This results in an increase in inventory of $243,000 but no change in gross profit or income.
The income statement using absorption costing based on production of 20,250 tons and sales of 16,200 tons is as follows:
Sales (16,200 tons at $96 per ton) $1,555,200
Inventory increase (4,050 tons at $60 per ton) 243,000
Cost of goods sold (20,250 tons at $60 per ton) 1,215,000
Gross profit 583,200
Selling and administrative expenses 210,800
Income $372,400
Yes, the company can report a positive income by increasing production to 20,250 tons and storing the 4,050 tons of excess production in inventory. By doing this, the company can report an inventory increase of $243,000 which will offset the cost of goods sold. The gross profit remains the same and the income is positive at $372,400.
The income increases by $0 because the gross profit remains the same at $583,200. However, by increasing production and storing the excess inventory, the company incurs additional fixed overhead costs of $40 per ton for the 4,050 tons produced but not sold. This results in an increase in inventory of $243,000 but no change in gross profit or income. Therefore, the company should consider the additional administrative expenses and storage costs before deciding to produce more than the projected demand.
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Bond A is a discount bond and Bond B is a par bond. All else equal, which bond has the higher coupon rate? OA OB O AB
All else equal, Bond B, which is a par bond, would have the higher coupon rate. A discount bond is a bond that is sold at a price lower than its face value or par value, while a par bond is sold at its face value.
The coupon rate is the annual interest rate that the bond issuer pays to the bondholder as a percentage of the bond's face value. Generally, discount bonds have lower coupon rates compared to par bonds. This is because the discount bond's price is already below par, and the lower coupon rate helps to compensate investors for the lower initial investment. On the other hand, a par bond is sold at face value, so it typically offers a higher coupon rate to provide the necessary return to investors. Therefore, all else being equal, Bond B, which is a par bond, would have the higher coupon rate compared to Bond A, the discount bond.
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3 You purchased 10 shares of JP Morgan (JPM) at $100 per share five years ago. JPM paid a $1.25 quarterly dividend. Today, JPM is worth $150 per share. What was your average annual return (%) (to two decimal places, xx.xx%)?
The average annual return on the JP Morgan investment, in two decimal places, is 11.78%.
To calculate the average annual return of your JP Morgan (JPM) investment. To do this, we'll consider the initial investment, dividends received, and the current value of the shares.
1. Initial Investment: You purchased 10 shares at $100 per share, so the initial investment was $1,000.
2. Dividends: JPM paid a $1.25 quarterly dividend for five years (20 quarters). For 10 shares, you received $12.50 per quarter or $250 in total dividends.
3. Current Value: Today, JPM is worth $150 per share. So, the current value of your 10 shares is $1,500.
Now, we'll calculate the total return and the average annual return.
Total Return = (Final Value - Initial Investment + Dividends) / Initial Investment
Total Return = ($1,500 - $1,000 + $250) / $1,000
Total Return = 0.75 or 75%
To find the average annual return, we'll use the formula:
[tex](1 + Total Return)^{(1 / Number of Years)}[/tex] - 1
[tex](1 + 0.75)^{(1 / 5)}[/tex] - 1
[tex]1.75^{0.2}[/tex] - 1
1.1178 - 1
0.1178 or 11.78%
So, your average annual return on the JP Morgan investment, to two decimal places, is 11.78%. This return includes both the capital appreciation of the shares and the dividends received during the five-year period.
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sports marketing companies who market heavily toward the segment of their market who has played the sport or can picture themselves playing the sport are leveraging which aspect of psychographics?
Sports marketing companies that heavily target the segment of their market who has played the sport or can picture themselves playing the sport are leveraging the aspect of psychographics known as "lifestyle" or "interests and activities."
Psychographics is a marketing research technique that involves understanding and categorizing consumers based on their attitudes, values, interests, and behaviors.
goes beyond demographics (age, gender , income) to gain deeper insights into consumers' motivations and preferences.
By targeting individuals who have played the sport or can envision themselves participating, sports marketing companies tap into the lifestyle aspect of psychographics. This means they focus on consumers who have a genuine interest in the sport and align their marketing efforts to resonate with their passion, enthusiasm, and dedication to the activity.
These marketing strategies may involve showcasing the excitement and thrill of playing the sport, highlighting the camaraderie among players, emphasizing the health and fitness benefits, or showcasing success stories of individuals who have participated in the sport. The goal is to connect with consumers who have a strong affinity for the sport and are likely to engage with the brand or product being promoted.
By understanding the lifestyle preferences and interests of their target market, sports marketing companies can tailor their messaging, advertising, and promotional efforts to appeal directly to individuals who have a genuine connection and interest in the sport.
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I launch a streaming service, in which I charge a monthly fee for on-line economics lectures. Some subscribers view a lot of lectures while others view only a few. As a result,A. there are positive externalities for those who view a lot and negative externalities for those who view a few.B. there are negative externalities for those who view a lot and positive externalities for those who view a fewC. there are positive externalities for all viewers, because they only pay once, rather than for each lecture viewed.D. there is nothing external.
B. There are negative externalities for those who view a lot and positive externalities for those who view a few.Externalities refer to the spillover effects that affect individuals or groups who are not directly involved in a transaction.
In this case, the subscribers who view a lot of lectures are using up a larger share of the streaming service's resources, such as bandwidth and server space. As a result, there may be buffering issues or slower load times for subscribers who view only a few lectures. This is an example of a negative externality for those who view only a few lectures.On the other hand, there are positive externalities for those who view only a few lectures because they benefit from the fixed costs of running the streaming service, such as the initial investment in the platform and the creation of the lectures themselves. They also benefit from the network effects created by having more subscribers, which can lead to a wider range of lectures being offered and a more robust community of learners.
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Employees who work in high-trust cultures: a. have lower productivity than employees who work in low-trust cultures b. are more susceptible to unethical behaviors than employees who work in low-trust cultures c. are more aligned with their company's values.d. tend to thrive for a better opportunity in a different company
Research has shown that when employees trust their colleagues and leaders, they are more likely to feel committed to the organization and its goals.
This increased sense of alignment leads to higher productivity and better performance overall. Additionally, employees who work in high-trust cultures are less susceptible to unethical behaviors because they feel accountable to their colleagues and the organization as a whole. They are more likely to adhere to ethical standards and make decisions that align with company values. Finally, because employees in high-trust cultures are more engaged and committed, they are less likely to seek out opportunities in other organizations. Instead, they are more likely to stay with their current employer and contribute to its success. have lower productivity than employees who work in low-trust cultures" - This statement is not accurate, as studies have shown that high-trust cultures are associated with higher productivity and performance among employees.
"are more susceptible to unethical behaviors than employees who work in low-trust cultures" - This statement is also not accurate, as a culture of trust can actually promote ethical behavior by encouraging employees to act in accordance with shared values and norms.
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active margin beaches show which of the following attributes?
Active margin beaches show the following attributes: they are typically narrower, have steeper slopes, and are influenced by tectonic activity, which can cause coastal uplift and create rocky shorelines.
Active margin beaches typically show signs of tectonic activity, which can include geological features such as cliffs, steep shorelines, and frequent earthquakes. Tectonic activity refers to the movement of the earth's crust, which can result in the creation of new landforms and geological structures. As a result of this activity, active margin beaches may be characterized by rugged and dramatic scenery, as well as a dynamic environment that is constantly changing due to natural forces such as erosion, sedimentation, and volcanic activity. In summary, the following attributes are commonly associated with active margin beaches: rugged and dynamic scenery, geological features such as cliffs and steep shorelines, and frequent tectonic activity.
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In the New Keynesian Rational Expectations model with a Taylor rule, if the central bank follows the Taylor principle, in the steady state in which nominal interest rate is zero, O A inflation is lower than the central bank's target. O B. inflation is greater than zero. OC. inflation is zero. OD. the central bank hits its inflation target. O E. inflation is higher than the central bank's target.
In the New Keynesian Rational Expectations model with a Taylor rule, if the central bank follows the Taylor principle, in the steady state in which nominal interest rate is zero, the inflation is zero (option C).
The Taylor rule is a monetary policy rule that guides central banks in setting interest rates based on inflation and output gaps. According to the Taylor principle, when inflation is above the central bank's target, the nominal interest rate should be raised by more than one-for-one with inflation. Similarly, when inflation is below the central bank's target, the nominal interest rate should be lowered by more than one-for-one with inflation. In the steady state in which nominal interest rate is zero, the inflation rate is determined by the output gap and the natural rate of interest. The output gap is the difference between actual and potential output, and the natural rate of interest is the real interest rate consistent with output at its potential level. In the New Keynesian model, the output gap is determined by the difference between aggregate demand and supply shocks, while the natural rate of interest is determined by the discount rate of future consumption. If the central bank follows the Taylor principle, it implies that it sets the nominal interest rate equal to the sum of the natural rate of interest and a weighted average of inflation and the output gap. In the steady state in which nominal interest rate is zero, this implies that inflation is zero, as the output gap and the natural rate of interest are both zero.
To see why inflation is zero in the steady state, we can start with the New Keynesian Phillips curve, which relates inflation to the output gap and expected inflation πt = βEtπt+1 + κyt + εt where πt is inflation, Etπt+1 is expected inflation, yt is the output gap, κ is a parameter that measures the sensitivity of inflation to the output gap, and εt is a demand shock. If we assume that expected inflation is equal to the central bank's inflation target (Etπt+1 = π*), and that the demand shock is zero (εt = 0), we can simplify the Phillips curve to πt = π* + κyt This equation shows that inflation depends positively on the output gap, and that the central bank's inflation target determines the level of inflation in the long run. The Taylor rule can be written as it = ρ + π* + α(πt - π*) + βyt.
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in 2020, it was estimated that about what percentage of internet users over the age of 14 would make a purchase at an online retail store?
As an AI language model, I don't have access to real-time data or statistics beyond my September 2021 knowledge cutoff.
Therefore, I cannot provide the specific percentage of internet users over the age of 14 who made a purchase at an online retail store in 2020. However, it is worth noting that online shopping has been growing steadily in recent years, and the COVID-19 pandemic further accelerated the adoption of e-commerce. The exact percentage may vary based on factors such as region, demographics, and cultural differences. Market research firms and organizations specializing in e-commerce data, such as Statista or eMarketer, may provide up-to-date statistics on online shopping behavior and purchase rates.
To obtain the precise percentage for 2020, it would be best to refer to reliable sources or consult recent studies and reports specifically focused on e-commerce and online shopping trends during that year.
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Use the following information to answer the next two questions. Jack has a yearly gross income of $30,000. His total deductions for the year are $7,300 and expenditures are $2,250.
What is Jack's net income?
Jack's net income is the amount of money he earns after deducting his total deductions and expenditures from his gross income.
To calculate Jack's net income, subtract his total deductions and expenditures from his gross income.
Jack's gross income is $30,000. Deductions are expenses that can be subtracted from the gross income to determine taxable income. In this case, Jack's total deductions for the year amount to $7,300.
Additionally, Jack's expenditures, which refer to his personal expenses, are $2,250.
To find Jack's net income, subtract his total deductions and expenditures from his gross income:
Net Income = Gross Income - Total Deductions - Expenditures
= $30,000 - $7,300 - $2,250
= $20,450
Therefore, Jack's net income is $20,450. This represents the amount of money he has left after accounting for his deductions and personal expenses. It is the actual income he has available for saving, spending, or investing after considering his financial obligations and costs.
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When Avon decides to donate a proportion of their profit to breast cancer research organizations for every product they sold, Avon is engaging in subomation financial sustainability consumerism cause marketing slotting allowance
Avon is engaging in cause marketing by donating a proportion of their profit to breast cancer research organizations for every product sold. Cause marketing involves aligning a company's products or services with a social or environmental cause to create a positive impact and build consumer loyalty.
Cause marketing refers to the practice of linking a company's products or services with a charitable or social cause. In this case, Avon is donating a portion of their profit to breast cancer research organizations, which is an example of cause marketing. By doing so, Avon aims to create a positive association with their brand and products while contributing to a meaningful cause. Cause marketing initiatives like these not only generate social impact but also enhance brand reputation and consumer loyalty. Consumers are often more inclined to support companies that demonstrate a commitment to social responsibility and contribute to causes they care about.
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Suppose that the interest rate in the United States is 4%, in Japan it is 7%, and financial assets in the two countries are equal in risk. Refer to the scenario Japan and the United States. The implication is that:
A) interest rates in Japan will increase further compared to those in the United States.
B) interest rates inthe United States will decrease further compared to those in Japan.
C) the capital flow between Japan and the United States eventually will render the interest rates equal.
D) the interest rates in both countries will remain unchanged
The implication of the given scenario, where the interest rate in the United States ... and financial assets are deemed equal in risk, is that C) the capital flow between Japan and the United States will eventually render the interest rates equal.
What happens to the financial assets ?When financial assets share an equal risk profile, the prevailing interest rate differentials across countries engender opportunities for the flow of capital.
Discerning investors are enticed by the prospect of securing superior returns on their investments, prompting the migration of capital from regions with lower interest rates to those boasting higher rates. This capital movement acts as a catalyst in driving interest rates towards convergence across nations over time.
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Agilent Corporation purchases components from three suppliers. Components purchased from supplier 1 are priced at $5 per unit and used at the rate of 220,000 units per year. Components purchased from supplier 2 are priced at $4 each and are used at the rate of 36,000 units per year and components purchased from supplier 3 are priced at $3 per unit and are used at the rate of 27,000 units per year. Agilent incurs a unit holding cost of 20% of the unit price per year. Currently Agilent orders separately from each supplier. The trucking company charges a fixed cost of $400 for the truck and a product specific cost of $50 for each stop. Evaluate the options of separate ordering and joint ordering for Agilent and suggest an optimal replenishment strategy
The optimal replenishment strategy for Agilent is to order jointly, as it results in lower total costs compared to ordering separately. The optimal order quantity should be determined by minimizing the total cost of inventory, which includes purchase costs and ordering costs.
The different costs associated with replenishing inventories of the various components and the different options of separate ordering and joint ordering are as follows:Separate OrderingTotal purchase cost for supplier 1 = 5 × 220,000 = $1,100,000Total purchase cost for supplier 2 = 4 × 36,000 = $144,000Total purchase cost for supplier 3 = 3 × 27,000 = $81,000Total cost of all inventories = $1,325,000Total ordering cost for supplier 1 = (220,000 / Q1) × $50Total ordering cost for supplier 2 = (36,000 / Q2) × $50Total ordering cost for supplier 3 = (27,000 / Q3) × $50Total ordering cost for all suppliers = $5,640Joint OrderingTotal purchase cost for supplier 1 = 5 × 220,000 = $1,100,000Total purchase cost for supplier 2 = 4 × 36,000 = $144,000Total purchase cost for supplier 3 = 3 × 27,000 = $81,000Total cost of all inventories = $1,325,000Total ordering cost for all suppliers = (220,000 + 36,000 + 27,000) / Q × $50 = 293,000 / Q × $50The optimal replenishment strategy for Agilent should be to order jointly, since the total cost of ordering jointly is less than the total cost of ordering separately. Therefore, they can minimize the total cost of inventory by ordering jointly. The optimal order quantity should be calculated by minimizing the total cost of inventory, where the total cost of inventory is the sum of the total purchase cost and the total ordering cost.
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consider the following sql statement: select * from employee where loc_num = '1004' and title = 'manager'
This SQL statement is querying the employee table and looking for employees who are located in location number 1004 and have the job title of manager. The result set will include all columns for those employees who meet these criteria.
The purpose of this query may be to retrieve a list of all managers who work in location 1004. This information could be useful for various business purposes, such as identifying key decision makers in that location or determining the hierarchy of employees in that department. The use of SQL statements like this one can help managers and other decision makers in a company to access important information about their employees quickly and easily. By querying the database, they can gain insights into employee performance, location, job titles, and other factors that can help them make informed decisions about their workforce. In conclusion, this SQL statement is a simple yet powerful way to retrieve specific information about employees who meet certain criteria. It is an essential tool for managers and other business leaders who need to make informed decisions about their employees and their organization as a whole.
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The generation of workers born between 1960 and 1980 are referred to as Generation X.
(A) True
(B) False
The statement "The generation of workers born between 1960 and 1980 are referred to as Generation X" is True. Option A.
Generation X is the name given to the generation of Americans born between the mid-1960s and the early 1980s.
Generation X follows the Baby Boomers and precedes Generation Y or the Millennials.
Another name given to this group is the 'latchkey generation'. The kids of those years were often left to their own devices after school, as many former stay-at-home mothers entered the labor market. They are also known as MTV Kids, due to the popularity of this music channel.
Generation X's earning powers were compromised by the failure of the dot-com online business and then by the financial crisis of 2008.
Sociologists call this generation cynical and superficial, not being able to find balance in their work-life situation.
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There is a positive correlation between economic freedom and high per capita real gdpa. Trueb. False
True. Studies have consistently shown that there is a strong positive correlation between economic freedom and high per capita real GDP. Economic freedom includes factors such as low taxes, minimal government intervention, and ease of doing business. Countries with high levels of economic freedom tend to have more prosperous economies, as individuals and businesses are able to freely engage in market activities without unnecessary restrictions.
This leads to increased productivity, higher levels of innovation, and ultimately, higher per capita real GDP. Therefore, it is safe to say that there is a strong positive correlation between economic freedom and high per capita real GDP.
There is a positive correlation between economic freedom and high per capita real GDP. True.
When a country has more economic freedom, businesses and individuals can innovate and invest more efficiently, leading to higher levels of productivity and economic growth. As a result, countries with greater economic freedom tend to have higher per capita real GDP, reflecting an improved standard of living for their citizens. This relationship has been supported by various studies and is generally accepted among economists. However, it's essential to consider other factors that may contribute to a nation's economic success and individual well-being.
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a key determinant of the price elasticity of supply is the group of answer choices time horizon. income of consumers. price elasticity of demand. importance of the good in a consumer’s budget.
the key determinant of the price elasticity of supply is the time horizon. T
his refers to the length of time producers have to adjust their production levels in response to changes in price. A longer time horizon allows for more flexibility in adjusting production, making supply more elastic.
the other answer choices are not the key determinant is as follows:
- Income of consumers is a determinant of demand, not supply.
- Price elasticity of demand is related to how responsive consumers are to changes in price, not producers.
- The importance of the good in a consumer's budget may affect demand, but it is not a direct determinant of supply elasticity.
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If a $10,000 investment earns a 4.2 percent annual return, what should its value be after 1 year? Multiple Choice a. $10,042 b. $4,300 c. $4,200 d. $10,000 e. $10,420
The correct answer is e. $10,420. This represents the original investment of $10,000 plus the 4.2% return on that investment over one year. hence the correct answer is option E)
The value of the investment after one year can be calculated using the formula: Value after one year = Initial investment + (Initial investment x Rate of return)
Substituting the given values, we get:
Value after one year = $10,000 + ($10,000 x 0.042)
Value after one year = $10,000 + $420
Value after one year = $10,420
Therefore, the correct answer is e. $10,420. This represents the original investment of $10,000 plus the 4.2% return on that investment over one year. It is important to note that this calculation assumes that the return is simple interest, meaning that it is not reinvested or compounded over time. If the return were compounded, the value of the investment after one year would be slightly higher. Therefore the correct answer is option E)
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the total cost curve is relatively flat near the eoq. group startstrue or falsetrue, unselectedfalse, unselected. True or false?
True. The total cost curve is relatively flat near the EOQ (economic order quantity) because at this point, the holding costs and ordering costs are balanced. The EOQ represents the optimal quantity to order to minimize the total cost of inventory management, and as a result, the total cost curve is relatively flat in the vicinity of the EOQ.
Any deviation from the EOQ, either by ordering more or less than the optimal quantity, would result in an increase in total cost due to higher holding costs or ordering costs. Therefore, the total cost curve slopes upwards on either side of the EOQ.
The statement "the total cost curve is relatively flat near the EOQ (Economic Order Quantity)" is true. The EOQ is a point where the total cost, which includes ordering costs and holding costs, is minimized. Near this point, the total cost curve becomes relatively flat, indicating that small changes in order quantity will not have a significant impact on the overall cost. This is because, at EOQ, the balance between ordering and holding costs is optimal, leading to the most cost-effective inventory management.
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a firm that faces a downward-sloping demand curve is a: a.price-setter. b.price-taker. c.quantity-taker. d.quantity-minimizer.
A firm that faces a downward-sloping demand curve is a price-setter.
Price-setters are firms that have some market power, allowing them to influence the price of their product or service.
A downward-sloping demand curve indicates that consumers are willing to buy less of the product at higher prices and more of the product at lower prices.
In this situation, the firm can adjust its price to find the optimal point where it can maximize profits.
On the other hand, a price-taker is a firm that has no market power and must accept the market price for its product or service, such as a firm in a perfectly competitive market.
A quantity-taker is a firm that must accept the market quantity and price for its output.
A quantity-minimizer is a firm that seeks to minimize losses rather than maximize profits by producing the quantity where marginal cost equals marginal revenue.
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an estimate of the increase in an option-free bond's price, based only on its duration:
An estimate of the increase in an option-free bond's price based solely on its duration provides a measure of the bond's price sensitivity to changes in interest rates.
Duration is a measure of the sensitivity of a bond's price to changes in interest rates. It quantifies the percentage change in a bond's price for a given change in interest rates.
By using the duration of an option-free bond, an estimate of the bond's price change can be calculated. If interest rates decrease, the bond's price is expected to increase, and if interest rates increase, the bond's price is expected to decrease.
The estimate provided by duration assumes that the yield curve remains constant, there are no cash flows other than periodic coupon payments, and there is no optionality embedded in the bond. However, it's important to note that duration provides an approximation and may not capture all factors that can impact a bond's price, such as convexity or market liquidity.
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an increase in manifold pressure with a constant rpm will cause the bearing load in an engine to
An increase in manifold pressure with a constant RPM will cause the bearing load in an engine to increase.
Manifold pressure refers to the absolute pressure in the intake manifold of an internal combustion engine. It is an important factor that affects the performance and operation of the engine. When manifold pressure increases while the engine's RPM (revolutions per minute) remains constant, it typically indicates an increase in the air/fuel mixture being delivered to the engine.
The increase in manifold pressure leads to higher combustion pressures within the cylinders, resulting in increased force exerted on the engine components, including the bearings. Bearings in an engine support rotating shafts and provide smooth movement between components. They are subjected to the forces generated by the rotating parts, including the pistons, connecting rods, and crankshaft.
With an increase in manifold pressure, the combustion forces within the cylinders become more intense. This increased pressure and force transfer to the connecting rods and crankshaft, causing a higher load on the bearings that support these rotating components. The bearings must withstand the additional force and friction resulting from the increased pressure, which can lead to higher wear and tear over time.
It's important to note that the engine's design, materials used, lubrication system, and other factors also play a significant role in determining the bearing load. However, in general, an increase in manifold pressure while maintaining a constant RPM will result in higher bearing loads due to the increased forces generated by the combustion process. Engine manufacturers and operators need to consider these factors to ensure proper lubrication, cooling, and maintenance to prevent excessive wear and potential damage to the bearings and other engine components.
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Phillip is an experienced HR manager at UPMC. In examining the content of a candidate's application form for a critical care nursing position, he knows he will definitely need to perform a background check all of the following information except:Group of answer choicesApplicant's employment at West Penn Health SystemsApplicant's claim to be a member of a protected classApplicant's previous job title of ER Nurse PractitionerApplicant's claim to have a master's degree in nursing from Michigan State University
As an experienced HR manager at UPMC, Phillip will need to verify important information related to a candidate's qualifications for a critical care nursing position.
When examining the content of the application form, he will need to perform a background check on the following information:
1. Applicant's employment at West Penn Health Systems - to confirm work history and any relevant experience.
2. Applicant's previous job title of ER Nurse Practitioner - to verify their claimed expertise and role-specific knowledge.
3. Applicant's claim to have a master's degree in nursing from Michigan State University - to ensure they have the necessary education to perform the job duties.
However, Phillip does not need to perform a background check on the applicant's claim to be a member of a protected class. Membership in a protected class is related to the individual's personal characteristics such as race, gender, or age, and should not be considered when evaluating a candidate's qualifications for a position.
Instead, the hiring process should focus on verifying the applicant's work history, experience, and education to determine their suitability for the role.
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As an HR manager, Phillip must perform a background check on the candidate's application form to ensure that the information provided is accurate and truthful.
However, he should not consider the applicant's claim to be a member of a protected class while performing the background check. Protected classes include race, color, religion, national origin, sex, age, disability, and genetic information, and should not be considered in employment decisions. All other information, such as the applicant's previous employment at West Penn Health Systems, previous job title as an ER Nurse Practitioner, and claim to have a master's degree in nursing from Michigan State University, are relevant and should be verified through the background check process.
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how many tires should rocky mountain order each time it places an order? rocky mountain's optimal order quantity is 335 units
The optimal order quantity each time Rocky Mountain Tire Center places an order is 358 go-cart tires.
To determine the optimal order quantity, we need to use the economic order quantity (EOQ) formula.
EOQ = √[(2DS)/H]
Where D = annual demand, S = ordering cost, and H = holding cost per unit.
Plugging in the given values:
D = 5000
S = $40
H = 0.4($22) = $8.80
For the purchase price, we need to consider different scenarios:
If we order fewer than 200 tires:
Purchase price = $22 per tire
If we order between 200 and 5,000 tires:
Purchase price = $19 per tire
If we order 5,000 or more tires:
Purchase price = $14 per tire
Since we want to find the optimal order quantity, we need to consider the scenario that gives us the lowest total cost.
Using the EOQ formula, we get:
EOQ = √[(2 × 5000 × 40)/8.80] = 357.96
Since we can't order a fractional amount of tires, we should round up to the nearest whole number.
If we order 358 tires, we would pay $22 per tire, for a total cost of $7,876.
If we order 5,000 tires, we would pay $14 per tire, for a total cost of $70,000.
Therefore, it's most cost-effective to order 358 go-cart tires each time Rocky Mountain Tire Center places an order.
Note: The question is incomplete. The complete question probably is: Rocky Mountain Tire Center sells 5,000 go-cart tires per year. The ordering cost for each order is $40, and the holding cost is 40% of the purchase price of the tires per year. The purchase price is $22 per tire if fewer than 200 tires are ordered, $19 per tire if 200 or more, but fewer than 5,000, tires are ordered, and $14 per tire if 5,000 or more tires are ordered. How many tires should Rocky Mountain order each time it places an order?
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In a multinational business strategy, the ______ business function is decentralized, dispersed to foreign units. A. production. B. sales/marketing
In a multinational business strategy, the sales/marketing function is decentralized and dispersed to foreign units.
In a multinational business strategy, the sales/marketing function is often decentralized and dispersed to foreign units. This means that the responsibility for sales and marketing activities, including market analysis, advertising, promotions, and customer relationship management, is shifted to individual foreign units or subsidiaries.
Decentralizing the sales/marketing function allows multinational companies to adapt their marketing strategies and tactics to the specific needs and preferences of local markets. It enables the foreign units to have a better understanding of the local market dynamics, customer behavior, cultural nuances, and regulatory requirements. By having local sales and marketing teams, multinational companies can tailor their products, pricing, distribution channels, and promotional activities to maximize their effectiveness in each market.
This decentralization also empowers the foreign units to make independent decisions and respond more quickly to local market changes and opportunities. It facilitates a more localized approach to sales and marketing, promoting better customer engagement and market penetration. However, coordination and alignment with the overall global marketing strategy and brand image are still important to maintain consistency and leverage synergies across markets.
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Today, a bond has a coupon rate of 14.0%, par value of $1000, YTM of 8.40%, and semi-annual coupons with the next coupon due in 6 months. One year ago, the bond's price was $1,281.05 and the bond had 6 years until maturity. What is the current yield of the bond today?a) A rate equal to or greater than 11.87% but less than 12.76%b) A rate less than 11.00% or a rate greater than 12.76%c) A rate equal to or greater than 11.00% but less than 11.16%d) A rate equal to or greater than 11.16% but less than 11.32%e) A rate equal to or greater than 11.32% but less than 11.87%
By dividing the coupon rate by the par value, which results in $140, we can compute the yearly coupon payment. The bond pricing formula may be used to determine the current market value of the bond by calculating the present value of all upcoming cash flows, such as coupon payments and the par value received at maturity.
A coupon is a ticket or document that may be redeemed for a monetary discount or refund when buying a product in marketing.
To be utilized in retail outlets as a part of sales promotions, coupons are often distributed by makers of consumer payment packaged goods or by retailers. They are frequently extensively disseminated through the mail, coupon envelopes, magazines, newspapers, the Internet (social media, email newsletter)
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What is the term used to describe the difference between a planned result and the actual outcome? A) Flexible budget. B) Operating budget. C) Variance
Answer:
variance
Explanation:
the definition of variance in bugeting
Acon company received an email notification from First American Bank and Trust for an ACH payment from Branch College. ACH payment received was $1622.88 fro payment in full of charge sale invoice No.730 (2/10, net 30). Because Branch college paid with 10 days of the original sale, be sure to record the applicable discount.
How to fill in the second line?
The second line records the decrease in the Accounts Receivable account, which represents the liability being paid off by Branch College.
To properly record the ACH payment and applicable discount in the accounting records, Acon company should use a double-entry bookkeeping system.
This system requires the use of two accounts for every transaction, one account to represent the asset or expense being increased and another account to represent the liability or equity being decreased.
In this case, Acon company received an ACH payment of $1,622.88 from Branch College for payment in full of charge sale invoice No.730, which had terms of 2/10, net 30.
This means that if Branch College paid within 10 days of the invoice date, they would receive a 2% discount on the invoice amount, otherwise, the full amount would be due within 30 days. As Branch College paid within 10 days, the discount would be applicable.
To record this transaction, Acon company would use the following journal entry:
Debit: Cash $1,622.88 Credit: Accounts Receivable $1,680.00 Credit: Sales Discount $57.12
The first line records the increase in the Cash account, which represents the asset being received by Acon company. The second line records the decrease in the Accounts Receivable account, which represents the liability being paid off by Branch College.
The third line records the decrease in the Sales Discount account, which represents the discount given to Branch College for paying early.
In summary, Acon company should record the ACH payment from Branch College for payment in full of charge sale invoice No.730 by debiting Cash, and crediting Accounts Receivable and Sales Discount accounts.
This ensures that the accounting records are accurate and up-to-date, and that the discount is properly applied.
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The second line of the journal entry to record the ACH payment from Branch College would be:
Accounts Receivable - Branch College $1,622.88
Sales $1,500.00
Sales Discount $ 122.88
The journal entry would be recorded to reflect the payment received and to recognize the sales discount taken by Branch College. The first line of the entry records the amount received, and the second and third lines record the sales revenue and discount recognized. Accounts Receivable - Branch College is debited for the amount received, which is $1,622.88. Sales is credited for the full amount of the original sale, which is $1,500.00. Finally, the Sales Discount is credited for the amount of the discount taken by Branch College, which is $122.88. By taking advantage of the discount, Branch College was able to pay only $1,500.00, which is 2% less than the full amount of $1,622.88.
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Adjustment for Prepaid Expense The prepaid Insurance account had a beginning balance of $11,500 and was debited for $18,000 of premiums paid during the year. Journalize the adjusting entry required at the end of the year, assuming the amount of unexpired insurance related to future periods is $13,000. If an amour box does not require an entry, leave it blank. Insurance Expense
Insurance Expense Dr $16,500
To Prepaid Insurance $16,500
To adjust for the prepaid expense of insurance at the end of the year, we need to calculate the amount of insurance that has been used up or expired during the year. We know that the prepaid Insurance account had a beginning balance of $11,500 and was debited for $18,000 of premiums paid during the year. Therefore, the total amount of insurance paid for during the year is $29,500.
If the amount of unexpired insurance related to future periods is $13,000, then the amount of insurance that has expired during the year is $16,500 ($29,500 - $13,000). This amount represents the Insurance Expense for the year.
To record this adjustment, we need to debit Insurance Expense for $16,500 and credit Prepaid Insurance for $16,500. This entry will reduce the Prepaid Insurance account to its correct balance of $13,000 (the amount of unexpired insurance related to future periods ) and record the Insurance Expense for the year.
The adjusting entry is as follows:
Debit: Insurance Expense $16,500
Credit: Prepaid Insurance $16,500
In conclusion, adjusting for the prepaid expense of insurance requires calculating the amount of insurance that has expired during the year and recording an adjusting entry to reduce the Prepaid Insurance account and record the Insurance Expense for the year.
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_____ are often hired by companies because they already sell to the desired market
A. sales managers
B. sales cycle
C. manufacturer representatives
D. independent agents
E. lead managers
Independent agents are often hired by companies because they already sell to the desired market. Option D is the correct answer.
Independent agents are individuals or firms that represent multiple companies and sell their products or services to customers. They have existing relationships and knowledge of the market, which makes them valuable for companies looking to enter or expand into a specific market.
By hiring independent agents, companies can leverage their expertise, established connections, and customer base to reach their target market more effectively. Independent agents can provide access to new customers, increase sales, and help companies establish a presence in a desired market.
Option D is the correct answer.
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The cost approach would be more heavily relied on for which type of property?
A. A residential resale
B. An office building
C. A new custom-built home
D. A shopping center
The cost approach would be more heavily relied on for C. A new custom-built home.
This is because the cost approach focuses on estimating the replacement cost of a property by considering construction costs, land value, and depreciation. It is particularly useful for newly built or custom properties where market comparisons may not be readily available.
For a new custom-built home, there is typically no history of sales or income to use as a basis for valuation. Additionally, custom-built homes are often unique and may not have comparable properties available for comparison. In such cases, the cost approach becomes more important and is heavily relied upon to estimate the property's value.
In contrast, residential resales (A) and office buildings (B) may have more comparable properties and sales data available, making the sales comparison or income approaches more applicable. Shopping centers (D), depending on their size and complexity, may also rely on the income approach, considering rental income and potential earnings.
However, the cost approach may still be used as a supplementary method in these cases to provide additional insights into the property's value. Hence, C is the correct option.
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