In the following question, in the missing blank, The contribution margin statement is primarily used for "analyzing the profitability of individual items, departments, or product lines."
It helps in determining the breakeven point and the impact of changes in sales, costs, and profit margins. The statement shows the relationship between fixed costs, variable costs, and the contribution margin, which is the difference between sales revenue and variable costs.
Here is a step-by-step explanation of how to create a contribution margin statement:
1. Calculate the sales revenue: This is the total amount of money generated from the sales of goods or services.
2. Determine variable costs: These are the costs that vary directly with the level of production or sales, such as raw materials, labor, and sales commissions.
3. Calculate the contribution margin: Subtract the variable costs from the sales revenue. The resulting figure represents the amount of money that is available to cover fixed costs and generate profit.
4. Identify fixed costs: These are the costs that do not change with the level of production or sales, such as rent, salaries, and insurance.
5. Calculate the operating income: Subtract the fixed costs from the contribution margin to determine the operating income, which is the profit generated from the core operations of the business.
In conclusion, the contribution margin statement is primarily used for analyzing the profitability of individual items, departments, or product lines and understanding the breakeven point and the impact of changes in sales, costs, and profit margins.
For more such questions on profitability
https://brainly.com/question/29982132
#SPJ11
Calculate the market share (%) of a business who sells 20,000 products and the total market for that product is 50,000
The market share of a company that sells 20,000 products in a market that has 50,000 products is 40%.
Market share is calculated as:
= Products sold by company / Total products in market x 100%
Solving gives:
= 20,000 / 50,000 x 100%
= 0.4 x 100%
= 40%
In conclusion, the company has a market share of 40%.
Find out more at https://brainly.com/question/10893350.
Shareholders preference for dividend versus capital gains can potentially influence a firm's payout policy. i. Explain what is meant by the term dividend policy and discuss the two main issues that can affect such policy. ii. Discuss the key reasons why some investors prefer dividend. iii. Discuss the key reasons why some investors prefer capital gains
i. Dividend policy refers to the decisions made by a company regarding the amount and timing of dividend payments to its shareholders.
It is a crucial aspect of a firm's payout policy and involves determining whether profits should be distributed to shareholders in the form of dividends or retained within the company for reinvestment. Two main issues that can affect dividend policy are:
1. Stability: Companies need to decide whether to maintain a stable dividend policy, where dividend payments remain relatively constant over time, or adopt a variable policy, adjusting dividends based on earnings and cash flow fluctuations.
ii. Some investors prefer dividends for the following key reasons:
1. Income: Dividends provide a regular income stream for investors, especially those who rely on investment income to cover their living expenses.
iii. Some investors prefer capital gains for the following key reasons:
1. Growth potential: Investors seeking capital gains prioritize the potential for the stock price to increase over time. They believe that by investing in companies with growth prospects, they can achieve higher returns through price appreciation when they eventually sell their shares.
Learn more about Income here:
https://brainly.com/question/14732695
#SPJ11
A currency fixture is
Answer:
The currency fixture is referring to the foreign exchange rates, that are set in London every day at 4 PM.
Explanation:
These are known as benchmark rates and are determined related to the real transactions, that traders were conducting on the market in 60 seconds.
The rates for 21 currencies are determined on the medium level of all the trades that go through in this one minute.
A company's balance sheet shows: cash $40,000, accounts receivable $25,000, office equipment $59,000, and accounts payable $26,000. What is the amount of stockholders' equity
Answer:
the amount of stockholders' equity is $98,000
Explanation:
It is important to remember that the Balance Sheet uses the Accounting equation :
Accounting Equation states that :
Assets = Equity + Liabilities
This can be also stated as :
Equity = Assets - Liabilities
Where,
Assets = $40,000 + $25,000 + $59,000 = $124,000
Liabilities = $26,000
Therefore,
Equity = $124,000 - $26,000
= $98,000
Conclusion :
Using the Accounting Equation we have solved the amount of stockholders' equity as $98,000
Twelve years ago, an investor bought a certain number of shares of stock for which he paid p 100 per share. at the end of each year, for the next 6 years, he received dividends of p 20 per share. thereafter he received p 10 per share at the end of each year for the next 6 years. if he sells this stock now at p 90 per share, what rate of return will he receive?
The investor will sit at a rate of return of around 170% overall in the given condition.
Who is an investor?A person who engages money into one or more classes of investment with an intention to earn monetary returns is known as an investor. In the given condition, the returns of the investor will be calculated as:
\(\rm Returns= Dividend\ for\ 12\ Years- Capital\ Loss\\\\\rm Returns= (120+60)-(10)\\\\\rm Returns= 170\)
Thus, the value of total portfolio of the investor will be p 270 and the rate of return will be calculated as 170%.
Learn more about investor here:
https://brainly.com/question/14283683
#SPJ1
peyton just started a new job at a new company. the first day there, she observes whether people eat lunch at their desks, if they take timed breaks, and if they leave right at 5 pm. she is trying to understand
Peyton just started a new job at a new company. the first day there, she observes whether people eat lunch at their desks, if they take timed breaks, and if they leave right at 5 pm. she is trying to understand the organizational culture
What is organizational culture?
Generally, It is common practice to define organizational culture as the sum total of a company's beliefs, values, and attitudes, as well as the manner in which these factors impact the behavior of the company's personnel.
People's interactions with an organization, such as what it's like for a consumer to purchase from a business or a vendor to do business with it, are influenced by the culture of that organization.
A set of an organization's core beliefs and ways of behaving is referred to as its organizational culture. It incorporates past occurrences, modes of thought, established beliefs, and anticipated outcomes. In addition to this, it is characterized by ingrained routines and emotional reactions. Additionally, we refer to it as the "Corporate Culture."
Read more about organizational culture
https://brainly.com/question/28503044
#SPJ1
the most important variable in determining a country's degree of overall country risk: question 8 options: is the probability of a host government takeover. is political risk. is financial risk. may often vary with the country of concern.
The answer is political risk. political risk is the key factor in evaluating a country's level of total country risk.
Political risk is the possibility that a country's political unrest or changes could have a negative impact on an investment's results. A change in the executive, judicial, legislative, or military branches of government could cause instability that would have an impact on investment returns. The uncertainty connected to investing in a particular nation is referred to as "country risk," and more particularly, the likelihood that this uncertainty may result in losses for investors.
Many factors, such as political, economic, exchange-rate, or technical effects, can contribute to this unpredictability.
Read more about political risk at
https://brainly.com/question/17254048
#SPJ4
If i paid $625 interest on $5000 that i borrowed at 5%, how many years did i borrow it?
To calculate the number of years you borrowed the $5000, you can use the following formula:
Years = Interest ÷ (Loan Amount x Interest Rate)
Where:
Interest = $625
Loan Amount = $5000
Interest Rate = 5% (converted to decimal form: 0.05)
Plugging in the values, we get:
Years = $625 ÷ ($5000 x 0.05) = $625 ÷ $250 = 2.5 years. So you borrowed the $5000 for 2.5 years.
In other words, the interest of $625 results from borrowed $5000 for 2.5 years at a 5% interest rate. The interest is calculated as a percentage of the loan amount and represents the cost of borrowing the money. By dividing the interest by the loan amount and the interest rate, we can determine the years over which the interest was charged.
To learn more about interest rate, visit here
https://brainly.com/question/13324776
#SPJ4
What economic strategy did Franklin Roosevelt use?
Economic strategy did Franklin Roosevelt use to the role of the federal government in the nation's economy.
Economic strategy refers to the strategy in which new and rapidly developing area of economic consulting, which include the application of economic principles and methods to provide clients with unique insights to aim at addressing specific problems or enhancing their long term performance .
Roosevelt believed the national government to start including the federal money. The first major help to large numbers of jobless Americans was the Federal Emergency Relief Act.
To know more about Economic strategy here,
https://brainly.com/question/21792588
#SPJ4
which of the following is true concerning wraparound loans? multiple choice the borrower makes payments on an existing loan. the borrower only makes payments on the second mortgage. the lender only makes payments on the second mortgage. the lender makes payments on an existing loan.
The statement that is true concerning wraparound loans is the lender makes payments on an existing loan, option (D) is correct.
A wraparound loan, also known as an "all-inclusive trust deed," is a type of loan where the lender assumes the responsibility of paying an existing mortgage or loan while also providing a second mortgage to the borrower. In other words, the wraparound loan "wraps around" the existing loan.
The borrower makes payments on the wraparound loan, which includes the balance of the existing loan and the additional amount of the second mortgage. The lender, in turn, makes payments on the existing loan from the payments received from the borrower, option (D) is correct.
To learn more about loan follow the link:
https://brainly.com/question/11794123
#SPJ4
Which of the following is true concerning wraparound loans? multiple choice
A) the borrower makes payments on an existing loan.
B) the borrower only makes payments on the second mortgage.
C) the lender only makes payments on the second mortgage.
D) the lender makes payments on an existing loan.
E) none of the above
Maximum profit can occur when marginal profit is zero. True O False
The statement "Maximum profit can occur when marginal profit is zero" is not entirely true. The correct answer is False.
What is Marginal profit?Marginal profit refers to the additional profit a company generates by producing one more unit of a product or providing one more service. Marginal profit is zero when the total cost of producing an additional unit of a product equals the total revenue earned from selling that unit of the product. The additional benefit that a company would get from producing one more unit would be equal to the additional cost of producing one more unit. Hence, the profit would not increase or decrease.
At that stage, the company is operating at the highest point of its production efficiency and producing beyond this point would result in decreasing profits. Therefore, at this point, the firm has reached its optimal capacity.
The maximum profit is obtained when the marginal cost is equal to marginal revenue. Therefore, the statement "Maximum profit can occur when marginal profit is zero" is not entirely true.
To know more about marginal profit, refer to the link below:
https://brainly.com/question/30236297#
#SPJ11
What can a boosted post help an advertiser achieve?
A boosted post helps an adviser to connect with the audience and gain trust.
Boosted post is a kind of post that is used on social media platforms in order to enhance the page of the platform and to attract audience to the page. Boosted post can help better communication with the audience along with the increase in a greater number of messages, calls and texts. Boosted posts help for better advertisements of the product. For example, A Chocolate brand may use Boosted posts to gain audience as well as consumers. Boosted posts helps an adviser to be discovered among people, to establish a benchmark in the market and to gain more and more customers. It's a kind of marketing strategy used for publicity purpose.
Learn more about Communication at:
brainly.com/question/25645043
#SPJ4
The economy of the United States is BEST described as
A. noncompetitive
B. socialistic
C. government-owned
D. market-based
E. not-for-profit
Answer:
i believe the answer is b
Explanation:
because the us economy is best described as mixed ( capitalism & socialism) so i think its b
You are the manager of a project that has an operating leverage rating of 2.8 and a required return of 14 percent. Due to the current state of the economy, he expects sales to decrease by 7 percent next year. What change should you expect in operating cash flows next year given your sales forecast?
Answer:
The change should you expect in operating cash flows next year would be 19.60%
Explanation:
In order to calculate the change should you expect in operating cash flows next year given your sales forecast we would have to make the following calculation:
change should you expect in operating cash flows=operating leverage rating*percentage of decrease sales next year
change should you expect in operating cash flows=2.8*0.07
change should you expect in operating cash flows=19.60%
The change should you expect in operating cash flows next year would be 19.60%
Fixed patterns of action that occur in response to particular stimulation are called?
Fixed patterns of action that occur in response to particular stimulation are called Reflexes innate.
Innate behaviour is behaviour that is genetically hardwired in an organism and can be executed without prior experience in response to a trigger. Doctors' knee response and human newborns' sucking reflex are both examples of very simple natural behaviours.
Innate kinesis, or undirected change in movement, and taxis, or directed change in movement, are both performed by some creatures. A fixed action pattern is a series of activities that are initiated by a critical stimuli. Even if the stimulus is withdrawn, the pattern will complete. Scientists can determine whether a behaviour is innate by presenting a stimulus to naive (untrained) animals and observing whether the behaviour is spontaneously triggered.
Learn more about action, here:
https://brainly.com/question/30781698
#SPJ4
What are other ways that a company can utilize a multigenerational team to their advantage
A multigenerational team can be used in the following ways by a company in multiple ways. Such teams provides an organisation with more tech savy workforce that has multiple perspectives and eager to learn.
Multiple perspectives - Different generations may have different perspectives on job responsibilities. Sharing perspectives within and across teams brings a diverse set of knowledge and skills to bear on innovation.Problem-solving abilities - Problems are solved creatively by combining multiple perspectives and diverse skills. Life experience shapes how we relate to and interact with others in the face of adversity and conflict. As a result, age-diverse teams can offer a variety of solutions to problems.Learning/mentoring opportunities - The more diverse a team, the more opportunities for people to interact and learn from each other's perspectives. This includes opportunities for mutually beneficial mentoring. Those with more experience can counsel younger employees on career advancement. Furthermore, the recent trend of reverse/cross-generational mentoring allows more junior employees to educate more senior employees on current trends and technology.Knowledge transfer and retention - Each generation's awareness and strengths better prepare the business to meet its future leadership needs. Tacit knowledge is retained within the organisation through a strong internal talent pipeline. Focus is more on in-house promotion and less on recruiting from the outside.Relationships that are one-of-a-kind - Meaningful relationships with coworkers can help employees meet their emotional needs and increase job satisfaction. The organisation's age groups mirror a family structure, providing opportunities for personal connections with those outside of one's own generation.To know more about multigenerational here-
brainly.com/question/13457717
#SPJ4
Logo and website design are
examples of start-up costs.
True: Logo and website design are examples of start-up costs. Operating costs include payroll. Building improvements should be calculated into start-up costs.
what are the roles of financial manager ?
Answer:
hope it helps
Explanation:
A Financial Manager, or Finance Manager, builds financial strategies and reports to help companies improve their financial health and meet their long-term goals. Their main duties include preparing an organizations’ activity reports, creating financial forecasts and brainstorming ways to maintain or reduce company costs
Which method of bond amortization amortizes the premiums/discounts accurately and is considered a conceptually superior method
Answer:effective-interest
Explanation:
Which of the following would be more typically the responsibility of a controller rather than a treasurer?A) Overseeing accounting and tax functionsB) Capital budgetingC) Managing creditD) Making investment decisions
overseeing accounting and tax functions would be more typically the responsibility of a controller rather than a treasurer.
Who is considered as treasurer?An organization's treasurer is in charge of managing its finances. Cash and liquidity management, risk management, and corporate finance are among a corporate treasurer's important primary responsibilities. The major responsibilities of a treasurer include supervising the organization's financial management, reviewing policies and financial reporting, advising the board on financial strategy, and providing fundraising advice. A treasurer, often known as a financial controller, is responsible for supervising all financial activities and fundraising attempts made by an organizing committee. Their main responsibilities include managing incoming and outgoing funds, maintaining records, and establishing the budget.A controller, not a treasurer, would normally be in charge of supervising accounting and tax functions.To learn more about treasurer refer to:
https://brainly.com/question/24180593
#SPJ4
which federal agency is responsible for testing and approving medical devices?
The federal agency responsible for testing and approving medical devices is the U.S. Food and Drug Administration (FDA). The FDA regulates a wide range of medical products, including drugs, biologics, medical devices, and food.
Medical devices are regulated by the Center for Devices and Radiological Health (CDRH) within the FDA. The CDRH is responsible for ensuring that medical devices are safe and effective for their intended use, and that they comply with applicable federal regulations. The FDA's review process for medical devices involves evaluating the device's safety and effectiveness data, as well as its labeling and manufacturing information. Medical devices are classified into different categories based on the level of risk they pose to patients, and the level of scrutiny they receive from the FDA varies accordingly.
In general, medical devices that are considered higher-risk or innovative may require more extensive testing and review before they can be approved for use. Overall, the FDA plays a critical role in protecting public health by ensuring the safety and effectiveness of medical devices.
Learn more about Medical devices here:
https://brainly.com/question/17032308
#SPJ11
Which feature includes an option that searches for resources with enough time available?
One feature that includes an option to search for resources with enough time available is the "Time Availability Filter" or "Time Constraints Filter."
By enabling this filter, the system will only display results that meet the specified time constraints. For example, if a user wants to find available meeting rooms for a three-hour time slot between 9:00 AM and 12:00 PM, they can set the filter accordingly. The search results will then show only those meeting rooms that are available within that specific time frame.
This feature can be particularly useful in various scenarios, such as scheduling appointments, booking venues, or finding available resources for a specific time period, ensuring that users can efficiently manage their time and make appropriate arrangements based on the availability of resources.
Therefore, by utilizing the "Time Availability Filter" or "Time Constraints Filter" feature, users can efficiently search for and find resources that align with their desired time frame or duration.
Learn more about Time Availability Filter from the given link.
https://brainly.com/question/32018085
#SPJ11
samantha and geri both work as receptionists at a medical office. samantha works from 8:00 a.m. to 12:30 p.m., so she can be home when her daughter gets home from school. geri works from 12:30 p.m. to 5:00 p.m., so she can attend graduate school classes in the morning. how does this arrangement benefit the company?
When two persons serve as receptionists during two distinct shifts, the organization benefits from the abilities of two people for one position.
Flexibility in scheduling is advantageous to both employees and employers, who are wise enough to understand this. The advantages of flexible work for businesses can help your firm stay ahead of the competition by giving it a competitive edge in recruitment, being a green company, and increasing diversity.
Allowing flexible work schedules for its employees has some advantages for the business:
You can retain valuable personnel by allowing your current team to work flexible hours.Companies gain from flexible work. It makes sense that providing flexible schedules can assist you in attracting more top talent, just as it does for your employees.To learn more about flexible work, click the following link:
brainly.com/question/14279733
#SPJ4
Which trait do MOST employers look for when hiring new employees?
Group of answer choices
punctuality
an outgoing personality
financial independence
a fashionable wardrobe
Answer: Punctuality
Explanation:
Which of the following statement on relative valuation is false? Select one: O A. EBITDA should be adjusted for extraordinary write-offs when using the EBITDA multiples valuation model. O B.To reflect differences in risk characteristics and growth opportunies, EBITDA multiples should be adjusted for differences in profit margins. O C. The critical assumption underlying the relative valuation approach is that the comparable assets are truely comparable to the investment be evaluated. O D. The P/E multiples does not make economic sense when EPS is negative O E. None of the above.
The false statement on relative valuation is: B. To reflect differences in risk characteristics and growth opportunities, EBITDA multiples should be adjusted for differences in profit margins.
Instead of adjusting for differences in profit margins, EBITDA multiples should be adjusted for differences in risk and growth characteristics directly, rather than through profit margins.
To know more about relative valuation
please click:-
brainly.com/question/31873089
#SPJ11
Francine currently has $45,000 in her 401k account at work, and plans to contribute $7,000 each year for the next 20 years.
How much will she have in the account in 20 years, if the account averages a 6% annual return?
Francine will have approximately $311,572.89 in her 401k account after 20 years if the account averages a 6% annual return and she contributes $7,000 each year. We can use the future value (FV) formula for an ordinary annuity.
To calculate the amount Francine will have in her 401k account after 20 years, we can use the future value (FV) formula for an ordinary annuity.
Given information:
Initial Amount (Present Value) = $45,000
Annual Contribution = $7,000
Number of Years = 20
Annual Interest Rate = 6%
Step 1: Calculate the Future Value (FV) of the contributions.
Using the formula for the future value of an ordinary annuity:
FV = Annual Contribution * ((1 + Interest Rate)^Number of Years - 1) / Interest Rate
FV = $7,000 * ((1 + 0.06)^20 - 1) / 0.06 ≈ $266,572.89
Step 2: Add the initial amount to the future value of the contributions.
Total Amount = Initial Amount + FV
Total Amount = $45,000 + $266,572.89 ≈ $311,572.89
Therefore, Francine will have approximately $311,572.89 in her 401k account after 20 years if the account averages a 6% annual return and she contributes $7,000 each year.
To learn more about future value click here
https://brainly.com/question/30873917
#SPJ11
A. Explain the problem of scarcity facing countries due to the pandemic?
Answer with Explanation:
The pandemic has spread across the globe in a span of few months only and this outbreak has consequently led to global problems. One of which is the "problem of scarcity-facing countries." An example of scarcity which countries are facing is "food scarcity." Due to sudden unemployment, people have no chance of earning money. Money is essential in buying foods. If people don't earn money for a living, they'll surely starve without the welfare or financial aid given by the government. This will result to the country's economic activities plunging. In order to survive, some people will resort to robbery or similar crimes. In fact, cybercrimes has been increasing because many people are online these days. Another scarcity being faced by countries is the scarcity in healthcare professionals. With the rapidly increasing rate of infected people, the healthcare professionals have a hard time keeping up to accommodate all of them.
what is one of the effects that the internet has had on bussiness?
Which options are available when using a combo box rather than a list box? Check all that apply.
O A user can type in the values.
A user can search for a record.
The combo box can sort through records.
O A user can get values from another query
The combo box includes drop-down menus.
A user can retrieve values from another table.
ch
Intro
Answer:
The combo box includes a drop-down menu
Explanation:
A combo box contains a text box field, so choices not on the list can be typed in. The exception is when the DropDownStyle property is set to DropDownList. In that case, the control will select an item if you type its first letter. In addition, combo boxes save space on a form
Answer:
A user can type in the values.
A user can search for a record.
A user can get values from another query.
A user can retrieve values from another table.
Explanation:
did it on edg 2021 :)
Pandora Corporation operates several factories in the Midwest that manufacture consumer electronics. The December 31, 2021, year-end trial balance contained the following income statement items:
Account Title Debits Credits
Sales revenue $ 12,500,000
Interest revenue 50,000
Loss on sale of investments $100,000 Cost of goods sold 6,200,000 Selling expenses 620,000 General and administrative expenses 1,520,000 Interest expense 40,000 Research and development expense 1,200,000 Income tax expense 900,000
Based on the provided information regarding Pandora Corporation's income statement items, the company’s operating income for the year is $3,010,000.
To calculate Pandora Corporation's operating income for the year ending December 31, 2021, follow these steps:
1. Calculate total revenue:
Sales revenue + Interest revenue
Total revenue = $12,500,000 + $50,000 = $12,550,000
2. Calculate total expenses:
Cost of goods sold + Selling expenses + General and administrative expenses + Research and development expense
Total expenses = $6,200,000 + $620,000 + $1,520,000 + $1,200,000 = $9,540,000
3. Calculate operating income: Total revenue - Total expenses
Operating income = $12,550,000 - $9,540,000 = $3,010,000
Pandora Corporation's operating income for the year ending December 31, 2021, is $3,010,000.
Note: The question is incomplete. The complete question probably is: Pandora Corporation operates several factories in the Midwest that manufacture consumer electronics. The December 31, 2021, year-end trial balance contained the following income statement items:
Account Title Debits Credits
Sales revenue $ 12,500,000
Interest revenue 50,000
Loss on sale of investments $100,000
Cost of goods sold 6,200,000
Selling expenses 620,000
General and administrative expenses 1,520,000
Interest expense 40,000
Research and development expense 1,200,000
Income tax expense 900,000
Calculate the company’s operating income for the year.
Learn more about Operating income:
https://brainly.com/question/30257786
#SPJ11