If Tyson Corporation, a firm that raises and processes chickens, combines with Kentucky Fried Chicken, the resulting merger would be an example of a: vertical merger. The correct option is D.
A vertical merger occurs when two companies that are part of the same supply chain, but operate at different stages, decide to join forces. In this case, Tyson Corporation is involved in the production and processing of chickens, while Kentucky Fried Chicken is a fast-food restaurant chain that sells prepared chicken dishes to customers.
The merger between these two companies would create a more streamlined supply chain, with Tyson Corporation supplying chicken directly to Kentucky Fried Chicken. This can potentially lead to cost savings and better control over the supply chain for the combined company.
To briefly mention the other types of mergers you listed:A. Conglomerate merger: This occurs when two companies from unrelated industries merge.
B. Horizontal merger: This occurs when two companies within the same industry and operating at the same level of the supply chain merge.
C. Geographic merger: This occurs when two companies that operate in different geographic regions merge, often for the purpose of expanding their market reach.
In conclusion, the merger between Tyson Corporation and Kentucky Fried Chicken is an example of a vertical merger, as they are part of the same supply chain but operate at different stages.
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Complete question:
If Tyson corporation, a firm that raises and processes chickens, combines with kentucky fried chicken, the resulting merger would be an example of a:
A. conglomerate merger
B. horizontal merger
C. geographic merger
D. vertical merger
in which situation is a country most likely to choose a fixed exchange rate for its currency
why is workplace diversity so important in today’s business environment?
Answer:
Explanation:
Workplace diversity is important for several reasons in today's business environment:
Improved Decision Making: A diverse workplace brings together individuals with different perspectives, experiences, and backgrounds, leading to better decision making and problem solving.
Increased Creativity and Innovation: A workplace with a mix of different perspectives can lead to new and innovative ideas, and a more creative approach to problem solving.
Better Representation of Customer Base: A diverse workplace can help to better reflect the demographics of a company's customer base, leading to a better understanding of their needs and preferences.
Enhanced Reputation: Companies that are known for promoting diversity and inclusion are often viewed more favorably by both customers and employees, and may have an advantage in attracting and retaining top talent.
Improved Employee Satisfaction and Retention: A workplace that values diversity and provides equal opportunities for all employees can lead to a more positive and inclusive work environment, resulting in higher levels of employee satisfaction and reduced turnover.
Legal Compliance: Promoting diversity in the workplace is also important from a legal perspective, as there are laws and regulations in place to prevent discrimination in the workplace.
Overall, workplace diversity helps to create a more inclusive and productive work environment, which can lead to increased success for the business.
how can corporation tax affect a pharmacy business and value-added tax give one whole paragraph
Answer: Tax is generally considered as a burden.
Pharmacy companies are actually facing a lot of trouble regarding the tax
In addition to that corporation tax is adversely affecting the pharmacy business.
Explanation:
VAT is the tax that is charged on the gross margin at every stage in the sale of goods. Tax is assessed and collected at each point, starting from the manufacturer until the product reaches the retailer. Every state and union territory has different VAT laws.
VAT = Output Tax – Input Tax
the corporate tax also called corporation tax or company tax is tax imposed by the legal entities.
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One of the primary purposes of the analyzing data and developing insights step of the marketing research process is to turn data intoA. informationB. secondaryC. external secondary dataD. syndicated external data
One of the primary purposes of the analyzing data and developing insights step of the marketing research process is to turn data into meaningful information.[A]
What techniques are used to analyze data?
Data analysis qualitative and quantitative techniques are the two main approaches for analyzing data. Business executives and decision-makers can gain business insights from various data kinds by using these data analysis approaches alone or in combination.
In this process, raw data is transformed into information that can be utilized to make smart business decisions by utilizing a variety of analytical tools and approaches.
Therefore, Turning data into useful knowledge is one of the main goals of the market analysis process's analysis of data and insight-building step.
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Ken is 63 years old and unmarried. He retired at age 55 when he sold his business, Understock. Though Ken is retired, he is still very active. Ken reported the following financial information this year. Assume Ken files as a single taxpayer. Determine Ken’s gross income and complete page 2 of Form 1040. (a) Ken won $1,200 in an illegal game of pocker(b) Ken sold 1000 shares of stock for $32 a share. He inherited the stock two years ago. His tax basis in the stock was $31 per share(c) Ken received $13000 in disability benefits for the year. He purchased the disability insurance policy last year
Ken's gross income for the year consists of three components: $1,200 from an illegal poker game, capital gains from selling stock, and disability benefits totaling $13,000. The capital gains are calculated by subtracting the tax basis ($31 per share) from the selling price ($32 per share) for 1,000 shares.
Ken's gross income for the year includes the following components:
(a) Illegal poker game winnings: Ken won $1,200 in an illegal game of poker. Although the legality of the game doesn't affect the reporting of income, it's important to note that engaging in illegal activities is against the law.
(b) Capital gains from stock sales: Ken sold 1,000 shares of stock for $32 per share, resulting in a total of $32,000. He inherited the stock two years ago and had a tax basis of $31 per share. To calculate the capital gains, the tax basis is subtracted from the selling price for each share. In this case, the capital gains amount to $1 per share ($32 - $31) for a total of $1,000.
(c) Disability benefits: Ken received $13,000 in disability benefits for the year. These benefits were obtained through an insurance policy he purchased last year.
To complete page 2 of Form 1040, the income from the illegal poker game should be reported on line 8a, labeled "Other income." The $13,000 disability benefits should be reported on line 1, labeled "Wages, salaries, tips, etc." However, since disability benefits are typically not subject to federal income tax, it's important to consult the instructions or a tax professional to determine if any portion of the benefits is taxable.
The capital gains from selling the stock should be reported on Schedule D, which is used to report capital gains and losses. The details of the stock sale, including the number of shares, tax basis, and selling price, will need to be provided on the form. The resulting capital gains of $1,000 will be carried over to Form 1040's Schedule 1, line 6, labeled "Capital gain or (loss)."
It's important to note that this is a simplified explanation, and Ken's individual tax situation may have additional factors that need to be considered. Consulting a tax professional or referring to the IRS instructions for Form 1040 would provide more accurate and personalized guidance for Ken's specific circumstances.
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A flexible budget is a budget prepared for a different level of volume than that which was originally anticipated.a. Trueb. False
The answer is "True." A flexible budget is designed to adjust the budgeted figures to reflect the actual volume of activity that occurs during the budget period.
This type of budget is useful for companies that have varying levels of production or sales activity. A flexible budget is a dynamic tool that allows businesses to adjust their spending and revenue projections to account for changes in the marketplace, changes in consumer behavior, and changes in the overall economic environment. By preparing a flexible budget, companies can better understand how changes in volume will impact their financial performance and can make more informed decisions about resource allocation.
Overall, a flexible budget is an important component of effective financial planning, and companies that utilize this tool are better positioned to adapt to changes in the business environment and to achieve their strategic objectives.
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List three (3) Safety measures the cashier must take into consideration when doing/making a lodgment at any Financial Institution.
A cashier must accurately check the number of notes and currency; check the authenticity of the notes with a vending machine, and also ensure the offer of receipt to the person.
What are the roles of a cashier?A cashier is someone who handles the daily inflow and outflow of cash in any financial institution. There shall be zero to less fungibility in the work of a cashier.
To ensure that the cash transactions are true and correct, a cashier must take the following safety measures :
Accuracy in number of notes and currencies received throughout the day. Authenticate the notes and currencies with the help of vending machine. When a transaction is completed, a cashier must give the receipt of the same to the customer.Hence, the aforementioned safety measures are to be taken by the cashier while making transactions at a financial institution.
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your company is offered terms of trade of 2/10, net 30 but is not able to take the 2% discount. in other words, you dont have the cash flow to pay the bill and recieve the discount within 10 days, what is this going to cost you?
please show all working. no excel
Not being able to pay and receive the discount would cost you $20, as you would have to pay the full $1,000.
not being able to take the 2% discount within the 10-day period will cost you the foregone discount amount, which is equivalent to paying the full invoice amount. you will not benefit from the savings provided by the discount.
the terms of trade, 2/10, net 30, mean that if you pay the bill within 10 days, you are eligible for a 2% discount on the invoice amount. however, if you cannot pay within the discount period, you need to pay the full invoice amount within 30 days.
by not taking advantage of the discount and paying the full invoice amount, you are effectively forgoing the savings represented by the discount. the cost is equal to the discount percentage (2%) of the invoice amount.
for example, if the invoice amount is $1,000, the discount would be $1,000 * 0.02 = $20. it's important to carefully evaluate your cash flow situation and consider the financial implications of not being able to take advantage of trade discounts, as it can result in increased costs and reduced savings for your business.
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What is a broker?
Career Prep Edge
Answer:
A broker refers to an individual who is saddled with the responsibility of buying and selling stocks (shares) on a stock exchange market on behalf of his or her clients.
Explanation:
A broker refers to an individual or business firm that is saddled with the responsibility of buying and selling stocks (shares) on a stock exchange market on behalf of his or her clients.
Generally, a broker acts as an intermediary between a buyer (investor) and a seller (securities exchange) for a commission or an agreed upon fee after executing the deal. Thus, a broker also referred to as a stockbroker acts as a principal party in the buying or selling of stocks or securities in the financial markets.
Additionally, the actions or activities of a broker in the financial market is regulated by regulatory (financial) institutions such as the securities and exchange commission (SEC).
Answer:
A broker refers to an individual who is saddled with the responsibility of buying and selling stocks (shares) on a stock exchange market on behalf of his or her clients.
Explanation:
A broker refers to an individual or business firm that is saddled with the responsibility of buying and selling stocks (shares) on a stock exchange market on behalf of his or her clients.
Generally, a broker acts as an intermediary between a buyer (investor) and a seller (securities exchange) for a commission or an agreed upon fee after executing the deal. Thus, a broker also referred to as a stockbroker acts as a principal party in the buying or selling of stocks or securities in the financial markets.
Additionally, the actions or activities of a broker in the financial market is regulated by regulatory (financial) institutions such as the securities and exchange commission (SEC).
Explanation:
1. explain what dual agency is and how it affects buyers and sellers. is it allowed everywhere? 2. if you were selling your house, would you want to be in a dual agency situation? why or why not? what about if you are buying? would you change your mind? why or why not? 3. what issues do you need to be aware of to protect yourself, as either buyer or seller?
A dual agency is when one agent represents both buyer and seller. It can create conflicts. Buyers and sellers should be cautious, seek advice, and ensure clear communication and documentation to protect their interests.
A dual agency is a real estate practice where a single real estate agent or brokerage represents both the buyer and the seller in a transaction. It can potentially create conflicts of interest as the agent owes fiduciary duties to both parties. Dual agency regulations vary by jurisdiction, and they may not be allowed everywhere or subject to specific restrictions.
Personal preferences regarding dual agency can vary. As a seller, being in a dual agency situation means the agent represents both parties, potentially limiting the agent's ability to negotiate on your behalf. As a buyer, it may also limit the agent's ability to advocate solely for your interests. Whether to opt for a dual agency depends on the level of trust in the agent's ability to handle conflicts and negotiate fairly.
To protect yourself as a buyer or seller, it's important to understand the potential pitfalls of dual agency. Ensure clear communication with the agent about their role, obligations, and any potential conflicts of interest. Consider seeking independent representation or legal advice if needed. Be vigilant about disclosures, obtain written agreements, and carefully review all documentation related to the transaction to safeguard your interests.
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Mannix corporation stock currently sells for $70 per share. the market requires a return of 12 percent on the firm's stock. if the company maintains a constant 5 percent growth rate in dividends, what was the most recent dividend per share paid on the stock
Without the earnings per share (EPS) value, the most recent dividend per share paid on Mannix Corporation stock cannot be determined.
What was the most recent dividend per share paid on Mannix Corporation stock, given a constant 5% growth rate in dividends, a $70 stock price, and a 12% required return by the market?To determine the most recent dividend per share paid on Mannix Corporation stock, we need to use the dividend discount model (DDM). The DDM formula is as follows:
Dividend per share (DPS) = Dividend payout ratio * Earnings per share (EPS)
Since the question states that the company maintains a constant 5 percent growth rate in dividends, we can assume that the dividend payout ratio remains constant as well. Therefore, we can rewrite the formula as follows:
DPS = Dividend payout ratio * EPS
To calculate the dividend payout ratio, we need to consider the growth rate and the required return. The dividend payout ratio can be calculated using the formula:
Dividend payout ratio = (1 - Retention ratio)
The retention ratio is the portion of earnings that is retained by the company for reinvestment, while the dividend payout ratio is the portion of earnings that is paid out as dividends. Given that the company maintains a constant growth rate, the retention ratio is equal to 1 minus the dividend growth rate. Therefore:
Retention ratio = 1 - Dividend growth rate
Now, we can calculate the dividend payout ratio:
Dividend payout ratio = (1 - 0.05) = 0.95
Next, we need the earnings per share (EPS). Since the question does not provide this information, we will assume that the earnings per share are equal to the most recent dividend per share, as the company is maintaining a constant dividend growth rate. Therefore:
EPS = DPS
Now, let's calculate the most recent dividend per share (DPS) using the given information:
DPS = Dividend payout ratio * EPS
= 0.95 * EPS
We still need one more piece of information to proceed—the earnings per share (EPS). Without the EPS value, we cannot determine the exact most recent dividend per share paid on the stock. If you have the EPS value, please provide it so that we can calculate the dividend per share.
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Assume that the next morning, the bond credit rating changes to A-/A-, and the new yield to maturity becomes 8.2%. What is the price of the bond after this change?
[From the prior problem: Calculate the price of the following corporate bond with a credit rating of BBB+ / Baa+: $1000 par value, 8% semi-annual pay coupon, 8.40% yield to maturity, and 5 years to maturity.}
If the bond credit rating changes to A-/A-, and the new yield to maturity becomes 8.2%, then the price of the bond will be $635.21.
To calculate the price of the bond after the credit rating change, we'll use the updated yield to maturity of 8.2%. The bond details remain the same:
Par value (PV) = $1000
Coupon rate (C) = 8% (semi-annual)
Yield to maturity (YTM) = 8.2% (semi-annual)
Years to maturity (n) = 5 (semi-annual)
To calculate the price of the bond, we can use the present value of the bond's cash flows:
Price = (C / 2) * [1 - (1 / (1 + YTM/2)ⁿ] + PV / (1 + YTM/2)ⁿ
Let's calculate the price of the bond after the credit rating change:
Price = (40 / 2) * [1 - (1 / (1 + 0.082/2)¹⁰)] + 1000 / (1 + 0.082/2)¹⁰
Price = 20 * [1 - (1 / (1.041)¹⁰)] + 1000 / (1.041)¹⁰
Price = 20 * (1 - 0.598799) + 1000 / 1.593848
Price = 20 * 0.401201 + 627.19
Price = 8.02402 + 627.19
Price = $635.21402
Therefore, after the credit rating change, the price of the bond would be approximately $635.21.
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A correlation analysis between sales and sales training scores results in R = +.98. Which of the following best interprets the relationship between sales and sales training?
a. 98% of the salespeople taking the test have higher sales.
b. The correlation between sales and sales training is very weak and insignificant.
c. The correlation between sales and sales training is strong and positive, indicating that higher sales training scores are closely associated with higher sales and vice-versa.
d. 98% of the variation in sales is explained by variations in sales training scores.
e. None of the above.
The correct option is c. The correlation coefficient (R) value of +.98 indicates a strong and positive correlation between sales and sales training scores. This means that higher sales training scores are closely associated with higher sales, and vice-versa. However, it is important to note that correlation does not imply causation.
The correlation analysis only tells us about the strength and direction of the relationship between the two variables, and does not necessarily mean that sales training is the sole cause of higher sales. Option a is incorrect as the correlation coefficient does not indicate the percentage of salespeople with higher sales. Option b is incorrect as the correlation coefficient is not weak and insignificant. Option d is incorrect as it implies that sales training scores are the only factor influencing sales, which may not be the case.
In a correlation analysis, R represents the correlation coefficient, which measures the strength and direction of a linear relationship between two variables. An R value of +.98 indicates a strong positive relationship, meaning that as one variable (sales training scores) increases, the other variable (sales) tends to increase as well. This result suggests that salespeople with higher sales training scores are likely to have higher sales, and those with lower scores tend to have lower sales.
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What is a tagline?
(Principles Of Business Management)
Answer:
Explanation:
A tagline is a short phrase used in marketing campaigns of a business to sum up the value of a brand or its products and create a positive brand impression.
QUESTION 4 of 10: One survey has 3 respondents, and another 100. Which survey is more likely to accurate data? a) The one with the larger sample size b) The one the smaller sample size
I need help
Answer:
The one with the larger sample size
Explanation:
Larger sample sizes provide more accurate mean values, identify outliers that could skew the data in a smaller sample and provide a smaller margin of error.
The survey is more likely to have accurate data is the one with larger sample size. Thus the correct option is A.
What is Survey?The survey is referred to as a technique of data collection with the objective to perform research by asking questions. In surveys, a group of participants is involved in which questions related to the research are asked.
The accuracy of the average values will increase with the size of the sample. In addition to providing smaller margins of error, larger sample sizes aid researchers in discovering patterns in data.
The smaller sample size cannot be considered accurate due to its value. The smaller sample size is cost-effective and time-saving but cause more error in data collection.
Therefore, option A one with the larger sample size is appropriate.
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There are two reading assignments here. I encourage you to read Has Business Left Milton Friedman Behind and then skim/read the Friedman doctrine. Do a little more background research/reading if you find neccessary. Once base knowledge is established create a thesis based on these two articles. I want a short, one page (three at most) statement regarding your view of Milton Friedman and his beliefs that have dominated corporate philosophy/governance for the last 40 years.
What are B2C and B2B sales?
B2C and B2B sales refers to business-to-consumer and business-to-business sales respectively.
What is business-to-consumer sales?Business-to-consumer (B2C) companies having consumers as their end-users increasingly came to be known by this phrase when it gained popularity in the 1990s.
This contrasts with business-to-business (B2B) firms, or those whose main customers are other businesses. B2C businesses conduct their business online and offer goods to clients. Several B2C corporations include Amazon.
B2C, or business-to-consumer, is a retail model where things are delivered directly to the customer who has made a personal purchase of the goods or service.
Business-to-business sales are referred to as B2B sales. It describes enterprises or salespeople who engage in direct business-to-business (B2B) sales of goods and services.
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Purchasing Insurance is Best considered an example of Risk:
a. Mitigation
b. Transfer
c. Acceptance
d. Avoidance
Purchasing insurance is best considered an example of risk transfer. In risk transfer, an individual or organization shifts the potential financial burden of a specific risk to another party, typically an insurance company. The correct answer is option B
In this case, the insurance company assumes the responsibility for the financial consequences of the covered events, effectively transferring the risk from you to the insurer. This allows you to reduce your potential financial losses in the event of an unforeseen incident.
This involves taking actions to lessen the severity or impact of a risk, such as installing fire alarms to reduce the damage caused by a fire. Purchasing insurance does not fall under this category, as it does not directly reduce the severity of a risk.
As mentioned earlier, purchasing insurance is an example of risk transfer, as it shifts the financial burden of a specific risk from you to the insurer. Purchasing insurance is an effective way to transfer the financial consequences of specific risks from yourself to an insurance company, providing a safety net in the event of unforeseen incidents. The correct answer is option B
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An automobile salesperson uses ________ when it accesses a mobile system to obtain the latest information on consumer demand for electric vehicles.
An automobile salesperson uses social media when it accesses a mobile system to obtain the latest information on consumer demand for electric vehicles.
What is social media?Some firms use social media to raise brand awareness, while others utilize it to increase website traffic and sales. Social media may help you build a community, increase brand engagement, and give your customers a way to contact you for customer service.
Social media may help you build relationships with your customers, drive more traffic to your website, strengthen the bond between your brand and your customers, and establish your credibility.
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which is a true statement about how profit can be an incentive for entrepreneurs?
The true statement regarding the profit of an entrepreneur is : Makes the gap between the rich and poor more noticeable.
Profit is the gain realized from the sale of commodities. It is the difference between total revenue and total cost.
Elements of profits include the following :
SalesMarginExpensesTherefore, it should be noted that profit can be an incentive for entrepreneurs as it makes the gap between the rich and poor more noticeable.
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a stock has a beta of 1.20, the expected return on the market is 10 percent, and the risk-free rate is 4.1 percent. what must the expected return on this stock be? (do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)
If a stock has a beta of 1.20, the expected return on the market is 10 percent, and the risk-free rate is 4.1 percent. The expected return on this stock is :11.18%.
How to find the expected return?Using this formula to find the expected return
Capital Asset Pricing Model = Expected Return = Risk free rate + Beta [Return on market]
Rs = Rf + B(Rm - Rf)
Let plug in the formula
Rs = 4.1% + 1.20 x (10% - 4.1%)
Rs = 4.1% + 7.08%
Rs = 11.18%
Therefore the expected return is 11.18%.
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Because you greatly dislike a commute that is longer than ten minutes you must find a job that is close to where you live. What is a short commute an example of?.
Short commute is an example of a need. Anything a person needs or wants is a need. Here, a quick commute is a must, and finding a job close by is the objective.
What is Short commute?Short commutes, especially those that may be completed on foot or by bicycle, motivate workers to move more. They won't arrive at work feeling lethargic following a lengthy journey, but rather energised from the rush of endorphins they produced while exercising on the way.This will encourage overall better health and stop the development of conditions like high blood pressure or back discomfort. Additionally, a shorter commute gives you just enough time to forget about your job issues and get energized for the remainder of the day. The majority of people prefer that their commute not be excessively long or short.Learn more about commute here:
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Jordan’s illness resulted in $8,000 in bills. His insurance has an annual deductible of $5,500 and pays 80% of the coinsurance. How much will he be responsible for paying?
Jordan will be responsible for paying $2,100 ($8,000 - $5,500 deductible \(= $2,500 \times \ 0.20\) coinsurance = $500 + $1,600 = $2,100).
Jordan’s insurance policy requires him to pay a $5,500 deductible before the insurance coverage kicks in. After meeting the deductible, his coinsurance kicks in, and he is responsible for 20% of the remaining medical bills. In this case, Jordan's medical bills are $8,000, which is more than his annual deductible of $5,500. Therefore, he has to pay the full $5,500 deductible first. After that, he is responsible for 20% of the remaining $2,500, which comes out to $500. The insurance covers the remaining 80% of the $2,500, which is $2,000. Therefore, Jordan is responsible for paying $5,500 + $500 = $2,100 out of his pocket.
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If productivity increases significantly and demand is not very elastic, what is likely to happen?
A
B. Fewer workers will be needed.
C. Division of labor will decrease.
D. Demand will increase.
The number of consumers will increase.
Please select the best answer from the choices provided
A
OB
D
Answer:
B. Fewer workers will be needed.
Explanation:
Elastic demand refers to a flexible demand. It is a demand that can increases or decreases due to several factors. If demand is not elastic, it implies it is constant. An increase or decrease in output or price will not affect the quantity demanded.
An increase in productivity means an increase in output per worker. It is the increase in the number of units produced, per hour, per worker. An increase in productivity results in more output in a given period than previously.
If the demand is constant and there is an increase in productivity, only a few workers will be required. The output from the few workers will be high to meet the constant demand.
Answer:
B
Explanation:
Current Attempt in Progress Indigo Corporation's March 31 inventory was destroyed by fire. January 1 inventory was $261,000, and purchases for January through March totaled $904,800. Sales revenue for the same period was $1,044,000. Indigo's normal gross profit percentage is 25% on sales. Using the gross profit method, estimate Indigo's March 31 inventory that was destroyed by fire. Estimated ending inventory destroyed in fire $________
To estimate the March 31 inventory that was destroyed by fire using the gross profit method, we need to calculate the cost of goods sold (COGS) for the period from January 1 to March 31, and then subtract it from the total sales revenue for the same period to find the gross profit. We can then use the gross profit percentage to calculate the estimated cost of the destroyed inventory.
Here's the calculation:
COGS = Beginning inventory + Purchases - Ending inventory
Ending inventory = Beginning inventory + Purchases - COGS
Beginning inventory (January 1) = $261,000
Purchases (January to March) = $904,800
Sales revenue (January to March) = $1,044,000
Normal gross profit percentage = 25%
COGS = $261,000 + $904,800 - Ending inventory
COGS = $1,165,800 - Ending inventory
Gross profit = Sales revenue - COGS
Gross profit = $1,044,000 - ($1,165,800 - Ending inventory)
Gross profit = $1,044,000 - $1,165,800 + Ending inventory
Gross profit = $-121,800 + Ending inventory
Gross profit percentage = Gross profit / Sales revenue
25% = ($-121,800 + Ending inventory) / $1,044,000
$-121,800 + Ending inventory = $261,000
Ending inventory = $261,000 + $121,800
Ending inventory = $382,800
Therefore," the estimated ending inventory destroyed in the fire is $382,800."
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The following are affected by the business structure you choose when you start your
business.
O a.
day-to-day operations, personal liability, and business name.
O b.
day-to-day operations, business location, and taxes.
О с.
profitability, personal liability, and taxes
O d.
day-to-day operations, personal liability, and taxes.
1
When you start business, the business structure you choose can affect your day-to-day operations, personal liability, and taxes.
What is a liability?Liability refers to the legal responsibility for one's actions or debts. It is an obligation to pay or perform something to another party. Liability can arise from various sources, such as contractual agreements, statutory laws, or common law. For instance, when a person borrows money from a bank, they have a liability to repay the loan amount to the bank within a certain period, according to the terms and conditions of the loan agreement. Liability can also arise from a person's actions or omissions that result in harm or damage to others. In such cases, the person may be held liable for the damages caused and may have to compensate the affected parties for their losses.
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Newly produced goods and services that households buy are considered with one very important exception:
In the context of the circular flow of the economy, where money moves from households to businesses in exchange for products and services, newly generated goods and services that households purchase are taken into account.
Newly created items and services that consumers purchase are typically essential to the flow of economic activity, boosting output and generating wealth.
One notable exception, though, is when used or secondhand goods are bought. Unlike new purchases, used purchases involve redistributing existing products without contributing to their creation, therefore they do not directly help current production and income development.
Thus, although transactions for used items involve financial exchanges, they are not part of the present economic production cycle, indicating a unique component within the larger context of consumption.
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This is calculated by dividing the net profits by net sales.
sales margin
profit margin
sales revenue
net revenue
Answer:
Profit margin
Explanation:
Profit margin = Net profits / Net sales
Company can earn insight into a company's earnings by looking at its sales strategy, pricing structure, and productivity improvements using net profit margin.
What would cause the future value of a fixed present amount to decrease?
A. An increase in the present amount
B. A decrease in time
C. An increase in time
D. An increase in the interest rate
The factor that would cause the future value of a fixed present amount to decrease is: A decrease in time. The correct option is B.
When calculating the future value (FV) of a present amount (PV), we use the formula FV = PV * (1 + r)^n, where r is the interest rate and n is the time period. Decreasing the time period (n) would lead to a smaller exponent, resulting in a lower future value.
In contrast, increasing the present amount (A), increasing the time (C), or increasing the interest rate (D) would all lead to a higher future value, as these factors are positively correlated with the future value of an investment.
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Complete question
What would cause the future value of a fixed present amount to decrease?
A. An increase in the present amount
B. A decrease in time
C. An increase in time
D. An increase in the interest rate
Careers in the Hospitality and Tourism career cluster are
O highly desirable and pay high wages.
O bountiful and expected to continue to grow.
O seldom desirable and pay low wages.
O limited and expected to continue to decline.
Answer:
B
Explanation:
Edge
Careers in the Hospitality and Tourism career cluster are bountiful and expected to continue to grow. Thus option B is correct.
What are Careers?Career sectors are means of classifying various career kinds based on shared characteristics. People can use these criteria to help them focus their job options and select a suitable path.
A collection of occupations that emphasize giving people food, lodging, aid to travelers, and enjoyable activities. The abundance of jobs in the travel and hospitality career cluster is anticipated to persist.
The planning, management, and provision of lodging, dining, entertainment, conferences, and tourism, as well as related arranging and community programs including transport services, are all part of a the hospitality and tourism employment cluster. Therefore, option B is the correct option.
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