieved? Or did your plan totally miss the mark? If you don't review what you did, how will you know what worked
Explanation:
Which post-secondary program requires minimal prerequisites?
Answer with Explanation:
It depends upon the college or university you choose. If you are choosing a foreign college or university then following are the possible minimal pre-requisites:
Age FactorAttained Marks percentage Language Speaking requirement which includes taking an English speaking, learning and writing test. Examples of approved english skills tests programs are TOEFL, IELTS, etc.Minimum Fee depositCharacter CertificateValid PassportPersonal Information Providing Field oriented report which explains why you want to opt this program.Other requirements depending upon the course, university and law that governs the territory in which the institute operates.Item 4 Victor bought 50/100/50 liability with a $250 deductible on collision and $150 deductible on comprehensive coverage. If the base premiums are $310, $245, $185, and $102, respectively, how much is his total base premium
Victor's total base premium is $842. This is calculated by adding up the individual base premiums for each coverage type.
To calculate Victor's total base premium, you need to add the base premiums of each type of coverage he purchased. Victor bought 50/100/50 liability, collision with a $250 deductible, and comprehensive coverage with a $150 deductible.
The base premiums for these coverages are $310, $245, $185, and $102, respectively. To find the total base premium, simply add these amounts together: $310 (liability) + $245 (collision) + $185 (50/100/50) + $102 (comprehensive) = $842.
So, Victor's total base premium for his auto insurance policy is $842. This amount represents the cost of the coverage before any additional discounts or fees are applied.
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Think of a time you encountered an ethical dilemma. What was the situation? How did you react? Do you behave ethically? How do you know?
(i never had a ethical problem plz HELP!!!!!!!)
Answer: Ok so i work in a place where realtionships at the job are forbbiden, well not forbbiden strictly but you get it right. so, this boy and this girl were dating and once the boss found he did not let them work together he actually seperated them and the girl had to work with me and the boy had to work with other coulleges.
Explanation: i hope you understand
Answer:
One time I was working in a group with my friends for a school project and they weren't acting appropriately or doing their part of the project. I didn't know if I should ask the teacher for a new group and upset my friends, or if I should just do the project myself so as to not risk upsetting my friends and still get a good grade. I reacted by having a serious conversation with my friends and explaining the situation. I behaved ethically because I communicated the issue, and we were able to solve it by them realizing what they were doing, focusing and completing their part of the project, and all of us getting it done as a team.
Why might it be more difficult to obtain a career rather than a job?
Answer:
A career is a chosen pursuit; a profession or occupation. You need to study hard to get a career unlike a job. A job is a regular remunerative position. You can literally get a job at McDonalds in less than a week, whereas you work years and years to gain a career.
Explanation:
The balance on a credit card, that charges a 20%
APR interest rate, over a 1 month period is given in
the following table:
Days 1-5: $200 (initial balance)
Days 6-20: $350 ($150 purchase)
Days 21-30: $150 ($200 payment)
What is the finance charge, on the average daily
balance, for this card over this 1 month period?
finance charge = $ [?]
Round to the nearest hundredth.
Enter
The balance on a credit card, that charges a 20% APR interest rate, the Finance charge is given as
$4.3055
This is further explained below.
What is the APR interest rate?Generally, The interest rate that is applied to a loan, mortgage loan, credit card, etc. is referred to as an annual percentage rate of charge, which sometimes corresponds to a nominal APR and sometimes corresponds to an effective APR.
The annual percentage rate of charge is the interest rate for the entire year, as opposed to just a monthly fee or rate. It is a fee for financing that is presented in the form of an annual rate.
Interest rate APR = 12%
Average balance = ((200*5)+(350*15)+(150*10))/30
Average balance = $258.33
Average balance*APR/12
Finance charge =\(\frac{258.33*20 \%}{12 }\)
Finance charge = $4.3055
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Now that Amazon does collect sales tax in most states, what other loopholes has Amazon found to evade other taxes?
(In depth response)
Another area in which Amazon has found another tax loophole in order to evade taxes is:
They make use of foreign based companies to receive payments from customers in another country.What is a Tax Loophole?This refers to the legal clauses which the rich people and corporations exploit in order to evade paying tax or paying as much as other people.
One tax loophole which is being used by Amazon to evade tax is the use of foreign based companies to receive payments from customers in another country and bypass HMRC.
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What is the primary purpose of incident investigation?
A. To determine the direct and root causes of the incident
B. To disturb physical evidence
C. To find fault
D.To satisfy the insurance company
Customer service levels can be improved by better:
A.
mission statements.
B.
control charting.
C.
short-term forecast accuracy.
D.
exponential smoothing.
E.
customer selection.
Customer service levels can be improved by better C) short-term forecast accuracy.
Short-term forecasting is the practise of making predictions about what will happen soon (we generally think of it as hour-by-hour) and then using that information to develop a strategy to fulfil those demands. Long-term projections are less reliable than short-term ones.
A longer forecasting horizon considerably raises the likelihood that future demand will be impacted by developments we are not now aware of. Any present or recent past conditions that serve as a foundation for or an improvement to the forecast may be included in the short term forecast. The level of detail in the short-term forecast will be determined by the availability of radar, satellite images, and other remote sensing tools.
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along the aggregate supply curve, the quantity of real gdp supplied increases when the price level rises because group of answer choices the demand for the goods and services increases. the real wage rate rises. the real wage rate falls. profits decrease. the real wage rate and profits both fall.
Along the aggregate supply curve, the quantity of real GDP supplied increases when the price level rises because "the demand for the goods and services increases" (option a).
As the price level rises, the demand for goods and services typically increases, which leads firms to increase their production in order to meet the higher demand. This increase in production leads to a higher quantity of real GDP supplied. Conversely, if the price level were to decrease, the demand for goods and services would likely decrease, which would lead firms to reduce their production and the quantity of real GDP supplied would decrease.
The real wage rate and profits can also be important factors affecting the quantity of real GDP supplied, but they are not directly related to changes in the price level along the aggregate supply curve.
Option a is answer.
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the practice of charging each and every consumer the price she is willing and able to pay for a good or service describes: multiple select question. first-degree price discrimination. perfect price discrimination. second-tier price discrimination. personal pricing.
The practice of charging each and every consumer the price she is willing and able to pay for a good or service describes first-degree price discrimination and perfect price discrimination.
What is price discrimination?Price discrimination is when the same product is sold at different prices to customers in different markets
Types of price discrimination
First degree price discrimination : the sellers sells his product at a price that would eliminate the consumer surplus of each customer. It is also known as perfect price discrimination. Second degree price discrimination : here firms offer different prices depending on the quantity purchased. eThird degree price discrimination : firms charge different prices to different groups of customers.To learn more about price discrimination, please check: https://brainly.com/question/25818680
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Explain one disadvantage to a sole trader of having unlimited liability
the price elasticity of demand for color printers is 1.6 and you would like to see the quantity demanded for color printers to increase by 32%. then the percentage change in price should be
The Price Elasticity of Demand for color printers is 1.6.
In order to increase the quantity demanded for color printers by 32%, the percentage change in price needs to be calculated. Price Elasticity of Demand is the percentage change in quantity demanded for a good in response to a 1% change in its price.
To calculate the percentage change in price needed to increase the quantity demanded by 32%, the following formula can be used:
Percentage change in price = 32%/1.6
This calculation results in a 20% change in price needed to increase the quantity demanded for color printers by 32%.
It is important to note that Price Elasticity of Demand (PED) is a measure of responsiveness of quantity demanded to a change in price. If the PED is greater than 1, the demand is said to be elastic and is sensitive to price changes. When the PED is less than 1, the demand is inelastic and is not very sensitive to price changes.
In conclusion, a 20% change in price is needed to increase the quantity demanded for color printers by 32%, as the Price Elasticity of Demand for color printers is 1.6.
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Determine the Sample Size for the Following Questions
5. What sample size is required to estimate the average income of a population, with a range of income from $50,000 to $100,000, and a margin of error of no more than $5,000, 99% of the time?
6. How would the sample size needed change from that in Q5 if the confidence level was reduced to 95%?
7. Tabbi wants to open a bridal salon. She wants to estimate the average price of wedding dresses sold in her city. She wants to be accurate 95% of the time and she has the standard deviation from a previous market study of $800. She wants to be within $75/dress. How big a sample does she need to draw to do her research?
5. Sample Size required to estimate the average income of a population, with a range of income from $50,000 to $100,000, and a margin of error of no more than $5,000, 99% of the time is 291.17.
For this situation, we use the formula:
n = ((Z² x σ²) / E²)
This becomes n = ((Z² x σ²) / E²) = ((2.58)² x 25,000) / (5,000)² = 291.17.
The sample size required is 291.17, which is rounded up to 292.6, and then rounded up again to 293. 6.
If the confidence level is reduced to 95%, the sample size needed would decrease from that in Q5.
The sample size required can be determined using the formula:
n = ((Z² x σ²) / E²)For 95%, we use a Z-value of 1.96.
This becomes n = ((Z² x σ²) / E²) = ((1.96)² x 25,000) / (5,000)² = 184.64.
The sample size required is 184.64, which is rounded up to 185.7, and then rounded up again to 186. 7.
To determine the sample size required for Tabbi's research, we use the formula:
n = ((Z² x σ²) / E²)
We know that:
σ = $800,
E = $75, and the
confidence interval is 95%, so
Z = 1.96.
Substituting the values in the formula we get:
n = ((1.96² * 800²) / 75²) = 77.44,
which is rounded up to 78.
Thus, Tabbi will need a sample size of 78.
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A supererogatory act is an act that is beyond the call of duty.
True
False
Planning includes tasks related to each of the ____ project management knowledge areas.
Planning includes tasks related to each of the ten project management knowledge areas.
Project management is the planning and coordination of a company's resources to advance the completion of a particular work, event, or duty. Managed resources include people, money, technology, and intellectual property, and they can be used for one-time projects or ongoing operations.
Project management is frequently linked to industries like engineering, building, and, more recently, healthcare and information technology (IT), which frequently require a complicated set of components to be finished and connected in a certain way to produce a usable output. A project's preparation, start, execution, monitoring, and closure are all fundamental components of project management.
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A company, using the periodic inventory system, has merchandise inventory costing $175 on hand at the beginning of the period. During the period, merchandise costing $635 is purchased. At year-end, merchandise inventory costing $160 is on hand. The cost of merchandise sold for the year is
A. $970
B. $650
C. $300
D. $620
The cost of merchandise sold for the year is $650.
what is periodic inventory system?
The stock control system is a method of actually counting the inventory at present intervals in order to value it for the purposes of financial reporting. This method of accounting involves taking inventory at the beginning of each shift, adding new stock items over the course of the period, and deducting ending inventories to determine the cost of the goods sold (COGS).
Under the periodic inventory approach, a company won't be aware of its unit product offerings or COGS until the entire operation is complete. For a business with a tiny proportion of SKUs working in a slow industry, this approach might be appropriate, but for all other businesses, the permanent inventory management system is favored for the following important reasons:
The periodic approach is time-consuming and might result in stale figures that are less relevant to management. The everlasting existing system refreshes the determines the appropriate registry in an industry's database management system, improving processes an instantaneous view of inventory.To learn more about periodic inventory system:
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