Redistributing income is a goal of many governments and economic policies, and indirect taxes can be used as a tool to help achieve this goal.
Indirect taxes are taxes that are levied on goods and services, rather than on individuals or companies directly. These taxes can be set at different rates, and can be designed to affect certain types of goods or services more than others. One way to use indirect taxes to redistribute income is by setting higher taxes on luxury goods or products that are disproportionately purchased by higher-income individuals. This can help to raise revenue for the government, while also reducing the purchasing power of higher-income individuals and shifting resources to lower-income individuals.
For example, a government might set a higher sales tax rate on luxury cars or expensive electronics, while setting a lower tax rate on basic necessities like food and clothing. This would mean that higher-income individuals who can afford luxury goods would pay a larger share of the taxes, while lower-income individuals who spend more of their income on necessities would pay a smaller share. In this way, indirect taxes can help to redistribute income and reduce income inequality. However, it's worth noting that indirect taxes can also be regressive, meaning that they can have a disproportionate impact on lower-income individuals if the tax is levied on goods or services that make up a larger share of their spending. Therefore, careful consideration and planning is necessary when designing an indirect tax system that aims to promote income redistribution
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Determine whether the markets, businesses, or products listed below belong in a competitive market, a monopoly, or a monopolistically competitive market. (a) American Eagle (b) Burger King (c) Merck's cholesterol-fighting drug (d) your local electric company (d) the stock market (e) a farmer who grows corn
Answer:
(a) American Eagle is a monopolistically competitive market (b) Burger king is a monopolistically competitive market (c)Merck's cholesterol-fighting drug is a monopoly market (d)your local electric company is a monopoly market. (e) a farmer who grows corn is a competitive market
Explanation:
Solution
American Eagle : It is Monopolistic Competitive. There are many firms which is of one of the number of clothing and accessories retailers in the market where no business have total control over market.
Burger king:This is a monopolistic competitive market as there are many producers who sell same product but they are differentiated by branding.
Merck's cholesterol fighting drug: This is a monopoly market as there is one firm that produce this drug .
Local electric company: It is a monopoly market as it is owned by a local loop where it is the only source for the particular locality
The stock market: It is a competitive market as there are large number of producers who want to earn profits .Here the market prices varies depending on competition .
A farmer who grows corn: It is a competitive market because there are so many people who grows corn and sell in the market.Here the market prices varies depending on competition
Read the statements below. If the statement describes an appropriate use of e-mail select A. If the statement describes an inappropriate use of e-mail, select I.
A—Appropriate
I—Inappropriate
__ Courtney sent her expense report to her supervisor in an attachment.
__ George forwarded a chain letter asking for support for a local charity.
__ Fin sent a brief message to his friend about tonight's plans.
__ Sheila denied receiving an e-mail asking her to write a report.
__ Tori scheduled a meeting with her co-worker.
Answer:
I and A
Explanation:
Courtney sent her expense report to her supervisor in an attachment -- A,George forwarded a chain letter asking for support for a local charity. -- I.Fin sent a brief message to his friend about tonight's plans. -- I.Sheila denied receiving an e-mail asking her to write a report. -- I.Tori scheduled a meeting with her co-worker. -- A1. What area of law protects the sale of a home?
common law
contract law
statutory law
criminal law
2. With respect to a contract, what does the term “consideration” mean?
Both parties agree to be considerate to one another.
Something of value must be exchanged between the parties.
One party offers valid terms, and the other party accepts those terms.
The terms of the contract are enforceable.
3. Which system of law is a complete set of rules enacted as a single written system or code?
common law
administrative law
civil law
statutory law
1 contract law
2 Something of value must be exchanged between the parties.
3 civil law
Why is the law important?
Laws are created for protect our general safety, and ensure our rights as citizens against abuses by other people, by organization's, and by the government itself. We have laws for help provide to our general safety.
How many kinds of Laws?
Natural or Moral Laws: Natural laws are the belief that certain laws of morality are inherent by human nature, reason, or religious belief.
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truue/falsee. \A survey asks a random sample of 1500 adults in Ohio if they support an increase in the state sales tax from 5% to 6%, with the additional revenue going to education. Let X denote the number in the sample that say they support the increase. Suppose that 40% of all adults in Ohio support the increase.
There are just two options: a) 600, or b) 18.97. Either way, they agree with the hike. Independent of other adults, people have an equal chance of supporting the rise.
What does "revenue" mean?According to the definition, revenue is the whole sum of money obtained through conducting commercial activities like sales. Sales is another name for it on the income statement.
What does profit vs. revenue mean?Both revenue and profit are positive indicators for your company, but the phrases shouldn't be used interchangeably. Both provide an essential means of comprehending your company. Profit is the net money left over after subtracting costs from profits, whereas revenue is the income created by company activities.
Sample of 1500 adults
So n=1500
Suppose that 40% of all adults in Ohio support the increase.
This means that p=0.4
a. The mean of X is:
E(X)= np= 1500*0.4
=600
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Suppose a country decides to abandon paper currency and coins, and to adopt eggs as its national currency. Analyze the wisdom of this decision. Base your reasoning on each of the three uses of money.
While eggs may have some value as a commodity, using them as a national currency would not be wise. There are several reasons why eggs are not a suitable replacement for paper currency and coins.
Medium of exchange: Eggs would not be a practical medium of exchange. Eggs are fragile and can easily break, making them difficult to transport and store. They are also perishable and have a limited shelf life, which would create logistical problems for businesses and consumers.
Unit of account: Eggs would not be a stable unit of account. The price of eggs can fluctuate greatly depending on factors such as supply and demand, weather conditions, and disease outbreaks. This volatility would make it difficult for businesses to plan and make long-term investments.
Store of value: Eggs would not be a reliable store of value. As mentioned above, eggs are perishable and have a limited shelf life. They also require careful storage and handling to prevent spoilage. In addition, the value of eggs could be subject to sudden and unpredictable shifts in the market, which would make them a risky investment.
In conclusion, while eggs may have some value as a commodity, using them as a national currency would be unwise due to their fragility, volatility, and perishability. A currency needs to be a practical medium of exchange, a stable unit of account, and a reliable store of value, and eggs do not meet these criteria.
Financial managers focus on _____, the inflow and outflow of cash. Group of answer choices cash flows revenue streams sales revenues profit and loss patterns financial flows
Financial managers focus on option(a)i.e, cash flow the inflow and outflow of cash.
A payment (in a currency), notably from one central bank account to another, is referred to as a cash flow. the word "cash flow" is typically used to represent payments that are anticipated to occur in the future, are therefore unknown, and require cash flow forecasting.
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, cash flow from financing activities.Accounting professionals' financial accounts and other data are used by financial managers to make financial decisions. The inflows and outflows of cash are the main focus of financial management. They organize and track the company's financial flows to make sure there is money on hand when it is required.
A financial manager's primary responsibility is to assess an organization's efficiency through effective resource allocation, acquisition, and management. It offers direction for financial planning. It aids in obtaining funding from many sources. It aids in making wise financial investments.
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PLEASE HELP QUICKLY: (FIRST ANSWER GETS BRAINLIEST)
Amanda is 20-years-old and looking to invest $1000. She has always played it safe with very low-risk investments, but now she is ready to take a bigger risk to see if she can earn a bigger return on her investment. She is comfortable having this money tied up for several years, but she would like to withdraw the money sometime in the next 5 to 10 years. Which type of investment will BEST fit Amanda’s needs?
money market mutual fund
certificate of deposit
bond
Money market mutual fund,is the type of investment will BEST fit Amanda’s needs.
What is meant by Money market mutual fund?
A money market fund is a kind of mutual fund that invests in highly liquid, near-term instruments. These instruments include cash, cash equivalent securities, and high-credit-rating, debt-based securities with a short-term maturity (such as U.S. Treasuries).Money market funds invest in highly liquid securities like cash, cash equivalents, and high-rated debt-based securities. Because they only invest in highly rated securities, money market funds offer a high degree of safety. Money market funds also offer investors higher yields than traditional savings accounts.Money market mutual fund,is the type of investment will BEST fit Amanda’s needs.
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Adalyn wants to find a job in Education and Training. She has excellent analytical thinking and leadership skills, but she does not want to work directly with students. Which career would be the best option for her? A. curriculum developer B. high school teacher C. school counselor D. speech-language pathologist
Answer:
A. curriculum developer
Explanation:
A curriculum developer refers to an individual who is typically an educational professional who is saddled with the responsibility of creating or developing topics, instructional materials and teaching techniques (methods) that are to be used by classroom teachers to instruct, lecture and teach students. Thus, curriculum developers do not work directly with students but are part of the chain responsible for ensuring that students get the best form of knowledge and learning experience in schools.
Additionally, curriculum developers are to ensure that the curriculum used for teaching students are totally or completely in compliance with sets of standards established by the school and regulatory agencies in the state.
In this scenario, Adalyn wants to find a job in Education and Training. She has excellent analytical thinking and leadership skills, but she does not want to work directly with students.
Hence, the career which would be the best option for her is to be a curriculum developer.
Answer:
A. curriculum developer
Explanation:
Rug emporium, a manufacturer of large area rugs, markets its products throughout the united states using a network of regional sales offices. they are using a ________ sales force structure.a. Marketb. Regionalc. Territoriald. Customere. Product
Rug emporium, a manufacturer of large-area rugs, markets its products throughout the united states using a network of regional sales offices. they are using a territorial sales force structure.
An emporium refers to a buying and selling publish, factory, or marketplace of Classical antiquity, derived from the historical Greek: , romanized: (empórion), which will become Latin: emporium. The plural is emporia in each languages, despite the fact that in Greek the plural undergoes a semantic shift to mean "products".[1] Emporium is a term that has additionally been used to describe the centres of heightened change during the Early middle a while. Emporia varied greatly of their degree of interest. some appear to have functioned much like the permanent eu buying and selling colonies in China, India and Japan within the early present day period or those of the mediaeval Italian maritime republics in the Levant. Others have been probable annual activities for a few days or weeks like the medieval Champagne festivals or modern-day trade festivals.
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Which one of the following statements is TRUE?
a increased market segmentation and technological advances mandate long development cycles.
b Recent trends are for manufacturing firms not to involve operations until the final design stage has been reached.
c The process of concurrent engineering requires design engineers, manufacturing specialists, and marketers to work jointly in designing, a product and selecting a production process.
d Firms such as Ford and Honda found that the concept of concurrent engineering is not cost effective.
Statement C is true as concurrent engineering involves collaboration between design engineers, manufacturing specialists, and marketers in product design and process selection.
Concurrent engineering is an approach that emphasizes cross-functional collaboration and simultaneous development of a product and its manufacturing processes. It involves design engineers, manufacturing specialists, and marketers working together from the early stages of product development. This collaborative approach allows for better coordination, faster decision-making, and improved product quality. It ensures that all aspects, including design, manufacturing, and marketing considerations, are taken into account during the development process.
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The five main areas of finance are corporate finance, _____, financial institutions, international finance, and fintech.
Answer:
INVESTMENTS is the answer.
The major areas of the finance are corporate finance, investment, financial institutions, international finance, and fintech.
What is Investment?Investment refers to the amount invested by the individual over any business or shares, bonds etc. It is done in order to generate more income.
Corporate finance, investment, financial institutions, international finance, and fintech are the main sub fields of finance.
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a) Jordan Ltd acquired 60% of the shares of Lucas Ltd for K2, 000 on 1st January 2013 which was the date of its incorporation. The statements of financial position of the companies as at 31st December 2013 are given below: Jordan Ltd Lucas Ltd K' K' Non-current assets Property plant and equipment 10, 000 7,500 Share investments 2,500 Loan to Lucas Ltd 4, 500 17, 000 7,500 Current assets Inventory 4,000 1,000 Receivable from Lucas Ltd Other trade receivables 3,000 500 1,000 200 Cash and cash equivalents Total assets Equity and liabilities 25.300 9.200 K1 ordinary shares 10, 000 3,000 $300 5 Reserves 1,500 5,000 15, 000 4, 500 Non-current liabilities Loan from Jordan Ltd 10% loan notes 4,500 10, 000 Payable to Jordan Ltd- 200 Other payables 300 25, 300 9,200 Notes: 1. Jordan Ltd sold property plant and equipment to Lucas Ltd for K4, 000. The property plant and equipment had cost Jordan Ltd K3, 200. The property plant and equipment is depreciated at 25% per annum. 2. Lucas Ltd sold inventory to Jordan Ltd that had cost K1, 000 at cost plus 25%. 10% of this inventory is still in the books of Jordan Ltd. Prepare the consolidated statement of financial position for the Jordan Group of companies as at 31st December 2013.
The consolidated statement of financial position for the Jordan Group of companies as at 31st December 2013 shows total assets of K25,300, equity of K15,000, and non-current liabilities of K4,500.
To prepare the consolidated statement of financial position for the Jordan Group of companies, we need to combine the financial information of Jordan Ltd and Lucas Ltd, taking into account the acquisition and subsequent transactions between the two companies.
Step 1: Consolidating Non-current Assets
Jordan Ltd acquired 60% of the shares of Lucas Ltd for K2,000. Therefore, Jordan Ltd has control over Lucas Ltd and we need to include Lucas Ltd's non-current assets in the consolidated statement. The property, plant, and equipment of Lucas Ltd amount to K7,500, which should be added to Jordan Ltd's non-current assets of K10,000. Thus, the consolidated non-current assets will be K17,500.
Step 2: Consolidating Current Assets
We need to include the current assets of Lucas Ltd in the consolidated statement. This includes the inventory, receivables, and cash and cash equivalents. Lucas Ltd's inventory of K1,000 was sold to Jordan Ltd, but 10% of it remains in Jordan Ltd's books, so we need to deduct K100 (10% of K1,000) from Jordan Ltd's inventory of K4,000. Lucas Ltd's receivables of K1,000 should be added to Jordan Ltd's receivables of K3,000. The cash and cash equivalents of Lucas Ltd, totaling K200, should be added to Jordan Ltd's cash and cash equivalents of K4,300. Therefore, the consolidated current assets will be K8,100.
Step 3: Consolidating Equity and Liabilities
To consolidate equity, we add Jordan Ltd's equity of K15,000 and Lucas Ltd's equity of K4,500. This gives us a consolidated equity of K19,500. Regarding liabilities, Jordan Ltd has a loan to Lucas Ltd of K4,500, which should be subtracted from the consolidated statement, resulting in non-current liabilities of K0. Other payables of Lucas Ltd (K300) should be added to Jordan Ltd's other payables of K200. This gives us consolidated liabilities of K500.
Therefore, the consolidated statement of financial position for the Jordan Group of companies as at 31st December 2013 is as follows:
- Total assets: K25,300
- Equity: K19,500
- Liabilities: K500
- Non-current liabilities: K0
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Please type a 1 page double space paper on What Leadership means to you?
Things you can include:
Qualities of a good leader
An example of a good leader and how
What does it mean to you
How is being a leader important
Plz hurry up
Answer:
being a leader is important
Explanation:
being a leader is important because when people see that your a leader its so they can onder stand whats going on they need to see the inside of you
uppose the government wants to limit imports of a certain good. Is it preferable to use an import quota or a​ tariff? Why? A. A tariff is preferable because the producer surplus gain is larger than with a quota.​ Therefore, the tariff creates a smaller deadweight​ loss, which is preferable from​ society's standpoint. B. Quotas and tariffs are equivalent in their ability to limit imports and therefore are equally preferable. They cause the same changes in consumer and producer surplus and thus the same deadweight loss. C. A quota is preferable because it​ doesn't require imposing a tax on the good to limit imports. Consumers can still benefit from a lower price while domestic producers benefit from increased sales. D. Although consumer and producer surplus changes are the same under quotas and​ tariffs, tariffs are preferable because the government can redistribute the tariff revenue to offset most of the deadweight loss.
Answer:
Although consumer and producer surplus changes are the same under quotas and tariffs, tariffs are preferable because the government can redistribute the tariff revenue to offset most of the deadweight loss.
Explanation:
Which of the following organisations is most likely to sell shares for sale to invited investors?
a. A Sole trader
b. Partnership
C. Private limited company
d. A business with unlimited liability
Answer:
C. Private limited company
Explanation:
Ownership in a private limited company is restricted, unlike in a public limited company. The shareholders of a private limited company are usually family members, close friends, or people with a shared interest.
A private limited company can raise capital by selling additional shares. Because becoming a shareholder in a private limited company is restricted, private companies raise capital by selling shares to existing shareholders or to invited investors.
chegg based on the information provided, what is the firms after-tax weighted average cost of capital at book value?
To calculate the after-tax weighted average cost of capital at book value, you would need the following information:
1. The firm's debt-to-equity ratio.
2. The cost of debt (interest rate on debt).
3. The cost of equity (required rate of return on equity).
4. The firm's tax rate.
Once you have this information, you can calculate the after-tax weighted average cost of capital by following these steps:
1. Multiply the debt-to-equity ratio by the cost of debt and the tax rate. This gives you the after-tax cost of debt.
2. Multiply the remaining portion of the debt-to-equity ratio (1 minus the debt-to-equity ratio) by the cost of equity. This gives you the cost of equity.
3. Add the after-tax cost of debt and the cost of equity together. This gives you the after-tax weighted average cost of capital.
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To calculate the after-tax weighted average cost of capital at book value, you would need the following information:
1. The firm's debt-to-equity ratio.
2. The cost of debt (interest rate on debt).
3. The cost of equity (required rate of return on equity).
4. The firm's tax rate.
Once you have this information, you can calculate the after-tax weighted average cost of capital by following these steps:
1. Multiply the debt-to-equity ratio by the cost of debt and the tax rate. This gives you the after-tax cost of debt.
2. Multiply the remaining portion of the debt-to-equity ratio (1 minus the debt-to-equity ratio) by the cost of equity. This gives you the cost of equity.
3. Add the after-tax cost of debt and the cost of equity together. This gives you the after-tax weighted average cost of capital.
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Predict: How might learning tasks that are not part of your regular job make you a more valuable employee ?
Answer:
Success, Power, and Politics in the Workplace.
Strive to Understand and Support His Goals.
Communicate at the Right Volume.
Be Careful With the Water Cooler Conversations.
Save Her From Unwelcome Surprises.
Always Go in With a Plan.
Build Bridges Across the Organization.
Show off Your Work Without Being Obnoxious.
Explanation:
Answer:
Learning other tasks makes u more efficient your boss will begin to value u and your efforts to make his work better
A partnership formed to create competitive advantage for the businesses involved iscalled a:
A partnership formed to create competitive advantage for the businesses involved is called a strategic alliance.
Strategic alliances are formed when two or more businesses collaborate to achieve mutual goals and gain a competitive edge in the market. These partnerships can take various forms, such as joint ventures, co-branding agreements, licensing agreements, or distribution partnerships. By leveraging each other's strengths, resources, and expertise, the businesses aim to enhance their market position, expand their customer base, access new markets or technologies, and ultimately achieve greater success and profitability. Strategic alliances can be beneficial for all parties involved as they allow for the sharing of risks, costs, and knowledge, while also promoting synergies and collaboration in pursuit of common objectives.
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Which of the following denotes the extent to which a person is held responsible for oversight of a duty or task?
Centralisation
Delegation
Hierarchy
Accountability
You plan to number each account in your chart of accounts you want to have major categories and two levels of sub categories each level of category will be represented by a digit you want to have a room in your numbering for at least 10 accounts within the lowest level of subcategories how many digits do you need in your account numbers
Answer:
umm then u will have 5 account left
A neighbor’s kid comes into your backyard and jumps on the trampoline without your permission or knowledge. He falls off and lands on his head, resulting in a week’s hospital stay.
The first step should making sure such child receives proper medical attention. When he is well, we can have a conversation with the neighbor to prevent it from happening again..
What should be done in the event?It is very important to prioritize the child's health in this situation and once the medical attention has been sought, we can have a calm and respectful conversation with the child's parent to discuss the incident for future interactions.
One can also review any legal liabilities or insurance policies that could be involved. So, by taking proactive steps to prevent similar incidents in the future can help maintain positive relationships with neighbors while ensuring everyone's safety.
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Cain Company reports net cash provided by operating activities of $35,000. It also reports the following information under “Adjustments to reconcile net income to net cash provided by operating activities” on its statement of cash flows (using the indirect method).
It can be seen from the solutions given that Cain's net income is $24,000.
Here is the solution:Net income = Net cash provided by operating activities - Adjustments
= $35,000 - $6,000 - $10,000 + $4,000 + $7,000 + $4,000
= $24,000
Therefore, Cain's net income is $24,000.
Here is a breakdown of the adjustments:
To determine cash flow from operations, it is necessary to include the gain on equipment sales in the net income as it is a non-cash entry.
A rise in accounts receivable implies that customers are prolonging payment of their invoices, resulting in decreased cash flow from the company's activities.
The depreciation expense is classified as a non-cash expense, hence it must be included in the calculation of cash from operations by adding it back to the net income.
A decrease in inventory indicates that the company is experiencing faster turnover of its inventory, leading to increased cash flow generated by its operations.
A rise in prepaid expenses denotes that the company is channeling more funds towards prepaid expenditures like insurance and rent, implying a reduced cash inflow from its operational activities.
A decline in the amount of wages that the company owes indicates that it is not promptly compensating its workforce. Consequently, this implies that the company's operational cash flow is reduced.
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Peggy grey's cookies has net income of $390. the firm pays out 40 percent of the net income to its shareholders as dividends. during the year, the company sold $84 worth of common stock. what is the cash flow to stockholders? multiple choice $240.00 $72.00 $122.40 $156.00 $234.00
The cashflows to stockholders therefor is A. $240.00.
How to calculate the cashflows of stockholders?The movement of cash into and out of a business over a specific time period is referred to as cash flow. It is the net amount of cash and cash equivalents that enter and leave a business over a specified time period, such as a month or a year.
Dividends paid to shareholders are computed as follows:
Dividends = net income multiplied by dividend payout ratio
Dividends = $390 divided by 0.40
Dividends equal $156.
The cash flow to stockholders can be calculated as the sum of dividends paid and proceeds from common stock sales:
Cash flow to stockholders = Dividends + Sale of common stock
Cash flow to stockholders = $156 + $84
Cash flow to stockholders = $240.00
As a result, the correct answer is A. $240.00.
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Investment in bonds or stock in which the company plans to hold the investment for longer than one year is classified as a ________.
Investment in bonds or stock in which the company plans to hold the investment for longer than one year is classified as a long-term investment.
Investment definition is an asset acquired or invested in to build wealth and save money from the hard-earned profits or appreciation. Investment meaning is primarily to gain an additional source of income or gain profit from the investment over a specific time period.
Making an investment is an effective way to put your money to work and potentially build wealth. smart investing may allow your money to outpace inflation and growth in fees. The greater growth potential of investing is ordinarily due to the power of compounding and the risk-return tradeoff.
A stock, also called equity, is a safety that represents the ownership of a fraction of the issuing corporation. units of stock are called "shares" which entitles the owner to a share of the enterprise's assets and profits equal to how much stock they own.
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Under the deemed substantiation method of accounting for expenses, what is the maximum amount taxpayers are allowed as a deduction without being required to substantiate the amount of the expenses? a.The per diem rate established by the state in which they live. b.The appropriate Federal per diem amount. c.All expenses up to $25 per day. d.$75 per day. e.None of these choices are correct.
Answer:
b. The appropriate Federal per diem amount.
Explanation:
These special diem per rates for taxpayers would be used in substantiating the ordinary amount and important business expenses that are expense at the time when travelling to be done especially the special transportation industry meal and rates of incidental expenses, the deduction with respect to the incidental expenses, and the rates & high-cost localities list for the motive of the high-low substantiation method.
How might a Product Owner (PO) adjust team events to take advantage of this capability and promote the flow of value?
Answer:
hello your question is incomplete below is the complete question
An Agile Release Train (ART) has implemented a completely automated Continuous Integration/Continuous Delivery (CI/CD) pipeline that can deploy code as it is checked into the source-code repository. How might a Product Owner (PO) adjust team events to take advantage of this capability and promote the flow of value? 1. Release Stories that have been included in the team demo 2. Review and accept Stories as they are completed 3. Identify Stories that are cleared for automatic delivery during Iteration Planning 4. Implement Feature toggles to control which Stories are released
answer : Identify Stories that are cleared for automatic delivery during Iteration Planning ( 3 )
Explanation:
The Best way a product owner( PO ) can adjust team events in order to take advantage of this capability and promote the flow of values is ; Identify Stories that are cleared for automatic delivery during Iteration Planning.
This is because this options identifies ART and its clearance.
A toy manufacturer makes its own wind-up motors, which are then put into its toys. While the toy manufacturing process is continuous, the motors are intermittent flow. Data on the manufacture of the motors appears below.
Annual demand = 75,000 units
Daily sub-assembly production rate = 625
Setup cost (S) = $85 per batch
Operating days = 250
Carrying cost = 16% per unit per year
Unit Cost = $63.95
a. To minimize cost, how large should each batch of sub-assemblies be? [ Select ] ["7289.00", "1166.19", "1389.50", "1548.01", "1166.75"]
b. What is the maximum production inventory [ Select ] ["789.45", "804.96", "2915.35", "5831.01", "686.27"]
c. What is the total cost to manage the inventory? $ [ Select ] ["$7,288.00", "$8,236.39", "$583.15", "$2,915.50", "$4,118.20"]
d. What are the number of set-ups in the process? [ Select ] ["3.44", "52.67", "6.86", "48.45", "23.89"]
e. What if the toy manufacturer decided to make 1300 motors per batch, what would the set-up cost be? [ Select ] ["$4,118.20", "$4,903.85", "$1,166.27", "$5,830.90", "$2,915.40"]
f. Based on the initial POQ, what percentage of time will the toy manufacturer be producing motors? [ Select ] ["52%", "80%", "20%", "35%", "48%"]
To minimize cost, each batch of sub-assemblies should be 11,666.75 units.
What is the optimal batch size for sub-assemblies to minimize cost?The optimal batch size for the sub-assemblies in order to minimize cost is 11,666.75 units. This can be calculated using the economic order quantity (EOQ) formula, which takes into account the annual demand, setup cost, and carrying cost. EOQ = sqrt((2 * annual demand * setup cost) / carrying cost). Substituting the given values, we find EOQ = sqrt((2 * 75,000 * 85) / 0.16) ≈ 11,666.75 units.
The economic order quantity (EOQ) formula is commonly used in inventory management to determine the optimal batch size for minimizing costs. By considering factors such as demand, setup cost, and carrying cost, the EOQ formula provides a balance between the cost of holding inventory and the cost of ordering or setting up new batches. It helps companies make informed decisions about the quantity and frequency of their orders, ensuring efficient inventory management.
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an example of economic profit motive
Joe Chin bought a house for $180,000. He made a 20% down payment. Joe secured a loan for the balance of the purchase price at 6.5% interest for 30 years. What will be the monthly payments on the loan? (do not use commas or dollar signs in your answer)
Answer:
910.18
Explanation:
After Chin's down payment the amount borrowed is ...
(1 - 20%)($180,000) = 0.80·$180,000 = $144,000
The amount of the payment is given by the amortization formula ...
A = P(r/n)/(1 -(1 +r/n)^(-nt))
for P borrowed at rate r for t years, compounded n times per year.
A = 144000(0.065/12)/(1 -(1 +.065/12)^(-12·30)) = 910.18
The monthly loan payments will be 910.18.
A monopolist faces a demand curve given byP = 200- 10q.where P is the price of the good & Q is the quantity demanded. the marginal cost of production is constant and is equal to $ 60,there are no fixed costs of production.A. what quantity should be monopolist produce in order to maximize profit on 7 units
Demand curve is as follows: P = 200 - 10q.$60 is the marginal cost of manufacturing. When 7 units are generated, we must determine the amount of production the monopolist should carry out to maximise his profit.
The inverse demand function is therefore known to be: P = 200 minus 10qOr, 10q = 200 minus PO, and q = 20 minus P/10.Price x Quantity equals Total Revenue (TR). TR = P x q TR = (200 - 10q) x q TR = 200q - 10q²Marginal Revenue (MR) is equal to TR/q. MR = 200 - 20q
Now, Marginal Cost (MC) = $60.We know that profit is given by the equation: Profit (π) = TR - TC Clearly, the profit maximization rule is: MR = MC200 - 20q = 60Or, q = (200 - 60)/20= 7 units
The monopolist should produce 7 units in order to maximize profit. Since the monopolist should produce where marginal revenue equals marginal cost and the marginal cost of production is constant and is equal to $ 60, we have to find the quantity of production for which the marginal revenue equals the marginal cost. We can then calculate the corresponding price from the demand curve and total revenue (price times quantity) and, finally, compute the profit (total revenue minus total cost, where the total cost is the total variable cost which is the product of the quantity produced and the marginal cost) for this quantity.
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