The correct alternatives are (a) and (c). a Value-Added Process Delivery (VAPD) model can potentially deliver it more efficiently and VAPD model always involves the practice of intuitive medicine. VAPD focuses on delivering value through efficient processes and can adapt to different treatment approaches.
(a) Option (a) is correct because when a treatment is not based on a hypothesis, a Value-Added Process Delivery (VAPD) model can potentially deliver it more efficiently. VAPD focuses on delivering value through efficient processes and can adapt to different treatment approaches. (b) Option (b) is incorrect because it states that a VAPD model always involves the practice of intuitive medicine. However, the use of intuition may vary depending on the specific processes and approaches adopted by the VAPD model. (c) Option (c) is correct because a Solution Shop in health care delivery can charge a fee for service even if it relies on evidence from clinical tests to diagnose and treat afflictions. The fee is based on the services provided, which can include the use of clinical tests as part of the diagnostic and treatment process. (d) Option (d) is incorrect because a Facilitated Network can support a revenue model. While the primary focus of a Facilitated Network is to facilitate the exchange of services or products between members, it can generate revenue through various means, such as membership fees, transaction fees, or commissions on transactions facilitated through the network.
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What is the principal of a loan repayment?
When someone borrows money, the lender typically charges interest on the principle, which is the amount owed on the loan. The principle may also be reduced through payments made by the brrower.
Each payment typically includes both interest and a portion of the principle, with more of the payment going towards the interest at the beginning of the loan and more going towards the principle as the loan is paid down.
The principle of a loan repayment is important because it affects the amount of interest charged on the loan, the length of the repayment period, and the total amount of money that the borrower will pay over the life of the loan.
Typically, loans with higher principles will have higher monthly payments and longer repayment periods, while loans with lower principles will have lower payments and shorter repayment periods.
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HELPP! In 2011 the United States economy had a GDP of $14,991 billion according to the United Nations. If consumption was $10,729 billion, government spending was $2,594 billion, and net exports was -$568 billion, how much was investment spending?
The total amount of the investment spending is $2,236 billion.
What is an investment spending?An investment spending means the private domestic investment or capital expenditures.
The formula for Investment spending is I = GDP − C − G − NX.
Investment spending = $14,991 billion - $10,729 billion - $2,594 billion - (-$568 billion)
Investment spending = $14,991 billion - $10,729 billion - $2,594 billion + $568 billion
Investment spending = $2,236 billion.
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What is Adam Smith's perspective on taxation?
Taxes are the main source of income for utmost governments. Smith argued that taxes should be proportionate with the benefits a person derives from life in society.
Adam Smith argued that taxation should follow four principles fairness, certainty, convenience, and effectiveness. The fairness of this taxation must be harmonious with the situation of taxpayers, including their capability to pay according to their particular and family requirements.
A tax is a obligatory fiscal charge or other type of tax assessed on a taxpayer by a governmental association to fund government and colorful public expenditures, and duty compliance refers to individual programs and actions to insure taxpayers get the right duty Pay duty at the right time and give applicable duty credits and relief.
Smith argued that levies should correspond to the benefits that a person derives from his or her life in society. Income situations and sources of income similar as rent, benefits and hires should be proportional.
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merchandise inventory is reported as a(n) a.expense. b.current liability. c.current asset. -term asset.
Merchandise inventory is reported as a current asset on the balance sheet. Inventory represents the goods and materials a company holds in stock for sale to customers Therefore the correct option is C.
It is considered a current asset because it is generally expected to be converted into cash within one year or less. This asset is essential for businesses that rely on physical products to generate revenues. In addition, the value of merchandise inventory can fluctuate based on market demand and other economic factors.
Therefore, effective inventory management is crucial to ensure that a company maintains enough inventory to meet customer demand while minimizing the risk of holding excess inventory that may become obsolete or unsellable. In conclusion, merchandise inventory is a valuable current asset for businesses, and proper inventory management is a critical part of financial planning and management.
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A perfectly competitive industry achieves allocative efficiency when:.
A perfectly competitive industry achieves allocative efficiency when the price of the good or service equals the marginal cost of production.
This is because in a perfectly competitive market, firms have no market power and must take the market price as given. As a result, they will produce at the point where marginal cost equals price, ensuring that resources are allocated efficiently and no one is willing to pay more than the cost of producing the good. Allocative efficiency ensures that the economy is producing the right mix of goods and services to maximize consumer welfare. In a perfectly competitive market, there is no deadweight loss, meaning that all gains from trade are captured by buyers and sellers. However, in the real world, markets are rarely perfectly competitive, and therefore, may not always achieve allocative efficiency.
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Bond Premium, Entries For Bonds Payable Transactions, Interest Method Of Amortizing Bond Premium Rodgers Corporation
Bond Premium: It's the difference between the face value of the bond and the amount at which it's sold. When bonds are sold at a price that's more than their face value, the bond premium happens.
Entries for Bonds Payable Transactions:When a corporation issues bonds to the public, they receive cash and create a bond payable account in their books. Interest payments are made on the bond, which is shown as an expense in the corporation's books. When the bonds are due, the company returns the principal amount and records a bond payable account's reduction. To illustrate these bonds payable transactions in the corporation's ledger, entries must be made. There are two methods for amortizing the bond premium, the straight-line and the interest method.
Rodgers Corporation:Rodgers Corporation issued $1,000,000 of 10%, 10-year bonds on January 1, 2018, at a price of $1,080,000. Interest on these bonds is due each year on December 31. The bond premium is amortized using the interest method.Rodgers Corporation will record the bond premium as an addition to Bonds Payable. On January 1, 2018, the journal entry to record this transaction will be:DebitCash= $1,080,000CreditBonds Payable = $1,000,000CreditBond Premium = $80,000 ($1,080,000 - $1,000,000)The bond premium amortization is then calculated using the effective interest method.
Here is the table for the bond amortization schedule for Rodgers Corporation:Table 1: Bond Amortization Schedule for Rodgers Corporation InterestMethodOn December 31, 2018, Rodgers Corporation will make an adjusting entry to record the bond interest payment and amortization of the bond premium. The journal entry is:DebitInterest Expense = $108,161 ($1,080,000 x 10% x 12/12)CreditCash = $100,000 (face value of bond)CreditBond Premium = $8,161 ($108,161 - $100,000)Therefore, the total amount of bond premium amortized for the first year is $8,161. In the second year, the unamortized bond premium is $71,277 ($80,000 - $8,161). The interest expense will be $107,448 ($1,071,277 x 10% x 12/12), and the bond premium amortization will be $1,713 ($107,448 - $100,000). In the last year, the bond premium amortization will be $8,161 (equal to the initial amortization), and the unamortized bond premium will be $0.
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In your own words, explain Supply and Demand. In Assignment 1: Scarcity and Choice you are given an example of the supply and demand of PlayStation 2. Think about your life and then provide one example of your own of Supply and Demand.
RESPOND IN 5 SENTENCES !
Supply and demand is the fundamental concept of economics that explains how prices are determined in a market economy. The law of supply and demand states that the price of a good or service is determined by the intersection of the quantity supplied and the quantity demanded. When the quantity supplied is greater than the quantity demanded, the price will decrease, and when the quantity supplied is less than the quantity demanded, the price will increase. In my own example, during the holiday season, the demand for certain gifts such as toys, electronics, and clothing increases, while the supply remains the same, therefore prices tend to increase, and you can find some goods out of stock. Another example can be during a pandemic where the demand for masks and hand sanitizers increases while the supply is limited, prices tend to increase.
(Figure: Profit Margin 3) JoJo's company data is in the graph below. JoJo would earn a profit: Price or cost $12 Marginal cost $11 $10 $9 $8 $7 $6 ...
The price of $12 per unit would result in the largest profit margin for JoJo's business.
The profit margin is calculated by subtracting the marginal cost from the price. When the price is set at $12, the profit margin would be $1 per unit ($12 - $11). This is higher than the profit margin at any other price point. As the price decreases, the profit margin also decreases, until it becomes negative at a price of $6.
1. JoJo would make a profit at a price of $12 since the price is more than the marginal cost.
2. At a price of $11, JoJo would break even, as the price is equal to the marginal cost.
3. At prices below $11 ($10, $9, $8, $7, $6), JoJo would not earn a profit because the price is lower than the marginal cost.
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The repair service that fixes your farming equipment doesn’t seem to fix your plow correctly. The technician says that if you are not happy, you can buy a new plow from him, but the cost is extremely high. Do you have other options available to you for higher-quality repairs or cheaper equipment? Explain your answer.
Answer:
Your best option would be for higher quality repairs and higher quality equipment, this would save you more money and time in the long run where you have the ability to do other things.
Explanation:
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Answer:
No, because in command economies, there is no competition. So, there are no other repair services that would offer higher-quality repairs or cheaper equipment. Additionally, no incentive exists for the technician to provide high-quality service.
Explanation:
the actual answer
if the supply of loanable funds shifts right, then
If the supply of loanable funds shifts right, it indicates that there is an increase in the availability of funds that lenders are willing to lend at various interest rates. This shift can be caused by factors such as increased savings, decreased investment opportunities, or a decrease in the demand for loans.
The impact of a rightward shift in the supply of loanable funds is as follows:
Decrease in interest rates: With more funds available for lending, lenders may be willing to offer loans at lower interest rates to attract borrowers. This can lead to a decrease in the cost of borrowing.
Increase in quantity of loans: As the supply of loanable funds increases, borrowers have access to a larger pool of funds. This can result in an increase in the quantity of loans demanded and supplied in the market.
Potential increase in investment: Lower interest rates and increased availability of funds can incentivize businesses and individuals to undertake more investment projects. This can stimulate economic growth and expansion.
Impact on equilibrium: The rightward shift in the supply of loanable funds can lead to a new equilibrium where the quantity of loans demanded and supplied is higher, and the interest rate is lower compared to the previous equilibrium.
It's important to note that the specific effects may vary depending on other factors influencing the loanable funds market, such as changes in the demand for loans or overall economic conditions.
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If the supply of loanable funds shifts right, then what does it indicate?
Find the center of mass of the tetrahedron bounded by the planes x=0,y=0,z=0,x+3y+2z= 6;rho(x,y,z)=z. 7b. Sketch the region of integration for the integral
The center of mass of the given tetrahedron is located at the point (1, 1, 1) in Cartesian coordinates.
To find the center of mass of a solid, we need to calculate the average position of all the infinitesimal mass elements that make up the solid. In this case, we can use the concept of triple integration to find the coordinates of the center of mass.
The region of integration for the integral can be visualized by sketching the tetrahedron bounded by the given planes. The planes x=0, y=0, and z=0 represent the coordinate axes, while the plane x+3y+2z=6 intersects the coordinate axes at points (6, 0, 0), (0, 2, 0), and (0, 0, 3), respectively. These points define the vertices of the tetrahedron.
To find the center of mass, we need to calculate the average values of x, y, and z by integrating the function ρ(x, y, z) = z over the tetrahedron and dividing by the total mass. By performing the necessary calculations, we find that the center of mass is located at the point (1, 1, 1) in Cartesian coordinates.
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You decided to take advantage of the Black Friday deals and buy kitchen cabinets at Home Depot. You will be paying for the cabinets with a Home Depot consumer loan in the amount $6,330. To pay off the loan you will be required to make monthly payments for 6 years. The loan interest rate is 7 percent per year. Calculate the amount of each payment.
multiple choice
a. $107.92
b. $70.22
c. $100.01
d. $71.00
e. $101.73
The amount of each payment is $100.01. The correct answer choice is C.
To calculate the amount of each payment, we can use the formula for the present value of an annuity. In this case, the present value is the loan amount, and the annuity is the series of payments to be made over six years.
Using the formula, we can find the monthly payment as:
PMT = PV * (r / (1 - (1 + r)^-n))
Where PV is the present value of the loan, r is the interest rate per period, and n is the number of periods. In this case, we need to convert the annual interest rate to a monthly rate and the number of years to the number of months.
PV = $6,330 r = 7% / 12 = 0.00583 n = 6 * 12 = 72
PMT = $6,330 * (0.00583 / (1 - (1 + 0.00583)^-72)) = $100.01
Therefore, the amount of each payment is $100.01. The correct answer choice is C.
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What source documents can be issued by Thandi to her customers name three types of documents
These source documents serve as evidence of the exchange between Thandi and her customers and are essential for record-keeping and financial reporting.
Sales invoices: Sales invoices are one of the most common source documents issued by Thandi to her customers. These documents include details such as the customer's name, date of sale, description of goods or services sold, unit price, total price, and any applicable taxes. Sales invoices are important because they provide customers with a detailed breakdown of what they purchased and how much they paid.
Receipts: Receipts are another type of source document that Thandi can issue to her customers. These documents serve as proof of payment and include details such as the date of the sale, the amount paid, and the method of payment. Receipts are particularly useful for customers who need to track their expenses and for Thandi's records as well.
Credit notes: If Thandi needs to issue a refund or credit to her customer, she can issue a credit note. These documents include details such as the customer's name, date of the sale, the original amount paid, and the amount being credited back. Credit notes are essential for record-keeping purposes and ensure that both Thandi and her customer have an accurate record of the transaction.
In conclusion, the source documents that Thandi can issue to her customers include sales invoices, receipts, and credit notes. These documents are essential for record-keeping, financial reporting, and serve as evidence of the transactions made between Thandi and her customers.
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(a) Explain the link between efficiency and wages using an appropriate model in the context of developing countries. With the help of diagrams, explain how involuntary unemployment may arise in this context and outline the equilibrium outcomes in this model. Critically evaluate the pros and cons of this model. (b) Labour markets in developing countries are often highly segmented and exhibit high levels of involuntary unemployment. Critically discuss the implications of labour market segmentation in developing countries and provide examples of policy implications. (c) Osmani (1990) proposes a theoretical model for the process of wage determination as an act of implicit cooperation amongst workers. Select any two assumptions of this model to critically discuss and assess this model's relevance to explain the features of a typical South Asian rural labour market.
a) Link between efficiency and wages:Efficiency is the output level achieved from inputs, labor being one of the inputs. The better the efficiency of the labor, the higher the wages it receives. The production function for labor is y = f (k, h), where k denotes the capital stock per worker, h denotes the hours worked per worker, and y denotes output per worker. The wage for labor is determined by the demand and supply forces in the labor market.Involuntary unemployment arises when the wages are above the equilibrium level. This situation can be explained by using a Keynesian cross diagram.
The wage rate is on the y-axis, and the labor supply and demand are on the x-axis. The intersection of labor demand and supply curves determines the equilibrium wage rate, W* (Q* is the equilibrium quantity of labor).If the wage rate is above the equilibrium level, the quantity of labor supplied will exceed the quantity of labor demanded, resulting in involuntary unemployment. The pros of this model include the provision of a framework for analyzing the labor market. The cons of this model are its assumptions, which do not reflect the real world. In addition, it does not consider the role of institutions in labor market outcomes.
b) Implications of labor market segmentation: Labor market segmentation has significant implications for developing countries, which are characterized by low productivity, poor working conditions, and low wages. In such markets, segmentation arises due to differences in skill levels, geographic location, gender, and social status. The implication of labor market segmentation is the presence of involuntary unemployment, low wages, and limited employment opportunities.
The policy implications of labor market segmentation are that policymakers need to create incentives to eliminate the barriers to entry into the labor market. They also need to promote education and training programs to enhance the skills of workers and to provide equal access to employment opportunities.
c) Osmani's model of wage determination: Osmani proposes a theoretical model for the process of wage determination as an act of implicit cooperation amongst workers. The model is based on the assumption that there is no competition among workers and that workers coordinate their wage-setting behavior. The two assumptions of this model are the implicit cooperation among workers and the absence of competition among workers.
These assumptions are not realistic, as workers do compete with each other for jobs, and cooperation among workers is not always guaranteed. In addition, the model does not account for the role of employers in wage-setting. Therefore, this model is not relevant to explaining the features of a typical South Asian rural labor market.
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The product life cycle refers to the stages a product moves through from the time it enters the market until the time
It's the stage by which a product move through from the time it enters the market until the time it is cleared. My own definition states that it's the length of time by which a product is introduced to consumers in the market until it has been removed
Mary was shopping in a clothing store. She had $100 to spend. She found three items she liked: $99 for a pair of shoes, $98 for a jacket, and $96 for a dress. After over an hour of shopping, she decided to buy the jacket for $98. What was her opportunity cost?
Answer:
She have two opportunity cost: 1. Shoes
2. Dress
With the return back money of $2
Opportunity cost is the return of a foregone option less than the return on your chosen option.
An S corporation does not recognize a loss when distributing assets that are worth less than their basis. a) True b) False.
b) False. An S corporation does recognize a loss when distributing assets that are worth less than their basis.
When an S corporation distributes assets with a fair market value lower than their adjusted basis, it results in a loss for the corporation. This loss can be recognized and used to offset other income or gains of the S corporation, reducing its taxable income. It is important to note that shareholders of the S corporation may have limitations on deducting the loss on their personal tax returns. Loss refers to a financial outcome where the expenses or costs incurred by an individual, business, or entity exceed the revenue or income generated. It represents a negative result in terms of financial performance. Losses can occur in various contexts, such as in business operations, investments, or personal finances. In business, losses can result from factors such as low sales, high expenses, inefficient operations, or unfavorable market conditions. They can impact profitability and financial stability, and businesses often aim to minimize or mitigate losses through strategic planning, cost control, and risk management.
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business center inc. and catering llc have an executory contract. they agree to rescind it and simultaneously enter into a new contract. if the previous contract was subject to a preexisting duty, the new contract will most likely be
The new contract entered into by Business Center Inc. and Catering LLC, after rescinding the previous executory contract that was subject to a preexisting duty, will most likely be invalid (D).
This is because the rescission of the previous contract would discharge both parties from any further obligation under the initial agreement, including any preexisting duty owed by either party.
Therefore, any new contract entered into by the parties must be supported by new consideration or a new promise, rather than simply fulfilling an existing obligation, in order to be valid and enforceable.
Without such new consideration or promise, the new contract would lack the necessary elements of a valid contract and be deemed invalid. Thus, Option D is correct.
The complete question:
Business Center Inc. and Catering LLC have an executory contract. They agree to rescind it and simultaneously enter into a new contract. If the previous contract was subject to a preexisting duty, the new contract will most likely be
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carter, a brand new licensee, asks if he can say you're assisting him through a property management deal, even though neither of you have experience. he assures you that he knows a ton about these transactions since he's invested in rental properties for years, and just needs a paper trail since he is newly licensed. what should you do?
If you are faced with a situation where someone is asking you to participate in a transaction or business transaction by misrepresenting your involvement or experience, it is important to consider the ethical considerations and potential legal implications.
Misrepresenting your involvement or experience may be considered unethical. It is important to maintain honesty and integrity in our professional activities.
Providing false information or misrepresenting your interests and participating in a transaction or business transaction may subject you to legal action. Licensing requirements and regulations exist to ensure that persons engaged in property management activities have the necessary qualifications and expertise.
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the least likely risk of a venture capital investment is: a. liquidity risk. b. funding risk. c. regulatory risk. d. startup risk.
The least likely risk of a venture capital investment is liquidity risk. Liquidity risk refers to the possibility of not being able to convert an investment into cash when needed. The correct option is a.
In the context of venture capital, liquidity risk is not a major concern since venture capitalists invest in startups with the expectation that they will not see a return on their investment for several years. This means that they are willing to tie up their capital in the hopes of a significant return in the long run.
On the other hand, funding risk, regulatory risk, and startup risk are all major risks associated with venture capital investments. Funding risk refers to the possibility of not being able to raise the necessary capital to execute the business plan. Regulatory risk refers to the possibility of changes in laws or regulations that could negatively impact the business. Startup risk refers to the possibility of failure due to factors such as lack of experience, competition, or unforeseen market conditions.
In summary, while all risks associated with venture capital investments are important to consider, liquidity risk is the least likely to be a major concern for venture capitalists.
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which of the following orients consumers toward avoiding negative consequences?
The option that orients consumers toward avoiding negative consequences is: Risk aversion.
Risk aversion refers to the tendency of individuals to prefer avoiding risks and potential losses rather than pursuing potential gains. It is a mindset that focuses on minimizing negative outcomes or consequences.
When consumers are risk-averse, they are more likely to make decisions that prioritize the avoidance of negative consequences or losses over potential benefits or gains.
This behavior can manifest in various aspects of consumer decision-making, such as purchasing insurance, choosing safer products, or being more cautious in financial investments.
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The complete question is:
Which of the following approaches orients consumers toward avoiding negative consequences in their decision-making process?
Which positive entrepreneurial trait does Chris possess?
Type the correct answer in the box. Spell all words correctly.
Chris runs a small business. She always seems to come up with original and effective new ideas for product designs and generates fresh ideas that satisfy the needs of consumers. As an entrepreneur, Chris is highly __________.
Answer:
Innovative
Explanation:
To innovate is to develop a new and improved way of doing things. Innovators are people who create new products and services that provide a higher level of satisfaction to customers. Innovation includes developing a brand new product or service and also upgrading or improving existing ones.
Chris has the traits of an innovative entrepreneur. He comes up with products and services that appeal to customers. Chris has the skills to redesign products and services in a way that keeps his customers happy and satisfied.
Answer:
Chris has the traits of an innovative entrepreneur. He comes up with products and services that appeal to customers. Chris has the skills to redesign products and services in a way that keeps his customers happy and satisfied.
Explanation:
An
employer can successfully defend a spiritual discrimination claim
by showing that an accommodation request is unreasonable and would
cause inconvenience to the employer. Disccuss pros and
cons.
20
Allowing an employer to successfully defend a spiritual discrimination claim by demonstrating that an accommodation request is unreasonable and would cause inconvenience has pros and cons.
Pros:
1. Flexibility for employers: Assessing the reasonableness of an accommodation request acknowledges the need for flexibility in managing the workforce, particularly in situations where accommodating every request may not be feasible or practical.
2. Balancing employer's needs: Considering potential inconveniences to the employer enables a balanced approach that takes into account the operational requirements and limitations of the business.
Cons:
1. Risk of discrimination: This approach could potentially undermine the protection of employees' religious rights by giving employers significant discretion to deny accommodations, leading to potential discrimination against employees with sincerely held religious beliefs.
2. Subjectivity and potential bias: Determining what is considered "reasonable" or "inconvenient" can be subjective, leading to inconsistencies in decision-making and potential bias against certain religious beliefs.
It is essential to strike a balance between protecting employees' religious freedom and considering the operational realities faced by employers. Clear guidelines and legal safeguards should be in place to prevent discrimination while addressing legitimate business concerns.
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If Restaurant A chooses to use the economic order quantity when placing an order for tomatoes, what are its ordering and holding costs per year expressed as a percentage of the annual purchasing cost?
Restaurant A's ordering cost per year is approximately 0.17% of the annual purchasing cost, and its holding cost per year is approximately 4.71% of the annual purchasing cost.
To calculate the ordering and holding costs per year as a percentage of the annual purchasing cost, we'll need to use the provided information and the economic order quantity (EOQ) formula.
Given:
- Monthly demand (D) = 60 bags
- Cost per bag (C) = $80
- Ordering cost (S) = $20
- Holding cost percentage (H) = 40%
First, let's calculate the annual demand (D) by multiplying the monthly demand by 12:
Annual demand (D) = Monthly demand * 12 = 60 bags * 12 = 720 bags
Next, we can calculate the EOQ using the EOQ formula:
EOQ = sqrt((2 * D * S) / H)
EOQ = sqrt((2 * 720 * 20) / 40) = sqrt(28,800) ≈ 169.71
To calculate the ordering cost per year, we need to determine the number of orders placed per year by dividing the annual demand by the EOQ:
Number of orders = Annual demand / EOQ = 720 bags / 169.71 ≈ 4.24 (rounded up to 5)
Ordering cost per year = Number of orders * Ordering cost = 5 * $20 = $100
The average inventory level can be calculated as half of the EOQ:
Average inventory level = EOQ / 2 = 169.71 / 2 ≈ 84.85
To calculate the holding cost per year, we multiply the average inventory level by the holding cost per unit:
Holding cost per year = Average inventory level * C * H%
= 84.85 * $80 * 0.4
= $2,713.60
The annual purchasing cost can be calculated by multiplying the cost per bag by the annual demand:
Annual purchasing cost = C * Annual demand = $80 * 720 bags = $57,600
Finally, we can express the ordering and holding costs as a percentage of the annual purchasing cost:
Ordering cost percentage = (Ordering cost per year / Annual purchasing cost) * 100
Holding cost percentage = (Holding cost per year / Annual purchasing cost) * 100
Ordering cost percentage = ($100 / $57,600) * 100 ≈ 0.17%
Holding cost percentage = ($2,713.60 / $57,600) * 100 ≈ 4.71%
Therefore, Restaurant A's ordering cost per year expressed as a percentage of the annual purchasing cost is approximately 0.17%, and its holding cost per year expressed as a percentage of the annual purchasing cost is approximately 4.71%.
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Complete Question:
Restaurant A uses 60 bags of tomatoes each month. The tomatoes are purchased from a supplier for a price of $80 per bag and an ordering cost of $20 per order. Restaurant A’s annual inventory holding cost percentage is 40%. If Restaurant A chooses to use the economic order quantity when placing an order for tomatoes, what are its ordering and holding costs per year expressed as a percentage of the annual purchasing cost?
True or false: the balance sheet will directly measure the company's market value.
The given statement " The balance sheet will directly measure the company's market value." is false because the balance sheet is a financial statement that provides a snapshot of a company's assets, liabilities, and shareholders' equity at a specific point in time.
It does not directly measure the market value of a company. The balance sheet shows the historical costs of the company's assets, which may not reflect their current market values. Market value is determined by factors such as supply and demand, investor sentiment, and future growth prospects.
To estimate a company's market value, investors often use methods such as market capitalization, which takes into account the current share price and the number of shares outstanding. Therefore, while the balance sheet provides important financial information, it does not directly measure a company's market value.
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Do you think large multinational corporations in general like Wal-Mart, Apple, McDonalds and Frito Lay are good or bad for the world? Is "globalization" another word for “Americanization”? Why or why not? (3 points) Explain using complete sentences.
Answer:
I think multinational corporations in like these are bad. Because even people on diets or trying to diet, and people buy it for them not knowing its hard for them to say no.
Explanation:
Honda's new electric unicycle is very unique. It is steered by the rider leaning, computer stabilized through control of its single crabbing wheel (it can move sideways). It has a range of about 3 miles at 3 miles per hour. It takes on hour to recharge. It only weighs 25 pounds, so it can be carried. The cost would be about $2000. The only good reason to produce this would be that
Answer: Honda could get a lot of notice as innovative company
Explanation:
From the question, we are informed that Honda's new electric unicycle is very unique and that it is steered by the rider leaning, computer stabilized through control of its single crabbing wheel.
It also has a range of about 3 miles at 3 miles per hour, takes n hour to recharge and only weighs 25 pounds, so it can be carried while the cost would be about $2000.
The only good reason to produce this would be that people and every other organization will notice Hinds as being a company that is innovative. This will be advantageous for its brand.
hangzhou zhongce rubber co. is the largest tire manufacturer in china. when they decide to sell tires in the usa, should they position themselves as fccp, lccp, or gccp? why?
As the FCCP, they identify themselves. (Retaining clients depends on brand awareness.)
Position selection Market for Company in the USA: FCCP (Foreign consumer culture positioning) It is a positioning approach that connects the brand's consumers, products, occasions for usage, and users of the brand's origin with a foreign culture or nation. A brand was positioned as a representation of a certain foreign consumer culture.
A brand may be connected with local meanings, reflect local cultural norms and identities, be shown as being eaten by locals in the national culture, or even be seen to be manufactured locally for local consumers as part of the LCCP strategy.
Global consumer culture positioning (GCCP) is a strategy that caters to consumers' desire to participate in a worldwide society and gives them the freedom to do so.
The differences between FCCP, LCCP, and GCCP are crucial for rubber product positioning and recognition. Comparing LCCP to GCCP and FCCP, it stands out and is frequently used as a crucial component of the brand positioning in TV advertisements. When compared to LCCP as compared to other countries, GCCP is less frequently used in the USA for TV advances. Compared to LCCP, GCCP uses notice of products like food, high innovation, personal care, and family items less frequently.
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Are you going to get Paramount plus?
Answer:
Yes mainly they keep playing the ad over and over that I remeber the words
This is live sports,breaking news, and a mountain of family entertainment, Paramount plus streaming march 4
Explanation:
A ceiling design that has a rectangular center that is either popped out or inverted to add an effect.
Answer:
tray ceilings
Tray Ceiling - Usually seen in dining rooms and kitchens, tray ceilings are built upwards in a cut out resembling a tray. It has a rectangular center that is either popped out or inverted to add an effect
Explanation:
Hope it helps