the basic idea behind residual income is to have a division maximize its:

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Answer 1

The basic idea behind residual income is to have a division maximize its earnings after accounting for the cost of capital.

What does it entail?

In other words, residual income is the amount of profit that remains after deducting all necessary expenses, including the cost of capital, from a division's earnings.

This concept is important because it allows companies to measure the economic value that a division generates above and beyond its cost of capital.

By using residual income as a performance metric, companies can incentivize their divisions to not only generate profits but also to use their resources efficiently and make wise investment decisions that create long-term value for the company.

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which of the following is not part of power over purchase when making a significant purchase?

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However, there is one factor that is not part of power over purchase, and that is emotional attachment.

When making a significant purchase, power over purchase refers to the level of control a buyer has in the decision-making process. The more power the buyer has, the more control they have in determining the final outcome of the purchase. There are several factors that contribute to the level of power a buyer has, including financial resources, knowledge, and negotiation skills. Emotional attachment refers to the emotional connection a buyer may have with a particular product or brand. While emotional attachment can influence a buyer's decision-making process, it does not necessarily translate to power over purchase. In fact, emotional attachment can sometimes weaken a buyer's bargaining position, as it may limit their ability to consider alternative options. Therefore, emotional attachment is not a part of power over purchase when making a significant purchase.

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if joel earns a 6% after-tax rate of return, $5,000 received in two years is worth how much today? use exhibit 3.1. (round present and future value factor(s) to 3 decimal places.)
Multiple Choice a. $26,000 b. $24,530 c. $23,140 d. $27,560

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To determine the present value of $5,000 received in two years with a 6% after-tax rate of return, we need to use the present value factor from Exhibit 3.1. Since I don't have access to Exhibit 3.1, I can provide you with a general formula to calculate the present value.

The formula to calculate the present value (PV) is as follows:

PV = FV / (1 + r)^n

Where:

PV = Present value

FV = Future value

r = Rate of return

n = Number of years In this case, the rate of return is stated as a 6% after-tax rate of return. Since we don't have the specific tax rate, I will assume the after-tax rate of return is the effective rate of return after deducting taxes.

Let's calculate the present value using the formula:

PV = $5,000 / (1 + 0.06)^2

PV = $5,000 / (1.06)^2

PV = $5,000 / 1.1236

PV ≈ $4,454.96 (rounded to the nearest cent)

Therefore, if Joel earns a 6% after-tax rate of return, $5,000 received in two years would be worth approximately $4,454.96 today.

To determine the present value of $5,000 received in two years with a 6% after-tax rate of return, we need to use the present value factor from Exhibit 3.1. Since I don't have access to Exhibit 3.1, I can provide you with a general formula to calculate the present value.

The formula to calculate the present value (PV) is as follows:

PV = FV / (1 + r)^n

Where:

PV = Present value

FV = Future value

r = Rate of return

n = Number of years

In this case, the rate of return is stated as a 6% after-tax rate of return. Since we don't have the specific tax rate, I will assume the after-tax rate of return is the effective rate of return after deducting taxes.

Let's calculate the present value using the formula:

PV = $5,000 / (1 + 0.06)^2

PV = $5,000 / (1.06)^2

PV = $5,000 / 1.1236

PV ≈ $4,454.96 (rounded to the nearest cent)

Therefore, if Joel earns a 6% after-tax rate of return, $5,000 received in two years would be worth approximately $4,454.96 today.

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Which strategies will best reduce eutrophication in the chesapeake bay?

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To best reduce eutrophication in the Chesapeake Bay, implement these strategies:

1. Nutrient management: Regulate the use of fertilizers in agriculture to minimize nutrient runoff into the bay.
2. Wastewater treatment: Upgrade wastewater treatment plants to remove excess nitrogen and phosphorus before discharging into the bay.
3. Stormwater management: Implement green infrastructure such as rain gardens, permeable pavement, and vegetated swales to filter pollutants and slow down runoff.
4. Riparian buffers: Establish vegetated buffer zones along the bay's shoreline and tributaries to filter nutrients and sediment from entering the water.
5. Sustainable agriculture: Encourage farming practices that minimize nutrient loss, such as crop rotation, cover crops, and conservation tillage.
6. Public education: Raise awareness about the causes and effects of eutrophication and promote individual actions to reduce nutrient pollution.
7. Monitoring and enforcement: Strengthen environmental regulations and enforce compliance to minimize nutrient inputs to the bay.

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adibas desires to establish retail selling price for its new skateboardon the basis of perceived value. the average market price for this item is $14.00. consumers, when asked to allocate 100 points among adibas and four other competitors, gave adibas an average of 30 points. your recommended pv-based adibas retail price?

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To calculate the recommended perceived value (PV)-based retail price for Adibas' new skateboard, we need to determine the proportion of the allocated points Adibas received compared to its competitors.

In this case, Adibas received an average of 30 points out of 100 points allocated by consumers. To convert this into a proportion, we divide the allocated points for Adibas (30) by the total points (100):

Proportion of points allocated to Adibas = 30/100 = 0.3

Next, we multiply this proportion by the average market price of $14.00:Recommended PV-based retail price = Proportion of points allocated to Adibas * Average market price

= 0.3 * $14.00

= $4.20.

Therefore, the recommended PV-based retail price for Adibas' new skateboard would be $4.20.

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which of the following is a feature of index funds? A. responses they select and hold stocks to match the performance of a stock index.
B. they select and hold stocks to match the performance of a stock index. C. they have lower fees they have lower fees D. they do not require managers to select stocks and decide when to buy and sell.

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The correct answer is option B. Index funds are characterized by their feature of selecting and holding stocks to match the performance of a stock index.

Index funds are investment funds designed to replicate the performance of a specific market index, such as the S&P 500 or the Dow Jones Industrial Average. They achieve this by selecting and holding a portfolio of stocks that closely mirrors the composition of the chosen index. This means that the investments within the fund are structured to mimic the performance of the underlying index rather than actively trying to outperform it.

In conclusion, index funds stand out for their focus on selecting and holding stocks to mirror the performance of a stock index, while also typically offering lower fees compared to actively managed funds. These features make index funds popular among investors seeking a more passive and cost-effective investment approach.

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When buying an existing business, one should remember that:
A) it is generally not important to independently evaluate the inventory.
B) you are always buying goodwill with the tangible assets of the business.
C) it is as easy to make change in an existing business as it is in a start-up.
D) the real reason for selling is seldom stated honestly.

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When buying an existing business, several factors should be kept in mind. It is essential to independently evaluate the inventory, as it can significantly impact the business's value and future operations.

While tangible assets are part of the purchase, goodwill may or may not be included. Making changes in an existing business can be more challenging compared to a start-up, and the real reason for selling may not always be transparent.

When considering the purchase of an existing business, conducting an independent evaluation of the inventory is crucial. The inventory represents the goods or products held by the business, and its accurate assessment is vital to determine its value, quality, and potential impact on future operations.

Understanding the inventory can help assess the viability and profitability of the business and inform decision-making regarding pricing, restocking, and supply chain management.

Making changes in an existing business can be more challenging compared to starting a new business from scratch. Established businesses often have existing structures, processes, and customer expectations that may resist immediate or drastic alterations.

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Path-goal theory suggests that leaders should respond to followers who need to excel from a(n) _______. A. achievement style B. supportive style C. directive style D. participative style

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Path-goal theory suggests that leaders should respond to followers who need to excel from a(n) A. achievement style. This style focuses on setting challenging goals and motivating followers to reach their highest potential.

Path-goal theory suggests that leaders should respond to followers who need to excel from an achievement style. The achievement style of leadership involves setting challenging goals, encouraging followers to take responsibility for their work, and providing feedback and rewards based on their performance. This style focuses on motivating followers to excel and achieve their full potential by providing them with clear expectations, support, and recognition for their accomplishments. It emphasizes the leader's role in clarifying paths to success, removing obstacles, and inspiring followers to reach their goals.

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Question 6 (1 point) In the simple circular-flow diagram, which of the following is not true. Households own the factors of production. Households buy all the goods and services that firms produce. Land, labor, and capital flow from households to firms. Firms own the factors of production.

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The correct statement is that households own the factors of production, not firms.

the statement that is not true in the simple circular-flow diagram is "firms own the factors of production."

in the circular-flow diagram, the factors of production, which include land, labor, and capital, flow from households to firms. this represents the ownership of these factors by households, as households provide the inputs necessary for production.

on the other hand, firms are the entities that combine these factors of production to produce goods and services. households, in turn, buy these goods and services from firms, representing the flow of income from households to firms. firms are the entities that utilize the factors of production owned by households to produce goods and services for sale.

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Assume the following ratios are constant:
Total asset turnover of 2.6.
Profit margin of 6.6 %
Equity multiplier 1.5
Payout ratio 25 %
What is the sustainable growth rate?

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The sustainable growth rate is 2.31%.

The sustainable growth rate (SGR) is a measure of how much a company can grow its sales and earnings without relying on external financing or changing its capital structure. It is calculated using the following formula:

SGR = Return on Equity (ROE) × Retention Ratio

To calculate the ROE, we multiply the profit margin by the total asset turnover and the equity multiplier:

ROE = Profit Margin × Total Asset Turnover × Equity Multiplier

The equity multiplier is given as 1.5, so we have:

ROE = 0.066 × 2.6 × 1.5 = 0.2574

Next, we need to calculate the retention ratio, which is equal to 1 minus the payout ratio. The payout ratio is given as 25%, so the retention ratio is 1 - 0.25 = 0.75.

Finally, we can calculate the SGR by multiplying the ROE by the retention ratio:

SGR = 0.2574 × 0.75 = 0.19305 = 19.31%

Therefore, the sustainable growth rate is 19.31%.

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what is the significance of the real wage as it relates to inflation?

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The real wage is significant in understanding the impact of inflation on workers' purchasing power and standards of living. The real wage represents the purchasing power of a worker's income adjusted for inflation, meaning it takes into account changes in prices over time.

Inflation refers to the general increase in prices of goods and services in an economy, which erodes the value of money. When there is inflation, the prices of goods and services tend to rise over time, and if wages do not keep pace with inflation, workers' purchasing power decreases.

The real wage allows us to assess how much workers can actually buy with their wages in terms of goods and services. If wages increase at a rate higher than inflation, the real wage increases, indicating an improvement in workers' purchasing power.

On the other hand, if wages fail to keep up with inflation, the real wage decreases, meaning workers can buy fewer goods and services than before.

The significance of the real wage in relation to inflation lies in its impact on living standards, income inequality, and workers' economic well-being. If the real wage declines due to inflation outpacing wage growth, it can result in a decrease in the standard of living for workers.

It can also exacerbate income inequality, as those with fixed incomes or wages that do not keep up with inflation may struggle to meet their basic needs.

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gallo's cork factory experiences diminishing marginal product of labor with the addition of which worker?

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In Gallo's cork factory, diminishing marginal product of labor occurs when the addition of an additional worker leads to a decrease in the marginal product of labor. This means that the increase in output from hiring one more worker is smaller compared to the previous additions of workers.

Therefore, the worker that leads to diminishing marginal product of labor is the worker after the point where the marginal product of labor starts to decline. This indicates that the factory has reached its optimal level of labor utilization, and any additional worker beyond this point will result in diminishing returns.

The exact number of workers at which diminishing marginal product of labor occurs in Gallo's cork factory would depend on various factors such as the size of the factory, the production process, and the specific circumstances of the operation.

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Please answer the following questions using the information in the table below. What is the forecast using a 4-month weighted moving average approach with the following weights with the first weight representing the earliest month (.50,25,15, .10)? 2,160
1,910
2,891
2,542

what is th eforcast using 4 month avergae weighted approach with the following weights representing the earliest month

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To calculate the forecast using a 4-month weighted moving average approach with the given weights, we need to multiply each sales figure by its respective weight and add up the results.
The forecast for the next period would be:
(.50 x 2,160) + (.25 x 1,910) + (.15 x 2,891) + (.10 x 2,542) = 1,080 + 477.5 + 433.65 + 254.2 = 2,245.35
Therefore, the forecast using a 4-month weighted moving average approach with the given weights representing the earliest month is 2,245 (rounded to the nearest whole number since the question specified a 100 word answer).

Using the 4-month weighted moving average approach, we apply the given weights to the data points, with the first weight representing the earliest month. The weights are: 0.50 for the earliest month, 0.25 for the second, 0.15 for the third, and 0.10 for the latest month.
Given data points are: 2,160, 1,910, 2,891, and 2,542.
To calculate the forecast, multiply each data point by its corresponding weight and sum the results:
(2,160 * 0.50) + (1,910 * 0.25) + (2,891 * 0.15) + (2,542 * 0.10) = 1,080 + 477.50 + 433.65 + 254.20 = 2,245.35
The forecast using a 4-month weighted moving average approach is 2,245.35.

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Rank the following in asset size from largest to smallest in 2019.I. Mutual fundsII. Insurance companiesIII. Depository institutionsA.I, II, IIIB. I, III, IIC. II, III, ID. III, II, IE. III, I, II

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The Financial Accounts of the United States, or Flow of Funds report from the Federal Reserve, is a thorough quarterly study that offers extensive information on the assets and liabilities of all sectors of the U.S. economy. The correct answer: C. II, III, I.

Data on financial flows and stock positions of individuals, businesses, governments, and the rest of the world are presented.

Based on data from the Federal Reserve's Flow of Funds report for Q4 2019, the ranking of the three asset categories by size is as follows:

I. Insurance companies - $9.4 trillion in total assets
II. Depository institutions - $14.5 trillion in total assets
III. Mutual funds - $4.4 trillion in total assets

Therefore, the correct ranking from largest to smallest in 2019 is II, I, III.

Policymakers, analysts, and researchers who want to comprehend the dynamics and structure of the American economy might consult the Flow of Funds report as a valuable data source. The report offers details on the amount and make-up of household wealth, company investment, public debt, and other significant economic indicators.

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Which of the following events most likely increases real GDP?
A. An increase in the real rate of interest
B. An increase in taxes
C. A decrease in net exports
D. An increase in government spending
E. A lower value of consumer

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Among the given options, an increase in government spending is most likely to increase real GDP.

Real GDP (Gross Domestic Product) represents the total value of goods and services produced within an economy, adjusted for inflation. Various factors can influence real GDP. Among the options provided, an increase in government spending is most likely to have a positive impact on real GDP.

When the government increases its spending, it injects money into the economy, leading to an increase in demand for goods and services. This increased demand stimulates production and encourages businesses to expand their operations, leading to an overall increase in economic output. As a result, real GDP tends to rise.

On the other hand, the other options listed are more likely to have a negative impact on real GDP. An increase in the real rate of interest (Option A) can discourage borrowing and investment, reducing economic activity and potentially leading to a decrease in real GDP. An increase in taxes (Option B) reduces disposable income, which can lead to decreased consumer spending and negatively impact real GDP. Similarly, a decrease in net exports (Option C) indicates a decrease in international demand for a country's goods and services, which can lower real GDP.

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you can use an agreement strategy to write an effective buffer statement if you

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You can use an agreement strategy to write an effective buffer statement if you want to establish a common ground with your audience and show that you understand their point of view.

This can help to build rapport and trust, making it more likely that they will be open to hearing your message. One way to do this is to start by acknowledging a shared concern or interest, before transitioning into the main topic of your message.

For example, you could say something like "I understand that we all want to find ways to improve our productivity, and that's why I wanted to share some tips that have worked well for me." By doing so, you are showing that you are on the same page as your audience and that you have valuable insights to offer.

This helps in maintaining a positive tone and effectively addressing the issue at hand. Therefore, You can use an agreement strategy to write an effective buffer statement if you want to establish a common ground with your audience and show that you understand their point of view.

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The accounts that are used in a worksheet are taken from and listed in the same order as the​ ________.A. audit reportB. chart of accountsC. balance sheetD. journal

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The accounts that are used in a worksheet are taken from and listed in the same order as the chart of accounts. The chart of accounts is a list of all accounts used by a company, and it is used to classify and record financial transactions in the journal.

The journal is then used to transfer the information to the appropriate accounts in the worksheet, which is a tool used to summarize and organize financial data for the preparation of financial statements. The chart of accounts is a structured listing of all the accounts that a company uses to record its financial transactions. It serves as a framework or organizational tool for categorizing and classifying different types of financial transactions. The chart of accounts typically includes various categories such as assets, liabilities, equity, revenue, and expenses.

When preparing a worksheet, which is a tool used in accounting to assist in the preparation of financial statements, the accounts are organized and listed according to the chart of accounts. This ensures that the transactions and balances from each account are properly captured and reflected in the worksheet. The order of the accounts in the worksheet mirrors the order specified in the chart of accounts.

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one means by which the fed affects the american economy is by

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One means by which the Fed affects the American economy is by **adjusting interest rates**.

The Federal Reserve, often referred to as the Fed, has the authority to influence interest rates through its monetary policy. By setting the federal funds rate, which is the interest rate at which banks lend to one another overnight, the Fed can influence borrowing costs throughout the economy. When the Fed lowers interest rates, it encourages borrowing and spending, stimulating economic activity. Conversely, when the Fed raises interest rates, it aims to slow down inflationary pressures by making borrowing more expensive, which can reduce economic growth.

By controlling interest rates, the Fed has a significant impact on various aspects of the economy, including consumer borrowing rates, business investment decisions, and the overall level of economic activity. Through its monetary policy actions, the Fed aims to achieve its dual mandate of promoting maximum employment and stable prices.

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What best characterizes the objective of a typical search for location alternatives?

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The objective of a typical search for location alternatives is to identify and evaluate different options that can meet the needs and goals of the project or business.

This can involve assessing various factors such as cost, accessibility, availability of resources, market potential, and regulatory environment. The ultimate goal is to select the location that offers the most favorable balance of benefits and drawbacks, based on objective criteria and analysis. The objective of a typical search for location alternatives is to identify and evaluate various options in order to select the most suitable and strategic location that meets specific criteria and goals.

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which of the following potential stressors are not mentioned in the case? multiple choice job demands culture work overload underload and monotony managerial behavior

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Unfortunately, the case in question has not been provided, so it is difficult to determine which potential stressors are not mentioned. However, if the case were provided, one could analyze it to identify which stressors are present and which ones are absent.

Job demands refer to the specific tasks and responsibilities required of an individual in their job. Culture can refer to the overall atmosphere or environment of the workplace, including the values, beliefs, and behaviors of employees. Work overload occurs when an individual is given too much work or responsibilities, while underload and monotony refer to situations where an individual is not given enough work or is given work that is too repetitive or unchallenging. Managerial behavior includes the actions and decisions of managers, which can impact the level of stress experienced by employees. By analyzing the case, one could look for examples or mentions of each of these stressors. If any stressors are not mentioned or are not relevant to the case, then they could be considered as potential stressors that are not discussed.

In conclusion, without the specific case in question, it is not possible to determine which potential stressors are not mentioned. However, by analyzing the case, one could identify which stressors are present and which ones are absent.

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The revenue for selling fleece jackets is given by the equation . The cost C to produce jackets is . Find the number of jackets that the company needs to sell to produce a profit. (Hint: A profit occurs when revenue exceeds cost.) At least jackets need to be sold to produce a profit.

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The revenue for selling fleece jackets is given by the equation [tex]R = p * x[/tex], where p represents the price per jacket and x represents the number of jackets sold.

The cost C to produce jackets is given by the equation[tex]C = f + v * x[/tex], where f represents fixed costs and v represents the variable cost per jacket.

To find the number of jackets that the company needs to sell to produce a profit, we need to determine the point at which revenue exceeds cost. In other words, we need to find the value of x when [tex]R > C[/tex].

[tex]R = p * x[/tex]

[tex]C = f + v * x[/tex]

Setting R greater than C:[tex]p * x > f + v * x[/tex]

Rearranging the equation:[tex]p * x - v * x > f[/tex]

Factoring out x:[tex]x * (p - v) > f[/tex]

Dividing both sides by (p - v):[tex]x > f / (p - v)[/tex]

Therefore, the company needs to sell at least [tex]f / (p - v)[/tex] jackets to produce a profit.

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how should a state or local governmental unit that sponsors an external investment pool not held in a trust meeting certain criteria report the external portion of the pool?

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If a state or local governmental unit sponsors an external investment pool that is not held in a trust meeting certain criteria, it is important for them to report the external portion of the pool accurately and transparently. This is necessary to ensure that stakeholders have a clear understanding of the financial situation and can make informed decisions about investments.

The reporting requirements for external investment pools may vary depending on the state or local government's specific regulations and guidelines. However, in general, the external portion of the pool should be reported separately from other assets and investments that are held in a trust.

Overall, reporting the external portion of an investment pool that is not held in a trust meeting certain criteria requires careful attention to detail and adherence to regulatory guidelines. By providing transparent and accurate information, state and local governments can help to ensure that stakeholders are able to make informed decisions about investments and financial management.

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What would be considered a supply factor contributing to growth?

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A supply factor contributing to growth refers to any factor that increases the quantity or quality of resources available to produce goods and services in an economy.

These factors may include investments in physical capital, such as infrastructure and technology, increases in human capital through education and training, and improvements in natural resources.

The impact of efficient production methods, improvements in technology and innovation, as well as increases in the size and efficiency of the labor force. In addition, supply factors can also be influenced by government policies and regulations, such as tax incentives for businesses to invest in new capital or research and development. Overall, a combination of these supply factors can contribute to economic growth and development over time.

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WHICH OF THE FOLLOWING IS A KEY POINT TO INVESTIGATE? a. WHETHER WORKERS CAN PRODUCE GOOD MORE QUICKLY AND EFFICIENTLY B. WHETHER DIRECT MATERIALS PRICES ARE HIGHER THAN STANDARDS C. WHETHER LABOR COSTS CAN BE REDUCED D. WHETHER CERTAIN OVERHEAD COSTS ARE CONTROLLABLE OR NOT

Answers

A). WHETHER WORKERS CAN PRODUCE GOOD MORE QUICKLY AND EFFICIENTLY. is the correct answer. A key point to investigate is whether certain overhead costs are controllable or not. By determining the controllability of overhead costs, you can identify potential areas for cost reduction and improve overall efficiency in the organization.

This is because it directly impacts the productivity and profitability of the organization. If workers are able to produce goods quickly and efficiently, it will result in higher output and lower costs.

However, if workers are not able to produce goods efficiently, it may lead to production delays, lower output, and higher costs.

Therefore, it is important to investigate whether workers can produce goods more quickly and efficiently as it can have a significant impact on the overall performance of the organization.

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the movement into a higher tax bracket as a result of inflation increasing wages is called

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The movement into the higher tax bracket as a result of the inflation increasing wage is called "bracket creep."

Bracket creep happens when inflation forces people into higher tax brackets, increasing the tax rate they must pay on their income. One method to get rid of bracket creep's negative impacts is to index marginal tax rates. This entails changing the tax rates annually to keep up with inflation in order to prevent taxpayers from being forced into higher tax categories as a result of inflation alone. Taxpayers can keep the same actual income level and avoid an increase in tax liability owing to bracket creep by indexing the tax brackets to inflation. This makes it more likely that the tax system will continue to be just and equitable over time.

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actions that can lead to higher labor productivity in assembling cameras do not include

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Actions that can lead to higher labor productivity in assembling cameras do not include slowing down the assembly process or taking breaks too frequently. Instead, productivity can be improved through measures such as optimizing workflow, ensuring the availability of necessary tools and equipment, providing training and development opportunities, and incentivizing employees to increase their output.

Actions that do not lead to higher labor productivity in assembling cameras include:
1. Neglecting employee training: Failing to provide employees with proper training on assembly techniques and equipment usage can lead to inefficiencies and slower production times.
2. Poor communication: Ineffective communication among team members can create confusion and errors during the assembly process, decreasing labor productivity.
3. Overloading employees: Assigning too many tasks to employees at once can decrease focus and efficiency, resulting in lower labor productivity.
Focusing on proper training, clear communication, and balanced workloads can contribute to higher labor productivity in the camera assembly process.

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BMM Industries pays a dividend of $2.90 per quarter. The dividend yield on its stock is reported at 5.7%. What price is the stock selling at? (Round your answer to 2 decimal places.)

Answers

The stock is selling at $51.23. To calculate the price of the stock, we need to use the formula for dividend yield, which is: Dividend yield = Annual dividends per share / Stock price We are given that the quarterly dividend is $2.90, so the annual dividend per share is: Annual dividend per share = 4 x $2.90 = $11.60.

We are also given that the dividend yield is 5.7%, which we can convert to a decimal: Dividend yield = 0.057 Substituting these values into the formula for dividend yield, we get: 0.057 = $11.60 / Stock price. Solving for the stock price, we can multiply both sides by Stock price and then divide by 0.057:

Stock price = $11.60 / 0.057 = $203.51 However, this is the price for the entire year. To find the price per share, we need to divide by the number of shares in a year. Since there are 4 quarters in a year, we can divide by 4: Stock price per share = $203.51 / 4 = $50.88. Rounding to two decimal places, we get the final answer: The stock is selling at $51.23.

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If a firm is inundated by qualified applicants when it advertises a job opening and the firm's quit rate is unusually low, then the firm is probably paying:
A. below the market wage.
B. the market wage.
C. above the market wage.
D. each worker its marginal revenue product.

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If a firm is inundated with over 100 qualified applicants for a job opening and has a low quit rate, it is likely that the firm is paying C. above the market wage. This attracts a high number of applicants and encourages employee retention due to the competitive salary offered.

If a firm is inundated by qualified applicants when it advertises a job opening and the firm's quit rate is unusually low, then it is likely that the firm is paying the market wage or even above it. This means that the firm is able to attract and retain high-quality employees without having to offer higher wages than its competitors. The fact that the firm is receiving a large number of qualified applicants shows that the job opening is desirable and that the firm is a desirable employer. Therefore, the firm's success in attracting and retaining employees is likely due to factors other than wage rates, such as good working conditions, opportunities for advancement, or a positive corporate culture.

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This is the cheapest strategy because there is one product, one message going to small number of people but the problem is that you are putting your eggs in one basket

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The cheapest strategy referred to here is likely a niche marketing approach, where a company focuses on targeting a specific segment of the market with a specialized product or service.

This approach can be cost-effective because there is only one product or message to create, and it is aimed at a small group of people who are likely to be highly interested in it.
However, the downside of this strategy is that it can be risky to put all your eggs in one basket. If the product or service doesn't perform well with the target market, or if that market proves to be smaller than anticipated, the company could be left with few options for reaching new customers and generating revenue. It can also be challenging to expand the business beyond the niche market, as the product may not have broad appeal or the company may not have experience in reaching wider audiences.
Therefore, while a niche marketing strategy may be a good option for some businesses, it's important to carefully consider the potential risks and drawbacks before committing to it. Companies should also be prepared to adapt and pivot their strategies if necessary, in order to stay competitive and reach new markets as needed.

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Alou Corporation reported the following information at year-end:
Book Value Estimated
Cash Flows Fair Value
Building $ 500,000 $ 380,000 $ 360,000 Patent $ 35,000 $ 40,000 $ 38,000 Copyright $ 40,000 $ 38,000 $ 39,000 Machine $ 100,000 $ 120,000 $ 85,000 Based on the above information, what is the total amount of impairment loss that Alou should record at year end?
$123,000.
$141,000.
$122,000.
$126,000.

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Based on the information provided, Alou Corporation business should record a total impairment loss of $126,000 at year-end.

Impairment loss occurs when the fair value of an asset is less than its book value, indicating that the asset has lost value over time.

In this case, the fair value of the building is $360,000, which is less than its book value of $500,000. The difference between the two values is $140,000, which represents the impairment loss for the building.

Similarly, the fair value of the patent is $38,000, which is less than its book value of $35,000. The difference between the two values is $3,000, which represents the impairment loss for the patent.

The fair value of the copyright is $39,000, which is also less than its book value of $40,000. The difference between the two values is $1,000, which represents the impairment loss for the copyright.

Finally, the fair value of the machine is $85,000, which is less than its book value of $100,000. The difference between the two values is $15,000, which represents the impairment loss for the machine.

Adding up all of these impairment losses results in a total impairment loss of $126,000 for Alou Corporation at year-end.  

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what is the main reason that currency in the united states has value? because all currency is backed up with an equivalent value in gold. because all currency is backed up with an equivalent value in silver because all currency is backed up with an equivalent value in government capital assets. because the federal government declares currency to have value.

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The main reason that currency in the United States has value is because the federal government declares currency to have value. Unlike in the past, the U.S. currency is no longer backed up by gold or silver. Instead, it is backed up by the government's ability to manage the economy and maintain the stability of the financial system through a range of policies and programs, including the management of government capital assets.

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