the point at which an economy transitions from an expansion to a recession is called a . peak peak expansion expansion recovery recovery trough

Answers

Answer 1

The point at which an economy transitions from an expansion to a recession is called a peak.

What is recession?

Recession  can be defined as the period in which a country or nation experience decline in their economy and this tend to occur when a country gross domestic product fall.

When the economy of a nation move from expansion period to recession period it is called peak point.

Therefore the point at which an economy transitions from an expansion to a recession is called a peak.

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Related Questions

similarities between local market and national market​

Answers

Depending on your business, you may need to consider national marketing strategies, local marketing campaigns or a combination of the two. As their names suggest, national marketing involves promoting your business across the country while local marketing is focused on a small and specific geographic area.

Adapting the Four P’s of Marketing for a Local or National

Product: According to MindTools, the product or service needs to satisfy customers’ specific needs. If you have a bakery, for example, you can focus your products to meet a specific customer requirement, like gluten-free products. On a local level, your messaging can include your local ingredients and the local experts who craft the baked goods. On a national level, you may want to talk about the success of the franchise in creating consistently delicious products from family recipes.
Place: The place is where you sell the products. On a local level, this may include your brick-and-mortar store and an e-commerce website. On a national level, this can include your e-commerce website or franchise locations.
Price: How much your customers are willing to pay for your products may differ based on geography. For example, customers in a big city may be willing to pay more for products compared to those living in a suburb or rural area.
Promotion: This is the method of sharing your messaging with your customers. It can include advertising, personal selling, sales promotion, direct marketing and public relations. Regardless of whether you’re taking a local or national approach, it’s vital to look at the competition to ensure your messaging stands out. Timing of the promotion is also key, as certain geographic locations may be more seasonally focused than others. For example, promoting bathing suits in January in New York may be more challenging than promoting them in July


journal entry for depreciation paid​

Answers

Answer:

Depreciation is a non-cash expense which means that it is not actually paid for. It is however considered an expense which reduces the value of fixed assets as the years go by.

Journal entry for depreciation is:

Date                   Account title                                             Debit           Credit

XX-XX-XXX       Depreciation Expense                            XXXX

                          Accumulated Depreciation                                        XXXXX

The Depreciation expense for the year is debited to the Depreciation expense account and deducted from income in the income statement.

The amount is then credited to an Accumulated depreciation account which shows total depreciation since the asset was acquired. This goes to the balance sheet and reduces the value of fixed assets.

​Sam's Pet Hotel operates

52

weeks per​ year,

5

days per​ week, and uses a continuous review inventory system. It purchases kitty litter for

​$11.25

per bag. The following information is available about these bags. Refer to the standard normal table

LOADING...

for​ z-values.

≻Demand

​=

85

​bags/week

≻Order

cost​ =

​$58​/order

≻Annual

holding cost​ =

30

percent of cost

≻Desired

​cycle-service

level=99

percent

≻Lead

time​ =

1

​week(s)

​(5

working​ days)

≻Standard

deviation of weekly demand​ =

20

bags

≻Current

​on-hand inventory is

315

​bags, with no open orders or backorders.

Part 2

a. What is the​ EOQ?

​Sam's optimal order quantity is

389389

bags. ​(Enter your response rounded to the nearest whole​ number.)

Part 3

What would be the average time between orders​ (in weeks)?

The average time between orders is

4.64.6

weeks. ​(Enter your response rounded to one decimal​ place.)

Part 4

b. What should R ​be?

The reorder point is

132132

bags. ​(Enter your response rounded to the nearest whole​ number.)

Part 5

c. An inventory withdrawal of 10 bags was just made. Is it time to​ reorder?

It

is not

time to reorder.

Part 6

d. The store currently uses a lot size of

505

bags​ (i.e.,

Q=505​).

What is the annual holding cost of this​ policy?

The annual holding cost is

​$852.19852.19.

​(Enter your response rounded to two decimal​ places.)

Part 7

What is the annual ordering​ cost?

The annual ordering cost is

​$enter your response here.

​(Enter your response rounded to two decimal​ places.

Answers

The annual ordering cost is $510.90.The annual holding cost of this policy is $952.19.As the inventory level is greater than or equal to 132, it is not the time to reorder.Thus, R should be 132 bags. the average time between orders is 4.6 weeks. Thus, Sam's optimal order quantity is 389 bags.

EOQ formula is used to calculate optimal order quantity to maintain enough inventory with the minimum cost.

The EOQ formula is given by;EOQ = √((2*annual demand*setup cost)/holding cost per unit)Annual demand = 85*52 = 4420 bagsHolding cost per unit = 30% of 11.25 = $3.375

Therefore,EOQ = √((2*85*52*58)/3.375) = 389 bags

Thus, Sam's optimal order quantity is 389 bags.

Part 3:

The average time between orders formula is used to calculate the time period between two orders.

The formula for the average time between orders is given by; Average time between orders = EOQ/annual demand in units.

Average demand in units = 85*52 = 4420 bags/year.

Therefore,Average time between orders = 389/4420 = 0.088 weeks

So, the average time between orders is 0.088*52 = 4.6 weeks.

Part 4:b.

Reorder point is a level of inventory at which the order for replenishment of inventory is initiated.

The formula for reorder point is given by; Reorder point = Safety stock + (Demand during lead time)Safety stock = Z*√(Lead time demand*holding cost per unit^2/mean demand during lead time^2)

Here, lead time is 1 weekZ-value for 99% service level = 2.33,Mean demand during lead time = 85 bags,Safety stock = 2.33*√(85*3.375^2/20^2) = 30 bags,Demand during lead time = 85 bags, Reorder point = 30+85 = 132 bags

Thus, R should be 132 bags.

Part 5

Inventory position = On-hand inventory + scheduled receipts – backordersInventory position = 315 + 0 - 0 = 315Inventory level = Inventory position - Safety stockInventory level = 315 - 30 = 285

As the inventory level is greater than or equal to 132, it is not the time to reorder.

Part 6:d. The store currently uses a lot size of 505 bags​ (i.e.,Q=505​).When Q=505 bags, the total number of orders placed per year is;Number of orders = Annual demand/Q = 4420/505 = 8.75 orders/year

Thus, the time between orders is;Time between orders = 52/8.75 = 5.94 weeks

The average inventory level is;Average inventory level = Q/2 + Safety stock = 505/2 + 30 = 282.5 bags

Annual holding cost = (Average inventory level * holding cost per unit) = 282.5 * 3.375 = $952.19

So, the annual holding cost of this policy is $952.19.

Part 7:Annual ordering cost formula is used to calculate the ordering cost in a year.

The formula for the annual ordering cost is given by;Annual ordering cost = (Annual demand/Q)*setup cost.

Thus,Annual ordering cost = (4420/505)*58 = $510.90.

So, the annual ordering cost is $510.90.

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Assignment 2

(20 points)

Assignment 2: Costs and Profit

Instructions

Answers

I'm sorry, I don't know what you mean. Please attach a photo/add the instructions!! Sorry

Answer:

can u please upload it

Explanation:

economics is the study of the people make to attain their goals, given their resources.
a. true
b. false

Answers

b. false Economics is the study of how individuals, households, firms, and societies allocate scarce resources to satisfy their unlimited wants and needs. It involves the analysis of production, distribution, and consumption of goods and services.

Economics focuses on understanding how individuals and societies make choices to allocate resources efficiently and effectively to achieve their goals. While goals and resource allocation are important components of economics, it is not limited to just that. Economics also encompasses the study of market behavior, price determination, economic systems, government policies, and the overall functioning of the economy. It is a broad field that examines various aspects of human behavior and decision-making in relation to the allocation of resources. It involves the analysis of production.

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the british economicst ______________ demonstrated in 1817 that even though one nation held an absolute advantage over another in the production of each of two different goods, international trade could still be a positive-sum game in which both countries benefit.

Answers

Answer:

David Ricardo

Explanation:

The local theater sells tickets to its plays at a rate of $38 each. Patrons who attend multiple shows are encouraged to buy an annual membership for $80. Members are able to buy tickets at a discounted rate of $20 each. Roger expects to attend 6 shows this year. Grace expects to attend 4 shows. Who would benefit from buying a membership this year?.

Answers

Answer:

Roger Benefits

Explanation:

Okay so lets think about it like this:

Total Cost/Revenue for Roger:

Without Membership: 38*6 = 228

With Membership: 80 + 20*6 = 200

Difference: +28

Total Cost/Revenue for Grace:

Without Membership: 38*4 = 152

With Membership: 80 + 20*4 = 160

Difference: -8

Answer: Roger Benefits

Answer:

the answer is only roger

Explanation:

i just did it on edge;)

TRUE/FALSE. an organization may pursue a stability strategy if an industry is experiencing slow or no growth opportunities.

Answers

When there are little or no chances for growth in a certain industry, one might nevertheless employ the stability strategy.

Why would any business choose a stability strategy?

A stability business strategy, as its name suggests, aims to preserve operations, market size, and position. This approach is typical of tiny, risk-averse businesses or businesses operating in very unstable markets that are content with their current standing.

Why would a business opt for a stability plan over a growth strategy?

An organization can prepare for rearrangement before it grows thanks to stability. When an organization wishes to retain the current level of business, stability strategy is used. It decides not to move aggressively towards new markets or the creation of new products.

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(ANSWERED) Which of the following techniques can be used to evaluate a job candidate's qualifications?
done

A.
Call and talk with the applicant's references.

B.
Evaluate applicant's private correspondence.
close

C.
Observe the applicant in his or her present job situation.

D.
Call and talk with applicants' friends and family.


ANSWER: A - Call and talk with the applicant's references.

Answers

Explanation:

.

Evaluate applicant's private correspondence.

close

describe the difference between a landing strip and a runaway

Answers

Answer:

a runway is where the plane takes off and a landing strip is where the plane lands

Explanation:

25 points giveaway questions:
#1:Where do you see yourself in 5 years?
#2: Favorite animal

Answers

1.University
2.none, ain’t got no fav animal
College
Dogs preferably puppies

The AutoSum icon is located in
which of the following groups on the
Home tab? *

Answers

Answer:

The AutoSum option can be found in two areas: It is contained in the Editing group of the ribbon, as shown in the first example above. It can also be found under the Formulas tab.

The table below shows the measurements M1 and M2 taken by the same analyst. Draw a scatter plot of the data.
M1 0.243 0.352 0.357 0.469 0.444 0.555 0.552
M2 0.245 0.348 0.361 0.470 0.439 0.560 0.548
a.
C.
0.75
0.75
0.625
0.625
.
0.5
0.3
.
0.375
0.375
2
0.23
0.25
0.125
0.125
0.125
0.25
0.375
0.5
0.62
0.125
0.25
0.375
0.5
0.62

Answers

Answer:

Its C

Explanation:

Answer:

C

Explanation:

ifunny is dankreloaded

Calculate the 2017 total tax for Gordon​ Geist, a single taxpayer without dependents and no itemized deductions. He has active income of ​$44 comma 000​, a​ short-term capital gain income of ​$2 comma 800 from the sale of​ stock, and ​$7600 from book royalties. What is​ Gordon's average tax​ rate?

Answers

Answer:

15.32%

Explanation:

Note: Attached as picture below is the missing table

Total gross income = Active income + Capital gains + Book royalty = $44,000 + $2,800 + $7,600 = $54,400

Standard deduction = $6,350

Exemption = $4,050

Taxable income = Total gross income - Standard deduction - Exemption = $54,400 - $6,350 - $4,050 = $44,000

Income tax due:

Over 37,950 but not over 91,900 - 5,226.25 plus 25% of the excess over 37,950

Income tax due = 5,226.25 + 25%*(44,000 - 37,950)

Income tax due = 5,226.25 + 25%*6050

Income tax due = 5,226.25 + 1512.5

Income tax due = $6,738.75

Average tax rate = Income tax due/Taxable income

Average tax rate = $6,738.75/$44,000

Average tax rate = 0.15315341

Average tax rate = 15.32%

Calculate the 2017 total tax for Gordon Geist, a single taxpayer without dependents and no itemized deductions.

Describe a hypothetical government budget that employs an expansionary policy.

Answers

Answer:

Expansionary fiscal policy involves strategy which includes tax cutting, rebates and increase spending.

Explanation:

The government budget will be modified to the tax cutting strategies to implement expansionary fiscal policies. This includes increase in spending so that less money is saved and the tax amount on the profit is minimum.

How does the Better Business Bureau effect the economy?

Answers

Answer:

Varies

Explanation:

It helps people find businesses that are trustworthy.

The HR recruiting specialist and line managers at Clearwater Electronics work closely together when hiring new employees . The line managers are ultimately responsible for the final selection of a new employee , but the HR recruiting specialist serves an important role by providing information about potential employees and arranging for interviews . Why is this service helpful to the line managers ? The recruiting specialist can help the line managers from rushing the hire because there is an immediate need to fill positions The recruiting specialist can help the line managers from expecting too much too soon from new employees . The recruiting specialist can help the line managers from interviewing applicants who are not qualified for the positions . The recruiting specialist can help the line managers from relying too much on the interview , a common recruiting pitfall .

Answers

Answer: The recruiting specialist can help the line managers from interviewing applicants who are not qualified for the positions .

Explanation:

Since the line managers are responsible for the final selection of a new employee while the HR recruiting specialist gives information about potential employees and arranging for interviews, then the recruiting specialist can help the line managers from interviewing applicants who are not qualified for the positions.

By getting information from the potential employees, the recruiting specialist can know the people who are qualified for the job and possess the necessary requirements for the job and those who aren't qualified.

In which of the following ways is the closing process similar to the scope development process?
a. Both involve gathering stakeholder expectations
b. Both require approval for completion.
c. Both require approval for completion.
d. Both focus on orienting the project team.
e. Both focus on estimating the budget

Answers

B) Both require approval for completion.Both the closing process and the scope development process require approval for completion.

In the scope development process, stakeholders provide input on the project scope, objectives, and requirements, and the project team works to define the project's deliverables and the work required to produce them. Once the scope has been developed, it must be approved by the project sponsor or other relevant stakeholders before the project can move forward.

Similarly, in the closing process, the project is reviewed to ensure that all deliverables have been completed and that the project objectives have been met. Once this has been verified, the project is formally closed, and the project sponsor or other relevant stakeholders must approve the project's closure.

While gathering stakeholder expectations and orienting the project team are important components of the scope development process, they are not necessarily similar to the closing process. Similarly, while estimating the budget is an important component of project planning, it is not necessarily similar to either the closing process or the scope development process.

In summary, the closing process and the scope development process are similar in that both require approval for completion. This helps to ensure that the project has met the necessary requirements and that stakeholders are satisfied with the project's outcome.

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confirming your use of affect vs. effect when proofreading is an example of checking for ________.

Answers

confirming your use of affect vs. effect when proofreading is an example of checking for grammatical accuracy.

Proofreading involves reviewing a text for errors in spelling, grammar, punctuation, and syntax. Checking for grammatical accuracy ensures that the correct rules and conventions of language are followed, including the appropriate use of words, such as affect and effect. These two words are commonly confused, as affect is a verb that means to influence or produce a change, while effect is a noun that refers to the result or consequence of something. By double-checking the usage of affect and effect, you can ensure that your writing is grammatically correct and effectively conveys your intended meaning.

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the customer value proposition lays out the company's approach to satisfying buyer wants and needs at a price customers will consider a good value (the greater the value and the lower the price, the more attractive the company's value proposition). The main issue is can the cvp be executed profitability?

Answers

The execution of a customer value proposition can indeed be profitable, provided that the value delivered to customers exceeds the price they pay.

How can the execution of a customer value proposition be profitable?

The profitability of executing a customer value proposition depends on several factors. Firstly, the company needs to ensure that the value offered to customers is compelling and meets their wants and needs effectively.

This requires a deep understanding of the target market and continuous market research to stay attuned to changing customer preferences. Secondly, the company must price its products or services in a way that customers perceive as a good value for the benefits received. Pricing should consider the cost structure, competition, and customer willingness to pay.

Additionally, the company must carefully manage its operational efficiency to deliver the value proposition at a cost that allows for a profitable margin.

This involves streamlining processes, optimizing resources, and minimizing waste. Effective marketing and communication strategies are also crucial to effectively convey the value proposition to the target audience and differentiate the company from competitors.

Overall, profitability in executing a customer value proposition requires a balanced combination of delivering superior value to customers and managing costs efficiently.

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a project that will last for 9 years is expected to have equal annual cash flows of $98,200. if the required return is 7.7 percent, what maximum initial investment would make the project acceptable?

Answers

The maximum initial investment that would make the project acceptable is calculated to be $621,171.53

The maximum initial investment can be considered to be the present value of the future cash flow.

The present value of annual cash flow can be calculated by using the following formula;

Present Value of annual cash flow = Annual Cash flows × Present value of annuity of 1

The present value of annuity of 1 can be calculated as follows;

Present value of annuity of 1 = [1-(1+i)^-n]÷i

Here i represents the required return which is 7.7% and n represents the number of years which is 9, therefore substituting these values as follows;

Present value of annuity of 1 = [1-(1+0.077)^-9]÷0.077

Present value of annuity of 1 = [1-(1.077)^-9]÷0.077

Present value of annuity of 1 = 6.32557567

Now substituting this Present value of annuity of 1 in the equation;

Present Value of annual cash flow = Annual Cash flows × Present value of annuity of 1

Present Value of annual cash flow = $98,200 × 6.32557567

Present Value of annual cash flow = $621,171.53

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Serena has been waiting for Hamilton to come to her local theater. When it finally does come, tickets cost $60. Serena's reservation price is $75. But when Serena tries to buy a ticket, they are sold out. Serena decides to try to buy a ticket from a scalper (a person who purchased extra tickets at the box office with the intent to resell them at a higher price). If Serena finds someone who is willing to sell her a ticket for $70, she should

Answers

Serena should buy the ticket for $70.


Explanation:

Serena's reservation price is the maximum amount she is willing to pay for a ticket to see Hamilton, which is $75. However, when she tries to buy a ticket at the box office, they are sold out, which means that the only option left for her is to buy a ticket from a scalper. The scalper is offering to sell her a ticket for $70, which is less than her reservation price of $75. Therefore, buying the ticket for $70 is still worth it for Serena since it is less than her maximum willingness to pay.

Mandy used to work as a costume designer at her local theatre until she left work 3
years ago to bring up her daughter Natalie, now 4 years old. Mandy now works from
her house in Slough where she provides, makes and sells hand made glove puppets.
At the moment she sells at local craft fairs and through word of mouth. She now
wants to expand her business to include an on line shop and also to provide puppet
shows for children's parties and puppet making workshops for slightly older
children's parties.
1. Identify 2 reasons why Mandy may need to raise finance.
(2 marks)
2. Explain 1 advantage and 1 disadvantage to Mandy of taking out a bank loan.
(4 marks)
3. Mandy is considering applying for an additional mortgage on her house to
finance the business expansion. Do you think this is a good idea? Justify your
(9 marks)
answer.

Answers

Answer:

1. Mandy may need to raise a finance because she wants to expand her business, so therefore she may need extra money.

2. 1 advantage of taking out a bank loan is that she could build up her business with the money she’s taking out and the disadvantage is that her business may not work out or she won’t be able to pay the bank back

3. It may be a good idea to finance the business expansion because she may or may not grow her business after expanding it. But after expanding it there is possible chances of her business working out and growing more.

Explanation:

2. Suppose you’re given with the following information for some assets; a 12-year 2%-coupon bond of semi-annual coupon payment with face value as $1,000, a common stock of $3.20 expected dividend with 2.5% growth rate currently. Both bond and common stock are issued by Company M&M. Answer the following questions.
Suppose the yield to maturity (that is, the discount rate) for the bond is 10%, what is the present value of this coupon bond? Is it a discount bond? Why? What if the discount rate is 4%?
Suppose the bond is in fact, callable. That is, the firm may repurchase it with the call price as $918 and the bond is callable at the end of year 4, what is the yield to call for this bond if the current bond price is $825? (That is, the discount rate for the bond if you choose to be called. Use IRR function in EXCEL for this question).
Suppose the stock price is $22.32 per share right now, and assuming the capital market is efficient, what is the required rate of return for the stock? What are the assumptions you have for this present value model?
Suppose the dividend growth rate for the g%. If the stock price right now is $20.85 per share, what is possible growth rate of dividends g if using the rate of return obtained from c)?
Suppose the bond is convertible. That is, at the end of the 3rd year after issuance, the holder of the bond has the right to convert the bond with 1 to 4 ratio toward company M&M’s common stock. Would you possibly convert the bond at the end of 4th year if based on the above information in a) and c)?
Why the so-called "fair value" of financial asset is represented by the present value of future cash flows of financial asset?

Answers

The present value of a coupon bond can be calculated by discounting its future cash flows using the yield to maturity. Given that the bond has a 12-year maturity, a 2% coupon rate, semi-annual coupon payments, and a face value of $1,000, we can calculate the present value.

At a yield to maturity of 10%, we can calculate the present value of the coupon bond by discounting each semi-annual coupon payment and the face value using the yield to maturity. The formula to calculate the present value is:

PV = (C / (1 + r/2)^t) + (C / (1 + r/2)^(t+1)) + ... + (C + FV / (1 + r/2)^(t+n))

Where PV is the present value, C is the coupon payment, r is the yield to maturity, t is the number of periods (semi-annual), FV is the face value, and n is the number of periods to maturity.

Using this formula, we can calculate the present value of the coupon bond at a yield to maturity of 10%. If we plug in the values, we get:


Simplifying the equation gives us the present value of the bond.

If the present value of the bond is less than the face value, it is considered a discount bond. In this case, if the present value is less than $1,000, it is a discount bond.

If the discount rate is 4%, we can repeat the above calculation using the new discount rate to find the present value. If the present value is still less than $1,000, the bond is still considered a discount bond.

The yield to call can be calculated using the IRR function in Excel. Given that the bond price is $825 and the call price is $918, we can calculate the yield to call. By plugging in the values into the IRR function, we can find the yield to call for this bond.

The required rate of return for the stock can be calculated using the dividend discount model. Assuming the stock price is $22.32 and the expected dividend is $3.20 with a growth rate of 2.5%, we can calculate the required rate of return.

The required rate of return is the rate at which the present value of the expected future dividends is equal to the stock price. Using the formula for the present value of a growing perpetuity, we can calculate the required rate of return.

The assumptions for this present value model are that the dividend growth rate is constant and that the stock price is determined by the present value of future dividends.

If the stock price is $20.85 and we know the required rate of return, we can solve for the possible growth rate of dividends using the dividend discount model. By rearranging the formula for the present value of a growing perpetuity and plugging in the values, we can solve for the growth rate of dividends.

Whether to convert the bond at the end of the 4th year depends on the specific circumstances and individual preferences.

Factors to consider include the market conditions, the company's financial health, and the potential returns from converting the bond into common stock. It would be important to evaluate the pros and cons before making a decision.

The fair value of a financial asset is represented by the present value of its future cash flows because it takes into account the time value of money. By discounting the future cash flows using an appropriate discount rate, we can determine the value of those cash flows in today's dollars. This allows for a fair and accurate assessment of the asset's worth.

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Two types of strategic control that firms must exercise for good strategy implementation 11) are A) confrontational and behavioral. B) informational and behavioral. C) informational and confrontational. D) behavioral and financial. 12) Wall Street executives have received excessive bonus pay in the past.

Answers

Statement 11: B) Informational and behavioral.

Statement 12: Irrelevant to the question asked.

Two types of strategic control that firms must exercise for good strategy implementation are informational control and behavioral control. Informational control involves monitoring and assessing relevant information and data to ensure that the strategy is on track and aligned with the desired outcomes. Behavioral control involves monitoring and influencing the behavior and actions of individuals and teams to ensure that they are following the strategic plan and making the necessary adjustments.

This statement is incomplete and unrelated to the question asked. It seems to be a separate statement or opinion regarding excessive bonus pay for Wall Street executives.

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Compare two similar companies or products based on their consumers (audience), costs, communications (customer service), and convenience (relevance). When you are finished comparing, explain which product is better for people like yourself.

Compare two similar companies or products based on their consumers (audience), costs, communications

Answers

Answer:

i need this too

Explanation:

Explain the role audit committee plays in the company​

Answers

Answer:

The primary purpose of a company's audit committee is to provide oversight of the financial reporting process, the audit process, the company's system of internal controls and compliance with laws and regulations. ... As such, CPAs report directly to the audit committee, not management.

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mccoy brothers manufactures and sells two products, a and z in the ratio of 5:2. product a sells for $91; z sells for $112. variable costs for product a are $47; for z $52. fixed costs are $513,400. compute the number of units of product a mccoy must sell to break even.

Answers

McCoy Brothers need to sell approximately 11,156 units of product A to break even.

Break-even factor = constant fees / Contribution margin ratio

For product A:

Contribution margin = $91 - $47 = $44

For product Z:

Contribution margin = $112 - $52 = $60

the two products using the sales ratio of 5:2:

Weighted average contribution margin = (5/7 x $44) + (2/7 x $60) = $46

Now we can calculate the break-even point:

Break-even point = $513,400 / $46 = 11,155.65

Break-even is a term used to describe the point at which a company's total revenue equals its total expenses. At this factor, the company is neither creating earnings nor incurring a loss. In other words, it is the point where the company's sales are just enough to cover its expenses.

Break-even analysis is an essential tool for businesses because it helps them understand how much they need to sell to cover their costs and make a profit.  To calculate the break-even point, a business needs to determine its fixed costs (expenses that remain constant regardless of the volume of sales) and variable costs (expenses that vary with sales volume). Once these costs are known, the business can determine the minimum amount of sales necessary to cover its expenses.

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the dupont system of analysis allows firms to break down their return on equity down into all of the following component except a) inventory turnover b) profitability c) efficiency of asset usage d) use of leverage

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The DuPont system of analysis allows firms to break down their return on equity into all of the following components except inventory turnover.

What is DuPont's system of analysis?Developed by the DuPont Corporation, the DuPont analysis is a framework for evaluating fundamental performance.To break out the various factors affecting return on equity, DuPont analysis is a helpful technique (ROE).Investors can concentrate on each of the important financial performance key measures separately to pinpoint strengths and problems thanks to the deconstruction of ROE.The tool is available in two variations, one of which takes decomposition into account over the course of three steps and the other over the course of five.A paradigm for evaluating fundamental performance known as the DuPont analysis was first made public by the DuPont Corporation.F. Donaldson Brown created the formula in 1914 while working for the DuPont Company.To break out the various factors affecting return on equity, DuPont analysis is a helpful technique.

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Note that common tasks are listed toward the top, and less common tasks are listed toward the bottom. According to O*NET, what are some common tasks performed by Financial Analysts? Check all that apply. drawing charts and graphs to illustrate reports comparing insurance policies to determine the best choice informing investment decisions by analyzing financial information investigating cases of fraud helping families create realistic budgets

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Answer:

A and C

Explanation:

BECAUSE I AM BIG BRAIN

Answer:

create client presentations of plan details

advise clients on aspects of capitalization, such as amounts, sources, or timing

Explanation:

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