at its 2011 annual meeting, the american medical association voted to encourage magazine industry efforts to discontinue the use of a particular practice. what was the practice?

Answers

Answer 1

At its 2011 annual meeting, the practice will be digitally altering graphics of models' bodies that  the american medical association voted to encourage magazine industry efforts to discontinue the use of a particular practice.

What is magazine?

A magazine is a type of periodic publication that is issued on a regular basis (typically weekly or monthly) and contains a wide range of content. They are often funded through advertising, purchase price, prepaid subscriptions, or a mix of the three. The word "magazine" comes from the Middle French magasin, which means "warehouse, depot, or store," the Italian magazzino, and the Arabic makhazin, which is the plural of makhzan, which means "storehouse."

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Related Questions

an owner of a small publishing company allowed a friend who was starting a handmade soap business to load the publishing company's copy of microsoft word onto the friend's computer. this activity is

Answers

Handmade soap business to load the publishing company's copy of Microsoft word onto the friend's computer. this activity is both illegal and unethical.

What is business?
An organisation or enterprising entity engaged in business, industrial, or professional activities is referred to as a business. A business's goal is to coordinate some form of economic production (of goods or services). Businesses can indeed be for-profit corporations or charitable organisations working to advance a social cause. Businesses range in size and scope from small, local enterprises to large, global conglomerates. A person's efforts and activities to produce and sell products and services for a profit are also referred to as business. An organisation that runs for commercial, industrial, as well as professional purposes is frequently referred to as a business. The concept starts with a name and an idea, and in-depth market research may be necessary to ascertain whether it is feasible to turn this same idea into a profitable.

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Vulcan, inc. , has 7 percent coupon bonds on the market that have 13 years left to maturity. The bonds make annual payments and have a par value of $1,000. If the ytm on these bonds is 8. 4 percent, what is the current bond price?.

Answers

The discounted present value of the future cash flow that a bond will generate is the bond price. It is the sum of the anticipated coupon payments' present values plus the par value at maturity. The cost of the bond right now is $891.74.

Explain about the current bond price?

The discounted present value of the future cash flow that a bond will generate is the bond price. It is the sum of the anticipated coupon payments' present values plus the par value at maturity. To determine the bond price, the known future cash flows must simply be discounted.

Bonds that are selling for close to or at par value are referred to as current coupon bonds. In particular, the coupon rate on the bond must be within 0.5% of current market rates.

Bonds' current yield is calculated by dividing their coupon yield by their current market value. The current yield will vary if the market price changes.

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g a cmo is issued from a 200 mil. pool of mortgages. it has 4 tranches listed below. 12 million in losses are incurred in the pool of mortgages. (assume no principal repayments have occurred.) aaa-rated tranche $140 million a-rated tranche $ 40 million b-rated tranche $ 10 million unrated tranche $ 10 million what is the loss rate on the unrated tranche in percentage points (5% would be entered as 5.00)?

Answers

Compute the total loss on AAA rated tranche as follows:

loss rate = (total loss in pool of mortgages*%of AAA rated tranche in pool of mortgages)/amount of AAA rated tranche.

=12million* 140 million/200million/ 140 million

=8.4million/140million

=0.06 million

hence the loss rate is 6%

A loan pool is a set of mortgages held in accept as true with as collateral for the issuance of a loan-subsidized security. Some loan-subsidized securities issued with the aid of using Fannie Mae, Freddie Mac, and Ginnie Mae are acknowledged as "pools" themselves. These are the handiest shape of loan-subsidized security.

The loss severity price (LSR), or loss given default (LGD), is the quantity of losses, inclusive of each ignored hobby and important write-downs, incurred with the aid of using a defaulted security, as a percentage of its important balance.  The restoration price is one minus the loss severity price.

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what are the parameters affecting prices european and american calls and puts. how do the prices change when one of the parameters changes with all the others remaining the same?

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The price of the underlying securities, time, and volatility are three varying factors that options traders must contend with in order to determine the pricing.

What factors determine the call and put prices?Choose to dismiss the help pop-up If the strike price of a call option is higher than the market value of the underlying securities, the option is out of the money. If the strike price of a put option is less than the market value of the underlying securities, the option is out of the money. Whether an option has inherent value depends on the strike price.American-style options are more valuable than the constrained European options since investors are free to exercise their options at any time during the contract's lifespan. The chance to exercise early does come with an additional premium or cost, though.Like the majority of other financial assets, the pricing of options are affected by current interest rates changes. As interest rates fluctuate, call option and put option premiums are affected in opposite ways: calls gain from rising rates while puts lose value.    

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13. if we assume that there is no fixed manufacturing overhead and the variable manufacturing overhead is $7 per direct labor-hour, what is the estimated cost of goods sold and gross margin for july?

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The estimated cost if we assume that there is no fixed manufacturing overhead and the variable manufacturing overhead is $ 7 per direct labor-hour is given as $ 198,000 the gross margin is given as  $ 462,000

What is the fixed manufacturing overhead?

This is the term that is used to refer to the overhead that is incurred based on the fact that the component of the factory overhead is found to be different from the volume that is made from production.

Some of the examples that may lead to this are depreciation, the managers salary, insurance that is made on the facility that is used for production.

How to solve the problem

Given that the fixed cost of manufacturing has been said to be zero. WE would have to solve for the cost of the good as

11000 x $18

= $198000

We can then calculate the gross margin to be

$ 660000 - $ 198000

=  $462,000

Estimated cost of goods sold = $198,000 (11,000 x $18)

Gross margin = $462,000 ($660,000 - $198,000)

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complete question

The budgeted selling price per unit is $60. Budgeted unit sales for June, July, August, and September are 8,000, 11,000, 13,000, and 14,000 units, respectively. All sales are on credit. Thirty percent of credit sales are collected in the month of the sale and 70% in the following month. The ending finished goods inventory equals 25% of the following month’s unit sales. The ending raw materials inventory equals 10% of the following month’s raw materials production needs. Each unit of finished goods requires 5 pounds of raw materials. The raw materials cost $2.20 per pound. Twenty percent of raw materials purchases are paid for in the month of purchase and 80% in the following month. The direct labor wage rate is $12 per hour. Each unit of finished goods requires two direct labor-hours. The variable selling and administrative expense per unit sold is $1.20. The fixed selling and administrative expense per month is $61,000.

A process to determine the appropriateness of training by evaluating the characteristics of the organization is called ______.

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A process to determine the appropriateness of training by evaluating the characteristics of the organization is called organizational analysis.

In the field of business, organizational analysis can be described as assessing the attributes of your business such as the products, the environment, the employees etc.

Organizational analysis is a process that helps a business to focus on the factors of a business that can improved for the growth of a company.

Under organizational analysis, the company can look at the performance of the company and form strategies for improvement of the company. Organizational analysis is a detailed insight of every aspect and attribute of an organization.

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Which of the following is true if a credit card company does not charge any interest?

A: The APR is 1%
B: The APR is 10%
C: The APR is 100%
D: The APR is 0%

Answers

Answer:

Explanation:

Here, the answer will be option D. The APR is 0%

A 0% APR means that you pay no interest on any transactions during a certain period of time.

APR represents the annual rate charged for earning or borrowing money. It stands for annual percentage rate and refers to interest on a credit account.

Credit card APR generally refers to the interest applied to your account during a given billing cycle. This is how APR is calculated for credit cards:

[daily rate] x [average daily balance] x [days in billing cycle] = credit card interest

Daily rate: You can find this by dividing your credit card’s purchase annual percentage rate by 365 (the number of days in a year). For example, if your APR is 18 percent, your daily rate is .00049 percent.

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If a credit card company does not charge any interest than the APR is 0%. APR represents the total yearly cost of a loan to the borrower, including all fees.

The APR is stated as a percentage, just like an interest rate. It does, however, contain other costs or fees such mortgage insurance, the majority of closing costs, discount points, and loan origination fees, unlike an interest rate. The best credit card APR is one that is around 10%, but you might need to visit your neighborhood bank or  credit card union to discover one. An APR that is lower than the average would also be regarded favorably by the Federal Reserve, which monitors credit card interest rates.

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Which financial statement shows how much cash was paid for newly acquired property, plant and equipment when cash is used for part or all of the purchase?.

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When cash is used for all or a portion of the transaction, the statement of cash flows shows how much was paid in cash for newly acquired property, plant, and equipment.The cash inflows and outflows for the time period covered by the statement are displayed in the cash flow statement (i.e., cash paid for newly acquired fixed assets).

What is a cash flow statement statement?By monitoring an organization's cash flow, a cash flow statement is a crucial tool for managing finances.This report is one of the three crucial ones that determine a company's performance, together with the income statement and the balance sheet. To assess the liquidity and solvency of the company, organizations should monitor and analyze three different types of cash flow: cash flow from operating operations, cash flow from investing activities, and cash flow from financing activities.The cash flow statement of a corporation includes all three. A company's strength, profitability, and long-term outlook can all be determined using a cash flow statement.The CFS can assist in figuring out whether a business has enough liquidity or cash to cover its costs.A CFS can be used by a business to forecast future cash flow, which is beneficial for budgeting purposes.The main goal of a cash flow statement is to offer pertinent data regarding an organization's cash flows over a specific time period under multiple headings, including operating, investing, and financing operations. Direct method: A list of incoming and outgoing cash flows is used to present operating cash flows.In essence, the direct method subtracts your expenses from your income.A reconciliation from profit to cash flow is shown for operating cash flows using the indirect approach.

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ppw co. leased a portion of its store to another company for eight months beginning on october 1, 20018, at a monthly rate of $800. this other company paid the entire $6,400 cash on october 1, which ppw co. recorded as unearned revenue. the journal entry made by ppw co. at year- end on december 31, 2018 would include:

Answers

The journal entry made by ppw co. at year- end on December 31, 2018 would include: 2400 DOLLARS

What is journal entry?
A diary entry is the expression of recording any transaction, whether one that is economic or not. An accounting publication that displays the debit and credit account balance of a company lists transactions. Multiple sound, that are each either one debit or a credit, may be included in the journal entry. The total of a debits and credits must be equal in order for the journal entry to be considered balanced. Depreciation or bond amortisation are examples of recurring items that can be recorded in journal entries. Accounts payable typically has a separate subledger that indirectly influence the overall ledger, and journal entries are typically entered using a different module in accounting software. As a result, general ledger account balances are changed directly by journal entries.


=$800.00 X3 =2400 DOLLARS
RENT EARNED = 2400 DOLLARS

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Kacey is working on an advertising campaign for a new granola bar. She develops an online survey to help her company decide which flavor combinations would make the most sense to invest in based on consumer preference. What position does Kacey MOST likely have in her company?
o market research analyst
o advertising, promotions, and marketing manager
o art director
o public relations specialist

Answers

Kacey MOST likely has a market research analyst position in her company  Thus, option A is correct.

What is a survey?

A survey can be defined as an opinion poll that is being taken by a group of people. this group of people can ah be at a random or from a prescribed category. This generally wants the Opinions of what the individual thinks of a particular situation.

As Kacey needs to add flavor to the granola bar she takes a market survey. This suggests that no she has a market research analyst position in which the market and its requirements incorporate it.

Therefore, option A is the correct option.

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Roughly how many proposals for new television series do national broadcast and cable networks received every year?.

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Due to their longevity and popularity with viewers, the "Big Three" traditional commercial broadcast television networks in the United States are CBS , NBC , and ABC (American Broadcasting Company). Nationwide full-power television stations have been required to broadcast only in digital format starting on June 13, 2009.

The Digital Television Transition is the transition of broadcast television from analogue to digital. Cable stations like Animal Planet, AMC, and Comedy Central don't use the public airwaves like broadcast networks channels do. Instead, they impose a subscription fee for transmission on viewers. Cable channels are independent businesses that provide all the benefits and drawbacks of demand-driven, independent media.

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Lillian applies for a job as the chief financial officer (cfo) of delco corporationlillian is excited about the opportunity and feels that she has a pretty good chance of getting the positionjust to make surelillian decides to explore the backgrounds of the decision-makers at delco if lillian knows their interests, she thinks that might increase her chances of making a good impression in the final interview. the decision- makers who will decide whether or not lillian gets the cfo position at delco corporation include:

Answers

Lillian applies for a job as the chief financial officer (CFO) of Delco corporationlillian is excited about the opportunity and feels that she has a pretty good chance of getting the position just to make sure the decision-makers who will decide whether or not Lillian gets the CFO position at Delco corporation include. The correct option is D.

What does a CFO do on a daily basis?

Building financial models, evaluating and generating financial accounts, and reconciling income and expenses are among the everyday responsibilities of a Chief Financial Officer (CFO).

The CFO is in charge of the company's financial activity. Their responsibilities include watching cash flow, identifying strengths and weaknesses in order to recommend corrective action plans when necessary, and preparing accurate predictions to allow management to make educated decisions about future investments or cuts.

Thus, the ideal option is D.

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suppose you are applying for a mortgage loan. the loan officer tells you that if you get the loan, the bank will keep the house title until you pay back the loan. which problem of asymmetric information is the bank trying to solve?

Answers

The bank and other financial institutions mortgage the property to cover the potential default risk in order to be on the safe side and reclaim the loan funds.

While every bank makes efforts in providing house loans. They run the danger of having defaulters because they are lending institutions. Since the financed amount is too high for the banks to lend to any one person, if a customer defaults or becomes an NPA, the bank will lose the money it had given to that specific consumer.

So, in order to be on the safe side and to offset the losses associated with failure, the bank has mortgaged the property on which they are providing money. Once the debt is paid off, they do disclose the original property documents.

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question mode multiple select question select all that apply what method(s) can be used to estimate progress toward completion for the purpose of recognizing revenue over time? (select all that apply.)

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Input method, output method can be used to estimate progress toward completion for the purpose of recognizing revenue over time.

What do you mean by revenue?

In accounting, revenue is the entire amount of income created by the sale of goods and services related to the principal operations of the business. Commercial revenue can also be referred to as sales or turnover. Some businesses get money from interest, royalties, or other payments. "Revenue" can refer to income in general or to the amount earned in a monetary unit during a period of time, as in "Last year, Company X had revenue of $42 million." Profits or net income are commonly defined as total revenue less total expenses in a particular period.

Output and input methods are methods of monitoring progress toward complete completion of a performance requirement. An output method considers the current fair market value of products and services transferred to the client.

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mariana is a study abroad student who works in the international students office on campus. at the weekly staff meeting, mariana is uncomfortable sharing ideas with the higher-level managers at the meeting and defers to her supervisor, maria, when she is asked a direct question. mariana is likely visiting from a country characterized by .

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As Mariana is uncomfortable sharing ideas and defers to her supervisior, she is likely visiting from a country characterized by high power distance.

In the field of social sciences, such a culture that increases the deference in a person is referred to as high power distance.

A high power distance promotes being humble and giving deference to other people to communicate instead of you. Although some cultures might view this act as a humble one but it is considered to be low courage and willpower in others.

As Mariana is also uncomfortable to share ideas and she asks her supervisor to speak for her when a question is asked from her, she is hence showing high power distance.

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investment a costs $10,000 today and pays back $11,500 two years from now. investment b costs $8000 today and pays back $4500 each year for two years. if an interest rate of 5% is used, which alternative is superior?

Answers

If an interest rate of 5% is used, then investment A is superior.

Define interest rate.

A rate of interest tells you how expensive borrowing is or how advantageous saving is. Therefore, if you are a borrower, the interest rate is the cost of borrowing money and is stated as a percentage of the total loan amount.

The real interest rate accounts for inflation by calculating the rise in the loan's real value plus interest. The repayment of principal and interest is computed in real terms by comparing the amount to its purchasing power at the time it was borrowed, lent, deposited, or invested.

To find the NPV of two investments

NPV (A) = -10000 + 11500 (P/F, 5%, 2)

= -10000 + 11500*0.90703

= 431

NPV (B) = -8000 + 4500(P/A, 5%, 2)

= -8000 + 4500*1.8594

= 367

Since NPV (A) > NPV (B)

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a building was purchased for $69,500. the asset has an expected service life of eight years and depreciation expense each year is $5,000 using the straight-line method. what is the residual value of the building?

Answers

$29,500 is the residual value of the building. The estimated value of a fixed asset at the conclusion of its useful life or lease term is known as the residual value, sometimes known as salvage value.

How to calculate residual value ?  

The estimated value of a fixed asset at the conclusion of its useful life or lease term is known as the residual value, sometimes known as salvage value.

Contractually, residual values are handled either through closed contracts or through open contracts. Remaining value of an asset after it has fully depreciated or after it has deteriorated beyond repair is known as residual value in accounting.

The market worth of the vehicle for the term and the needed miles serve as the starting point for the calculation of residual values, which is then followed by seasonality, monthly adjustment, lifetime, and disposal performance. In order to set the end value as the residual value, the leasing firm will utilise its own historical data to integrate the adjustment variables into the computation.

Calculate the residual value of the building

let the residual value be p :

5,000 = 69,500 - p)/8

40,000 = 69,500 - p

p = 69,500 - 40,000 = $29,500

Residual value of the building is  $29,500

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xyz corporation is a well-known seasoned issuer (wksi) and is planning to expand operations. xyz will need additional capital in stages for this expansion. if xyz does a shelf offering, how much time will it have to issue additional shares before it has to refile?

Answers

The well-known, seasoned issuer xyz organization intends to grow its business. In stages, xyz will require additional funding for this expansion long will xyz have to issue further shares after a shelf offering before it must refile.

8,500,000 shares of XYZ will be the total number of shares outstanding.

The term "shares outstanding" refers to the total number of a business's shares that are held by its shareholders, institutional investors, and insiders, as well as its restricted shares, excluding the treasury shares that the company itself holds.

Following is what we can infer from the question: organization

7,000,000 shares were issued in the initial public offering.

Purchased Treasury Stock = 500,000

Shares sold prior to the offering's expiration date plus an additional 3 million shares equals 2,000,000.

Therefore, the following formula can be used to determine the number of shares outstanding: Shares issued in the IPO less shares bought with Treasury stock plus shares outstanding Shares exchanged prior to the expiration date of organization.

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marginal cost group of answer choices is the change in the total cost when hiring one more factor of production. is the change in total output from hiring one more factor of production. is the change in total cost associated with a one-unit increase in production. falls when there are diminishing returns.

Answers

Marginal cost is the change in total cost associated with a one-unit increase in production.

What is marginal cost?In managerial accounting, the idea of marginal cost is crucial because it may be used to maximize production through economies of scale within an organization.By producing at the point where marginal cost (MC) equals marginal revenue, a business can optimize its earnings (MR).Because fixed costs are fixed regardless of output levels, larger production spreads the total fixed cost over more units, resulting in a lower fixed cost per unit.Production levels affect variable costs, so increasing the number of units will increase those costs.

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six years ago the templeton company issued 22-year bonds with a 13% annual coupon rate at their $1,000 par value. the bonds had an 8% call premium, with 5 years of call protection. today templeton called the bonds. compute the realized rate of return for an investor who purchased the bonds when they were issued and held them until they were called. round your answer to two decimal places.

Answers

The realized rate of return for an investor who purchased the bonds when they were issued and held them until they were called is 13.94%

Investors prefer callable bonds over regular bonds (other than callable bonds) because they have a greater premium to pay if they are called and a marginally higher interest rate.

Face or Par Value of Bond (F) = $1,000

Call premium (CP) = 8% of $1,000 = $80

Price at which bond is called (P) = F + CP = $1,000 + $80 = $1,080

Coupon Rate = 13% ----  (A)

Number of compounding periods per year = 1  -----  (B)

Interest per period (PMT) = 1000 * (A/B) = 1000 * (0.13 / 1) = 1000 * 0.13 = 130

Bond price (PV) = 1000

Number of years to sell = 6 ----   (C)

Number of compounding periods till sale (NPER) = (B * C) = 1 * 6 = 6

The bond yield to call

= RATE(NPER, PMT,-PV, FV)×1

= RATE(6,130,-1000,1080)×1

Therefore, bond yield to call = 13.94%

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modcloth inc. offers an unconditional return policy. it normally expects 2% of sales at retail selling prices to be returned before the return period expires. assuming modcloth records total sales of $10 million for the current period, what amount of net sales should it record for this period?

Answers

The amount of net sales it should record is $9,800,000 if the total sales are $10 million.

The net sales can be described as the total sales minus returns and discounts. In this case, the formula for net sales can be given as;

Net sales = Total sales - return

As the expected return of this company is 2%, we first calculate the expected amount of returns from the total sales of $10 million.

Return = 2% of $10,000,000

Return = (2/100) × 10,000,000

Return = 0.02 × 10,000,000

Return = $200,000

Now by using subtraction, we calculate the net sales as follows;

Net sales = $10,000,000 - $200,000

Net sales = $9,800,000

Therefore, the amount of net sales it should record for this period is calculated to be $9,800,000

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which type of salesperson is responsible for finding new customers and securing their business, typically by convincing the prospective customer to drop one or more competitors?

Answers

New-business salespeople  is responsible for finding new customers and securing their business, typically by convincing the prospective customer to drop one or more competitors

How Important Are Sales In An Organization?Salespeople fill the gap between the product or service that satisfies a client's need and that need itself. It's the role of the salesman to complete the transaction by offering more information and assisting the consumer in making those connections when interacting with prospects who have already been warmed up by marketing and advertising efforts.The development of consumer loyalty and trust in businesses is significantly influenced by sales. The key factors that influence a customer's decision to refer your business to a friend or family member or to leave a positive online review of your goods or services are trust and loyalty.Selling is a powerful activity because it involves interpersonal communication. Never undervalue the impact that a personal connection can have on two people's perceptions of your brand.

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the income effect, the substitution effect, and diminishing marginal utility together explain: multiple choice question. the importance of prices. how markets function. why demand curves are downward-sloping. why demand curves exist.

Answers

The income effect, the substitution effect, and diminishing marginal utility together explain why demand curves are downward-sloping.

A consumer's increased enjoyment from owning one extra unit of a good or service is known as marginal utility. Economists utilize the idea of marginal utility to estimate how much of a given good buyers are willing to buy. When a product's price increases, consumers may switch to less expensive substitutes, which results in a decline in sales. The income effect and the substitution effect are the two factors that affect how much a consumer will desire of a commodity when its price changes. The Hicks substitution effect makes the new point of tangency and the old bundle different from one another.

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for which of the following manufactured/made products would job costing be more appropriate than process costing? a. wedding gown made according to client's specification/preference b. oil and gas c. chemicals d. liquid soap

Answers

The right answer is  option a. wedding gown made according to client's specification/preference.

The required details about job costing is mentioned in below paragraph.

An accounting tool called job costing enables companies to track expenditures for specific jobs. The cost of labor, materials, and overhead for a particular project are added together to determine the job cost. A costing technique called job costing is used to estimate the price of particular jobs that are carried out in accordance with the customer's requirements. It is a fundamental costing technique that can be used in situations when there are numerous independent projects or contract activities. With TallyPrime, inventory management has just been lot easier.Businesses in the white-collar sector of the economy, such law companies, accounting firms, and private investment firms, can handle unique client accounts using job order costing. For instance, accounting firms may view every client as a separate task.

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Suppose the supply chain for a clothing industry is as follows: raw materials > parts manufacturing > final assembly > retailer > customer if a final assembly company wants to expand into the manufacturing industry, it is pursuing which integration?

Answers

Given that the supply chain for a clothing industry follows "raw materials > parts manufacturing > final assembly > retailer > customer". Assuming that a final assembly company wants to expand into the manufacturing industry, it is pursuing the integration known as Backward vertical integration.

What is a Backward vertical integration?

Basically, in supply management, an integration refers to the information and communication systems of all stakeholders, which are able to seamlessly exchange information through all planning, execution and completion of logistics operations throughout the product's life time.

The backward integration, means a form of vertical integration in which a firm expands its role to fulfill tasks formerly completed by businesses up the supply chain. This means that a backward integration is when a company buys another company that supplies the products or services needed for production.

In conclusion, as backward integration often involves buying or merging with another company that supplies its products, most companies pursue its when it is expected to result in improved efficiency and cost savings.

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ashburn corporation issued 10-year bonds two years ago at a coupon rate of 8.4 percent. the bonds make semiannual payments. if these bonds currently sell for 105 percent of par value, what is the ytm? (do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)

Answers

Intermediate calculation - The YTM is 7.85%.

What is intermediate calculations?
The process of rounding involves bringing a value to its closest meaningful number. The final results are rounded, and intermediate calculations are truncated. Any math operation contained in a formula is an intermediate calculation. The value that is carried over into another calculation is referred to as an intermediate step. On a worksheet, a step in between is noted and may or may not be reported. The result that is reported is the conclusive response.

Given that,

Coupon rate = 8.4%

Years = 20 years - 2 years = 18 years × 2 = 36 years

Par value or future value= $1,000

Present value = $1,000 × 110% = $1,100

Monthly payment or PMT = (8.4% × $1,000) ÷ 2 = 42

In semi annual payments, we multiply by 2 in years and divide by 2 in PMT as in case of YMT

So, YMT = Rate × 2 = 3.93% × 2 = 7.85%

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for the past month, the plant in problem s7.1, which has an effective capacity of 6,500, has made only 4,500 hammers per day because of material delay, employee absences, and other problems. what is its efficiency?

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For the​ plant, the efficiency for the past month​ = 4500/6500

                                                                              = 69.23  ​%

The term efficiency can be defined as the ability to achieve an end goal with little or no waste, effort, or energy. Being efficient means being able to make the most of the resources at your disposal to achieve your results. Simply put, it is efficient when there is no waste and all processes are optimized.

Efficiency can often be expressed as a percentage of the ideally expected result. For example, if no energy was lost due to friction or other causes, then 100% of the fuel or other input could be used to achieve the desired result.

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a project has a 0.92 chance of doubling your investment in a year and a 0.08 chance of halving your investment in a year. what is the standard deviation of the rate of return on this investment? (do not round intermediate calculations. round your answer to 2 decimal places.)

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40.69 % is the standard deviation of the rate of return on this investment.

Economically, an investment is the purchase of goods that are not consumed today but are used to accumulate wealth in the future. In the financial world, an investment is a financial asset that is purchased with the idea that the asset will generate additional income or will be sold later for a profit at a higher cost.

How does investing work? Simply put, investing works when you buy assets at a low price and sell them at a high price. This type of investment return is known as capital gain. Selling assets for a profit for a return or capital gain is one way to make money with your investments.

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the bank credited your account for a deposit that should have been deposited into another customer's bank account, not yours. this bank error should be a(n) blank on a bank reconciliation.

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The bank credited your account for a deposit that should have been deposited into another customer's bank account, not yours. this bank error should be a deduction from a bank balance on a bank reconciliation.

What is bank reconciliationn?

A bank reconciliation is the process of reconciling an entity's books of account bank account balance with the balance reported by the financial institution on the most recent bank statement in bookkeeping.Bank statements are typically routinely produced by the financial institution and used by account holders to perform their bank reconciliations. Any difference between the two figures needs to be examined and, if necessary, rectified.

There are three main causes of differences between an organization's books of account and the bank's records: 1) Timing differences in recording entries2) Transactions that are not recorded by the account holder but are recorded by the bank.3) Errors in the records.

Occasionally, it may be simple to reconcile the difference by examining the entity's own accounting records (cash book) and the transactions in the bank statement since the last reconciliation to see if any of them match the difference that needs to be explained.Otherwise, it might be necessary to match every transaction that has occurred since the last reconciliation in both sets of records and determine which transactions remain unmatched.The necessary adjustments should then be made in the cash book, or if necessary, they should be reported to the bank, and any timing differences should be recorded to make future reconciliations easier.

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A share of stock with a beta of 0. 75 now sells for $50. Investors expect the stock to pay a year-end dividend of $2. The t-bill rate is 4%, and the market risk premium is 7%. Suppose investors believe the stock will sell for $52 at year-end. Calculate the opportunity cost of capital. Is the stock a good or bad buy? what will investors do? at what price will the stock reach an "equilibrium" at which it is perceived as fairly priced today?.

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The price of stock is $52.625.Dividend equals $2 T-bill rate equals 4% 7% is the market risk premium. Year-end cost equals $52 . Opportunity Cost of Capital is 9.25%

What is the Opportunity Cost of Capital?

Whether the real return will be higher, lower, or the same as the needed return (opportunity cost of capital) will determine what the investors will do.

You may determine the actual return by utilizing the holding period return, which is;

Equals (Earnings(Dividends) + (Ending Stock Price - Beginning Stock Price))/Beginning Stock Price

= (2 + (52 - 50))/50

= 4/50

= 8%

The CAPM can be used to determine the Opportunity Cost of Capital.

beta(Market Premium) + Risk Free Rate

= 4% + 0.75(7%)

= 9.25%

the Possibility The stock is a bad buy since the cost of capital is higher than the actual return from the investment. Beta is set to 0.75. Price today is $50.

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