The section of the URLA that allows the lender to record if the ethnicity, sex, or race of the borrower was collected on the basis of visual observation or surname is Section X: Demographic Information.
The Uniform Residential Loan Application (URLA) is an industry-wide standard form that is required for many residential mortgage loan applications in the United States. It is also known as Fannie Mae Form 1003 or Freddie Mac Form 65 and is designed to capture all of the relevant information required for a mortgage application, including the borrower's personal and financial information, as well as details about the property.The URLA was updated in 2020 to reflect changes in the demographics of the US population and to provide better data on fair lending practices. The updated form includes a new section, Section X: Demographic Information, which allows lenders to collect information on the race, ethnicity, and sex of the borrower in a non-discriminatory manner.Section X: Demographic Information: This section allows lenders to record if the ethnicity, sex, or race of the borrower was collected on the basis of visual observation or surname. This is done to help ensure that lenders are not discriminating against applicants based on these characteristics. This section is optional and is not required by law. However, lenders may choose to include it on their URLA form to gather more information about the borrower's background and to ensure that they are complying with fair lending laws.Learn more about lending here: https://brainly.com/question/948916
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suppose turkish gdp per capita is 700 turkish liras. calculate turkish gdp per capita in usd terms in two ways: (i) using actual exchange rates, (ii) using ppp-implied exchange rates. which one is higher? explain.
Using actual exchange rates, Turkish GDP per capita is approximately 87.5 US Dollars. Using PPP-implied exchange rates, Turkish GDP per capita is approximately 280 US Dollars, the GDP per capita in USD terms is higher when using PPP-implied exchange rates than when using actual exchange rates.
To convert Turkish GDP per capita from Turkish Liras to USD using actual exchange rates, we need to know the current exchange rate between Turkish Lira and US Dollars. Let's assume the exchange rate is 8 Turkish Liras to 1 US Dollar.
(i) Using actual exchange rates:
Turkish GDP per capita in USD terms = Turkish GDP per capita / Exchange rate
= 700 Turkish Liras / 8 Turkish Liras per USD
= 87.5 US Dollars
(ii) Using PPP-implied exchange rates:
To calculate GDP per capita using PPP-implied exchange rates, we need to use the PPP conversion factor which reflects the relative cost of goods and services in different countries. Let's assume the PPP conversion factor for Turkey is 2.5.
Turkish GDP per capita in USD terms = Turkish GDP per capita / PPP conversion factor
= 700 Turkish Liras / 2.5
= 280 US Dollars
Comparing the two values, we can see that the GDP per capita in USD terms is higher when using PPP-implied exchange rates than when using actual exchange rates. This is because PPP conversion factors take into account the differences in prices between countries, whereas actual exchange rates only reflect the relative value of currencies.
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Company B is a military contractor for Company A. Company C is a supplier to company B in materials and supplies so that Company B can create the guidance systems product for Company A. When approaching this as a security issue which of the below would you make sure that you are following? A) Separation of Duties B) Product Audits C) Acceptable Use Policies D) Supply Chain Assessment E) Asset Tracking
As a security issue, when dealing with the relationships between Company A, Company B, and Company C, it is important to ensure that the supply chain is secure and that the products and materials are used appropriately. Therefore, the option that best aligns with these concerns would be D) Supply Chain Assessment.
The security issue related to Company B being a military contractor for Company A, and Company C being a supplier to Company B, can be addressed by implementing several security measures.
These measures include Separation of Duties, which will ensure that no single employee is able to control multiple aspects of the supply chain. Product Audits should be conducted to ensure that the products supplied by Company C meet the required standards and specifications. Acceptable Use Policies should be established to ensure that all those in the supply chain understand the terms and conditions of use.
Additionally, a Supply Chain Assessment should be completed to identify any potential risks in the supply chain and put measures in place to mitigate these risks. Lastly, Asset Tracking should be used to ensure that all assets remain secure and are being used in the correct manner. By following these measures the security of the supply chain can be maintained.
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buying stock on margin meant purchasing only a few shares. purchasing inexpensive stock. making only a small down payment. purchasing little-known stock.
Buying stock on margin meant making only a small down payment.
What is a margin?A margin is a form of debt security in which an investor borrows funds from a broker to buy shares. It's the collateral that the investor uses to trade equities. The investor only pays a portion of the purchase price, which is referred to as a margin deposit, while the broker provides the remainder by lending money.
Margin trading amplifies gains and losses by allowing you to buy more shares than you could without using margin. The danger of loss from buying on margin arises when the stock price falls below the margin account's collateral value, causing the broker to issue a margin call.
The brokerage may issue a margin call if the stock price drops, requiring you to deposit more money or sell some or all of your shares. The broker is a stockbroker who purchases and sells securities for their own account or on behalf of others. The investor who trades on margin is required to keep a margin account with the broker who lent the funds.
When you trade on margin, you borrow money from the broker to buy shares that you otherwise couldn't afford. You're using debt to increase your investment's earning power. Therefore, buying stock on margin meant making only a small down payment.
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determine the operating income using the following information: sales $680,200 cost of goods sold 504,000 selling expenses 50,400 administrative expenses 25,000 a.$125,800 b.$100,800 c.$176,200 d.$680,200
The operating income is calculated by subtracting the cost of goods sold and operating expenses from the sales. Here, the operating income is $100,800. The correct option is b.
Operating income is a metric used to measure the financial performance of a company, as it indicates the total profit generated by operations before non-operating expenses and income (such as interest and taxes) are taken into consideration.
Operating income is the amount of revenue generated from regular business activities after deducting operating expenses. It is an important metric for analyzing the profitability of a business.
To determine operating income, we need to subtract operating expenses from sales.
Let's use the given information to calculate the operating income.
Sales = $680,200
Cost of goods sold = $504,000
Selling expenses = $50,400
Administrative expenses = $25,000
Now, we need to subtract the operating expenses from sales to get the operating income.
Operating expenses = Cost of goods sold + Selling expenses + Administrative expenses= $504,000 + $50,400 + $25,000= $579,400
Operating income = Sales - Operating expenses = $680,200 - $579,400= $100,800
Additionally, it is important to note that operating income does not take into account any non-operating expenses or income, meaning it does not reflect the company’s true profitability.
Therefore, the operating income is $100,800. Hence, option (b) is the correct answer.
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grease payments are all of following except a. monies given to high ranking officials b. get goods through red tape c. monies given to minor officials d. small sums of money
Grease payments are all of the following except for: D. small sums of money. What are grease payments?Grease payments are a type of bribe that is paid to low-ranking government officials or employees to expedite or facilitate routine administrative procedures. These payments are made to speed up a process, such as issuing a permit or licence, getting a visa or passport, or speeding up the delivery of goods through customs.
In a developing country, a bribe paid to a minor official or clerk is known as a "grease payment" or "speed money." These types of payments are often small, and their primary purpose is to facilitate the performance of routine, non-discretionary functions that the government is supposed to provide to its citizens.
Examples of grease payments include tipping an official at the Department of Motor Vehicles to move to the front of the line, paying a small sum to get one's passport application processed quicker than usual, or giving a small bribe to a customs official to release a shipment of goods through red tape.
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which type of decision making involves recognizing a problem for which there are several possible solutions?
The type of decision making that involves recognizing a problem for which there are several possible solutions is known as multi-criteria decision making.
Multi-criteria decision making (MCDM) is a type of decision-making process that allows you to recognize a problem and then evaluate various options to determine which is the best solution. This type of decision-making typically involves analyzing multiple criteria that may include cost, benefit, risks, and other factors to determine the optimal solution. It involves examining the multiple criteria and weighing them against each other to make a decision.
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an interest rate is 12% when expressed with quarterly compounding. what is the equivalent rate with semiannual compounding?
The equivalent rate with semiannual compounding when an interest rate is 12% with quarterly compounding is 11.76%. This is because when compounding occurs more frequently, the effective annual rate (EAR) is higher.
To find the equivalent rate with semiannual compounding, use the following formula: EARsemiannual = (1 + iquarterly)4 - 1, where iquarterly is the iquarterly interest rate. In this case, quarterly = 0.12/4 = 0.03. Therefore, EARsemiannual = (1 + 0.03)4 - 1 = 11.76%.
The formula for calculating the equivalent interest rate is: r = (1 + i/m) ^ m - 1 where: r = equivalent interest rate i = nominal interest rate m = number of compounding periods per year assuming that the nominal interest rate is 12% and it is compounded quarterly (4 times per year), then the number of compounding periods per year, m = 4.
Therefore, r = (1 + i/m) ^ m - 1= (1 + 0.12/4) ^ 4 - 1= 1.03 ^ 4 - 1= 1.1255 - 1= 0.1255 or 12.55% when the interest rate is expressed semiannually (2 times per year), the equivalent rate is: r = (1 + i/m) ^ m - 1= (1 + 0.12/2) ^ 2 - 1= 1.06 ^ 2 - 1= 1.1236 - 1= 0.1236 or 12.36%Therefore, the equivalent rate with semiannual compounding is 12.36%.
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if the federal reserve announces it will be decreasing the money supply through its monetary policy tools, it tells us the federal reserve is
The Federal Reserve is attempting to cool the economy by decreasing the money supply through its monetary policy tools.
The Federal Reserve is the central bank of the United States, and it is responsible for setting the monetary policy for the country. The Federal Reserve's main tool for controlling the money supply is by raising or lowering the federal funds rate.
When the Federal Reserve announces it is decreasing the money supply through its monetary policy tools, it is trying to cool the economy. This is because increasing the money supply can stimulate the economy and make it grow, while decreasing the money supply can slow the economy.
The Federal Reserve's decision to decrease the money supply is usually done when it feels the economy is growing too quickly and needs to be cooled off. By decreasing the money supply, it makes it harder for banks to lend money and businesses to get credit. This reduces consumer spending and economic activity, which helps cool the economy.
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what are appropriate actions for a manager to take if a decision is not working as intended? (choose every correct answer.)
A manager should first assess the decision to determine why it is not working as intended.
Depending on the situation, some appropriate actions could include consulting with experts, gathering more data, researching other solutions, and/or revising the decision.
To assess the decision, the manager should consider what factors caused the decision to fail.
This could include a lack of accurate data, misinterpretation of data, or an inappropriate action to address the problem. After assessing the situation, the manager can then decide on an appropriate course of action.
Consulting with experts can be a great way to gain additional insight and perspective on the problem. Gathering more data can help identify any issues with the decision that may not have been initially seen.
Researching other solutions can help the manager determine what the best course of action is. Lastly, the manager can revise the decision to address any issues that have been identified.
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a firm has total assets of $2,000,000. it has $900,000 in long-term debt. the stockholders equity is $900,000. what is the total debt to asset ratio?
A firm has total assets of $2,000,000. it has $900,000 in long-term debt. the stockholders equity is $900,000 The total debt to asset ratio of the firm is 0.45.
The total debt to asset ratio is the ratio of the total debt of an enterprise to its total assets. It indicates the amount of an enterprise's funding that is provided by creditors as opposed to investors.
[tex]Total debt to asset ratio = Total liabilities/ Total assets\\[/tex]
[tex]Total assets = $2,000,000\\Long-term debt = $900,000\\Stockholders equity = $900,000\\[/tex]
[tex]Total liabilities = long-term debt = $900,000\\[/tex]
[tex]Total debt to asset ratio = Total liabilities/ Total assets\\900,000 / 2,000,000= 0.45\\[/tex]
Therefore, the total debt to asset ratio is 0.45.
The ratio expressed as a percentage.
[tex]0.45 x 100 = 45% \\[/tex]
The total debt to asset ratio is 45%.
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write about the necessary ports and instruments for preparing donat
Many necessary instruments and ports are required to prepare donuts. A mixing bowl is first and foremost required for mixing the contents. For rolling out the dough, you also need a flat surface and a rolling pin.
What are donuts?Donuts, sometimes known as doughnuts, are a type of fried pastry that are normally created with a combination of flour, sugar, yeast, milk, or water. The dough is shaped into a ring, which is deep-fried until the outside is crispy and golden brown.
The donut forms must be cut out with a circular cutter, and the donuts must be fried in a deep fryer or a sizable pot. The fried donuts must also be removed from the oil using a slotted spoon, and any leftover oil must be drained using a dish lined with paper towels. Next, you can decorate and flavor the doughnuts by adding toppings like icing, sprinkles, or powdered sugar.
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if a country experiences a real gdp growth rate of 1 percent and population growth of 2 percent, then the growth rate of real gdp per person is group of answer choices 0 percent. 2 percent. 1 percent. -1 percent. 3 percent.
The growth rate of real GDP per person in a country with a real GDP growth rate of 1 percent and a population growth rate of 2 percent is -1 percent. To calculate this, we take the difference between the two growth rates, subtracting population growth from GDP growth:
Real GDP per person growth rate = GDP growth rate - Population growth rateReal GDP per person growth rate = 1 percent - 2 percentReal GDP per person growth rate = -1 percentThe growth rate of real GDP per person is a crucial indicator of a country's economic growth and development. It reflects the change in the economic output of a country relative to its population growth. A higher growth rate of real GDP per person indicates an increase in the standard of living, as there is more economic output available per person.
In a scenario where a country experiences a real GDP growth rate of 1 percent and population growth of 2 percent, the growth rate of real GDP per person would be -1 percent. This means that the real GDP per capita has decreased by 1 percent. This is not a desirable outcome, as it suggests that the country's economic output is not keeping up with its population growth, leading to a decline in the standard of living. This highlights the importance of achieving a real GDP growth rate that is higher than the population growth rate to ensure sustainable economic growth and development.
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suppose the market clearing price is $15 and the price ceiling is $17. the price that prevails in the market will be group of answer choices $15. more than $17. $17. less than $15.
Suppose the market clearing price is $15 and the price ceiling is $17. Then The price that prevails in the market will be $17.
What is the market clearing price? The market clearing price is a situation in which the number of goods and services demanded is equal to the number of goods and services supplied. It is the point where the buyers and sellers agree on a price at which they are willing to trade.
A price ceiling is the highest price that can be legally charged for a good or service. It is used by the government to protect consumers from price gouging by suppliers. This is often done in industries where supply is limited and the demand is high.
The price that prevails in the market will be $17 because the price ceiling is $17. This means that suppliers can't charge more than $17. The market clearing price is $15, which is lower than the price ceiling. Since suppliers can't charge more than $17, they will charge $17, which is the highest price they can charge.
So, the price that prevails in the market will be $17.
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true or false: itunes's pricing model will likely yield more profit if the value that individuals attach to songs varies greatly across songs and across different people
The statement is true. iTunes' pricing model is based on a variable pricing strategy, which means that the value individuals attach to songs varies across songs and different people. This strategy allows iTunes to charge a higher price for popular songs while charging a lower price for less popular ones. By doing so, iTunes can potentially increase their profits as they can capture a larger share of the market for popular songs while still generating some revenue from less popular ones.
In addition, by using price discrimination, iTunes can increase the overall revenue it generates from the sale of songs. This is because price discrimination allows iTunes to sell more songs overall, as it can cater to a wider range of consumers with different preferences and price points. For example, some consumers may be willing to pay $1.29 for a hit song, while others may only be willing to pay $0.99. By setting different prices for the same song, iTunes can capture revenue from both types of consumers, instead of losing the second group entirely. This ultimately increases the revenue generated by iTunes from the sale of songs.
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bioscience inc. will pay a common stock dividend of $3.55 at the end of the year (d1). the required return on common stock (ke) is 20 percent. the firm has a constant growth rate (g) of 10 percent. compute the current price of the stock (p0). (do not round intermediate calculations. round your answer to 2 decimal places.)
The current price of the stock (P0) is $21.17.
To calculate the current price of the stock, we use the formula P0 = D1 / (ke - g). In this equation, D1 is the dividend paid at the end of the year ($3.55), ke is the required return on common stock (20%), and g is the constant growth rate (10%).
Plugging these values into the equation, we get: P0 = $3.55 / (0.2 - 0.1) = $3.55 / 0.1 = $21.17.
Thus, the current price of the stock (P0) is $21.17.
To calculate the current price of a stock, you must use the formula P0 = D1 / (ke - g), where D1 is the dividend paid at the end of the year, ke is the required return on common stock, and g is the constant growth rate. Plugging in the values for D1, ke, and g, and solving the equation, we get the current price of the stock (P0) to be $21.17.
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if lola harper had the following itemized deductions, should she use schedule a or the standard deduction? the standard deduction for her tax situation is $12,550.
Lola Harper should use Schedule A because her itemized deductions of $13,700 are greater than the standard deduction of $12,000.
This means she can claim a larger deduction on her tax return by itemizing her deductions rather than taking the standard deduction.
Lola Harper should use Schedule A because it allows her to deduct specific expenses such as charitable donations, medical and dental expenses, and state income tax. By adding up her itemized deductions, Lola found that the total amount exceeded the standard deduction for her tax situation.
The Calculation for Lola HarperItemized deductions = $6,190 (donations to church and other charities) + $2,680 (medical and dental expenses exceeding 10% of adjusted gross income) + $4,830 (state income tax)Itemized deductions = $13,700.This calculation shows that Lola's itemized deductions exceed the standard deduction of $12,000 for her tax situation, so she would benefit more from itemizing her deductions on Schedule A rather than taking the standard deduction.
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jack and jill entered into a contract with farmer dell to fetch pails of water from his well to the barn. for each pail of water they delivered down the hill and to the barn, they were to be paid $10 per pail. the contract specified that they were to work five days a week for a whole month. during the last week, farmer dell failed to pay jack and jill. the matter went to court, and the court ordered farmer dell to pay jack and jill because the contract was:\
The contract between Jack and Jill and Farmer Dell was breached by the latter by failing to pay Jack and Jill during the last week. Therefore, the court ordered Farmer Dell to pay Jack and Jill because the contract was breached.
What is a contract?
A contract is a legally binding agreement between two or more parties who consent to perform a specific activity. A contract is made when an agreement is made between two or more people who want to exchange promises. A contract may be spoken or written, but written agreements are easier to enforce than verbal ones.What is a breach of contract?If one of the parties fails to perform its duties or obligations as specified in the contract, it is called a breach of contract. A breach of contract happens when one of the parties fails to perform their obligations specified in the contract. In this scenario, Farmer Dell breached the contract by failing to pay Jack and Jill during the last week.
What is the remedy for a breach of contract?
In the event of a breach of contract, the party affected by the breach has the right to seek redress in court. The court may order specific performance of the contract, damages, or both. Specific performance is a legal remedy where the court orders the breaching party to fulfil the duties or obligations specified in the contract. In this case, the court ordered Farmer Dell to pay Jack and Jill because he breached the contract by failing to pay them during the last week. Therefore, the court ordered specific performance of the contract.
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when re-assessing the risk of xyz stock in relation to the market index, you find that the ratio of the systematic variance to the total variance has fallen. you must also find that the .
When re-assessing the risk of XYZ stock in relation to the market index, if you find that the ratio of the systematic variance to the total variance has fallen, then you must also find that the unsystematic variance has increased.
Systematic variance is part of a stock's total variance related to the overall market movement or frequent risk factors. On the other hand, unsystematic variance is part of the total variance that is specific to the individual stock and is unrelated to the overall market movement or systematic risk factors.
When the ratio of the systematic variance to the total variance falls, it means that the proportion of the total variance that is attributable to systematic risk has decreased, while the proportion of the total variance that is attributable to unsystematic risk has increased. This suggests that the specific risk associated with the individual stock has increased, which may be due to company-specific factors or events that are not related to the overall market movement.
In summary, if the ratio of the systematic variance to the total variance falls, it indicates an increase in unsystematic risk, which suggests that the specific risk associated with the individual stock has increased.
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When re-assessing the risk of XYZ stock in relation to the market index, you find that the ratio of the systematic variance to the total variance has fallen. you must also find that the _________
multiple choice question one difference between products and services is demonstrated by a visit to a doctor's office, where the doctor delivers the service at the same time the customer receives it. this refers to what feature of services?
The feature of services referred to in the question is that services are often intangible and occur simultaneously with the customer's receipt of them.
Services, such as a visit to the doctor's office, happen at the same time the customer receives them, meaning they cannot be stored or saved for later. This is not the case with products, which can often be purchased, stored, and saved for later.
Additionally, services are typically personalized and often cannot be standardized. They are tailored to the customer's individual needs and circumstances. Therefore, products and services differ in that services are often intangible and occur simultaneously with the customer's receipt of them.
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you are bearish on telecom and decide to sell short 270 shares at the current market price of $100 per share. a. how much in cash or securities must you put into your brokerage account if the broker's initial margin requirement is 50% of the value of the short position? (round your answer to the nearest whole dollar.)
If the broker's initial margin requirement is 50%, you would need to put up 50% of the value of the short position as cash or securities in your brokerage account. This come to $13,500.
What is broker's initial margin requirement?Broker's initial margin requirement is the minimum amount of equity that an investor must have in their brokerage account to enter into a particular type of transaction, such as a short sale.
Thus, if the broker's initial margin requirement is 50%, you would need to put up 50% of the value of the short position as cash or securities in your brokerage account.
The value of the short position is:
270 shares x $100 per share = $27,000
So, you would need to put up:
50% x $27,000 = $13,500
Rounded to the nearest whole dollar, you would need to put up $13,500 in cash or securities in your brokerage account.
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Benny's Repair Shop started the year with total assets of $100,000 and total liabilities of $80,000. During the year the business recorded $210,000 in revenues, $110,000 in expenses, and dividends of $20,000 Stockholders' equity at the end of the year was: A. $80,000 B. $90,000 C. $100,000 D. $120,000
The answer is option C, $100,000.
The stockholders' equity at the beginning of the year was:
Stockholders' equity = Total assets - Total liabilities
Stockholders' equity = $100,000 - $80,000
Stockholders' equity = $20,000
During the year, the business recorded net income as:
Net income = Revenues - Expenses
Net income = $210,000 - $110,000
Net income = $100,000
Dividends paid during the year were $20,000.
So, the stockholders' equity at the end of the year is:
Stockholders' equity = Stockholders' equity at the beginning of the year + Net income - Dividends
Stockholders' equity = $20,000 + $100,000 - $20,000
Stockholders' equity = $100,000
Therefore, the answer is option C, $100,000.
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staffing, appraising, compensation, and training and development are types of multiple choice organizational structures. human resource practices. market cultures.
The given options - staffing, appraising, compensation, and training and development - are types of organizational structures.
Human resource practices include staffing, appraising, compensation, and training and development. Hence, the correct option is A - organizational structures.
Staffing: Staffing is the practice of filling positions within the organization.
Appraising: Appraising is the practice of evaluating the performance of employees in the organization.
Compensation: Compensation is the practice of providing salaries, benefits, and incentives to employees for their services.
Training and development: Training and development are the practices of educating and developing employees to improve their performance, knowledge, and skills.
Hence, these four practices are fundamental aspects of Human Resource practices.
Human resource management (HRM) is the management of human resources. It is designed to maximize employee performance in service to an employer's strategic objectives.
The overall function of Human Resources is to ensure that an organization's human capital is effectively used and developed. Human Resource practices cover all aspects of the employer-employee relationship including recruiting, hiring, training, development, compensation, benefits, and workplace policies.
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the cost allocation method most widely used because of its accuracy and ability to provide a detailed level of analysis is:
The cost allocation method most widely used because of its accuracy and ability to provide a detailed level of analysis is activity-based costing (ABC).
ABC is a cost accounting method that helps identify activities that cause costs and then assigns those costs to products or services.
ABC helps companies allocate resources more effectively by taking into account all activities that contribute to a product's or service's cost. ABC also helps identify cost drivers, or activities that consume the most resources, and make more accurate decisions about pricing and investments.
With ABC, companies can better understand the true cost of their products or services and make more informed decisions about their investments and production processes.
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delta diamonds had 5 one-carat diamonds available for sale this year: 1 purchased june 1 for $500, 2 purchased july 9 for $550 each, and 2 purchased september 23 for $600 each. on december 24, it sold one of the diamonds that was purchased on july 9. using a periodic specific identification, its inventory after the december 24 sale is . multiple choice question. $1,650 $2,250 $2,240 $2,300 $550 $2,200
Delta Diamonds had five one-carat diamonds available for sale this year: one purchased on June 1 for $500, two purchased on July 9 for $550 each, and two purchased on September 23 for $600 each.
On December 24, it sold one of the diamonds purchased on July 9. Using a periodic specific identification, its inventory after the December 24 sale is $2,250.
The periodic specific identification method is a method of inventory valuation in which the cost of each item sold and each item remaining in inventory is physically tracked and recorded. In this scenario, the company bought five one-carat diamonds throughout the year, with the following specifics:
One diamond was purchased on June 1st for $500.
Two diamonds were purchased on July 9th for $550 each.
Two diamonds were purchased on September 23rd for $600 each.
So, the total amount spent on buying five one-carat diamonds is:
= $500 + ($550 × 2) + ($600 × 2)
= $2,400.
On December 24th, the company sold one of the two diamonds purchased on July 9th.
Hence, the cost of goods sold (COGS) for that item is: $550.
The cost of inventory remaining after the sale is:
Total cost of five diamonds = $2,400 - COGS of the sold diamond
= $2,400 - $550
= $1,850.
However, there are still four diamonds in the inventory, one from June 1st and two each from July 9th and September 23rd. The total cost of inventory with respect to these four items is:
=$500 + ($550 × 1) + ($600 × 2)
= $2,250.
Therefore, using the periodic specific identification method, the inventory after the December 24 sale is $2,250. Answer: $2,250.
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the break-even point is the sales level at which a company: (check all that apply.) multiple select question. has a profit equal to fixed costs. contribution margin equals fixed costs. incurs a loss. contribution margin equals variable costs. has income of $0.
The sales level at which a corporation is profitable is known as the break-even point. has a profit that is equal to its fixed expenses.
Fixed costs are equivalent to the contribution margin. has no money to her name. Therefore, choices (A), (B), and (D) are correct.
The break-even point (BEP) or break-even level denotes the volume of sales necessary to cover all expenses, which include both fixed and variable costs to the business, in either unit (quantity) or revenue (sales) terms.
At the break-even threshold, there is no overall profit. A corporation can only surpass the break-even point if revenues are more expensive than variable costs per unit.
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which of these market structures is characterized by a large number of firms, each selling a slightly differentiated product?
The market structure that is characterized by a large number of firms, each selling a slightly differentiated product is called a monopolistic competition.
A monopolistic competition is a market structure in which there is a large number of firms and businesses that produce and sell goods and services that are slightly different from each other. This difference in the goods and services might be in terms of quality, design, packaging, etc. Such market structures allow businesses to be independent, and therefore they do not have to engage in price wars.The monopolistic competition is a type of imperfect competition. This type of competition can lead to competition of advertising instead of the competition of prices. In monopolistic competition, the businesses have the freedom to enter and exit the market at will. The main characteristics of monopolistic competition are that it has a large number of firms that are independent of each other, they sell similar but differentiated products, and there is free entry and exit into the market. Additionally, the goods and services in this type of competition are substitutes, meaning that they serve the same function but can have different characteristics.
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a cash flow statement places each source or use of cash into one of three broad categories: operating activities, investing activities, or financing activities. true false
The statement "A cash flow statement places each source or use of cash into one of three broad categories: operating activities, investing activities, or financing activities" is true because a cash flow statement is a financial statement that displays all cash inflows and outflows from a company's operations in a given period.
What is a Cash Flow Statement?A cash flow statement is a financial statement that displays all cash inflows and outflows from a company's operations in a given period. This statement can be used to assess the overall financial position of a company.
What are the three broad categories?The three broad categories into which cash inflows and outflows are divided are as follows:
Operating activities are those that relate to the core operations of the company.
Investing activities are those that relate to the acquisition and sale of long-term assets, such as property, plant, and equipment, as well as investments in securities.
Financing activities are those that relate to the raising and repayment of capital.
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an automobile worker loss his job because his factory moved to mexico. what could you say in an effort to convince him that this move might be good for the u.s.?
The ways that I would have to convince him that the move is good for US is that : it would give the US ability to work in a place with cheaper labor. Also the limited regulations and taxes may be beneficial as well as more resources that are lacking in US
How the move would be good for US?Moving the factory to Mexico may allow for lower production costs, which could ultimately result in cheaper prices for American consumers. This could potentially stimulate more demand for automobiles, leading to job growth in related industries.
Globalization has led to increased trade and investment opportunities, which can benefit both the U.S. and Mexico in the long run. By engaging in trade with Mexico, the U.S. can gain access to cheaper goods and services, as well as a larger market for U.S. exports.
The decision to move the factory to Mexico may have been influenced by factors beyond the control of the company or government, such as changing market conditions or regulations. In this case, it may be more productive to focus on supporting the worker through job training and other forms of assistance, rather than trying to reverse the factory's move.
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which of the following is not a flow typically found in a supply chain? group of answer choices physical information monetary risk
Monetary risk is not a typical flow in a supply chain. The three main flows in a supply chain are physical, information, and financial.
The three main flows typically found in a supply chain are:
Physical flow: the movement of goods and materials from suppliers to manufacturers to distributors and finally to customers.
Information flow: the sharing of information among the various parties in the supply chain to ensure that everyone has the information they need to make informed decisions.
Financial flow: the transfer of payments from customers to suppliers, and from suppliers to manufacturers and distributors, to ensure that everyone is paid for their goods and services.
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if you are relatively wealthy, should you buy insurance against (a) large losses, and/or (b) small losses? why?
If a person is relatively wealthy, it is important to consider whether he or she should purchase insurance against large or small losses. In general, the purpose of insurance is to help cover unexpected costs and reduce financial risk.
However, when a person has sufficient financial resources, the cost of insurance premiums may not be worth it to cover minor losses.
In the case of major losses, such as a serious automobile accident or costly illness, insurance may be essential to protect a person's savings and avoid financial ruin. On the other hand, when dealing with small losses, such as a stolen bicycle or broken window, it may not be necessary to purchase insurance.Ultimately, the decision to purchase insurance should be based on an assessment of the financial risks and an individual's ability to assume those risks. While it may be tempting to purchase insurance to cover all possible eventualities, it is important to weigh the costs and benefits of coverage against available financial resources.
In short, if a person is relatively wealthy, it may not be necessary to purchase insurance to cover minor losses. However, it is important to consider protection against large losses that could have a significant impact on long-term financial stability.
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