suppose a worker who performs harnessing calls in sick. now eight fewer hours are available for harnessing hours. how would the optimal solution change (product mix, product quantities and objective function value)? explain. objective cell (min) cell name final value $h$4 costs 453300 decision variable cells final reduced objective allowable allowable cell name value cost coefficient increase decrease $b$3 make model 1 3000 0 50 4 1e 30 $c$3 make model 2 550 0 83 14 8 $d$3 make model 3 900 0 130 8 1e 30 $e$3 buy model 1 0 4 61 1e 30 4 $f$3 buy model 2 1450 0 97 8 14 $g$3 buy model 3 0 8 145 1e 30 8 constraints final shadow constraint allowable allowable cell name value price r.h. side increase decrease $h$5 model 1 demand 3000 57 3000 380 2900 $h$6 model 2 demand 2000 97 2000 1e 30 1450 $h$7 model 3 demand 900 137 900 211.11 900 $h$8 hours of wiring 9525 0 10000 1e 30 475 $h$9 hours of harnessing 5000 -7 5000 633.33 1100 g

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Answer 1

If a worker who performs harnessing calls in sick, the total available hours for harnessing would decrease by 8 hours. This would mean that the maximum amount of Model 2 that can be produced would decrease, as Model 2 requires the most harnessing hours. The optimal solution would change accordingly.

The change in the available harnessing hours would cause a change in the "hours of harnessing" constraint (cell $h$9). The current solution already uses all available harnessing hours, so the constraint is binding. If 8 fewer hours are available for harnessing, the maximum amount of Model 2 that can be produced will decrease by $\frac{8}{14}=0.57$ units, based on the constraint coefficients. Therefore, the new maximum for Model 2 will be 1,450 - 0.57 = 892.86 units.

The new optimal solution will depend on how the objective function is affected by the change in the available harnessing hours. If the reduced availability of harnessing hours leads to a higher cost of production, the optimal solution may shift towards producing fewer units overall, or shifting the production mix towards models that require fewer harnessing hours.

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Related Questions

companies can improve the triple bottom line with sustainability by minimizing what four things? group of answer choices people, planet, profit, and pollution raw material, energy, water, and waste raw material, transport, manufacture, and disposal pollution, carbon footprint, profit, and people lawsuits, advertisements, coupons, and layoffs

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Companies can improve the triple bottom line with sustainability by minimizing the following four things:

Raw material usage.Energy consumption.Water usage.Waste generation.

By reducing the use of raw materials and energy, companies can reduce their carbon footprint and decrease their impact on the environment. Similarly, by reducing water usage, companies can help conserve water resources and minimize the negative impact of their operations on aquatic ecosystems. Finally, by minimizing waste generation, companies can reduce the amount of waste that ends up in landfills and contribute to a more sustainable and circular economy.

In summary, by minimizing raw material usage, energy consumption, water usage, and waste generation, companies can improve their triple bottom line and achieve greater sustainability.

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true or false: wealth in savings accounts is not subject to a change in the inflation tax because the nominal interest rate will increase with the rise in inflation.

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False. Wealth in savings accounts is subject to a change in the inflation tax because the nominal interest rate will not always increase with the rise in inflation.

What is accounts ?

Accounting is the process of systematically recording, analyzing, and interpreting financial transactions and financial data. This involves tracking income, expenses, assets, liabilities, and equity, as well as producing financial statements and reports. Accounting is used to assess the financial position of a business and to help guide financial decisions. It also provides information to help managers and stakeholders make informed business decisions. Through the use of various financial statements, accounting can help provide insight into the financial performance of a business. Accounting is an essential part of any business, as it helps to provide visibility into the financial position and performance of the company.

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ifyou and your friends were eating french fries in the cafeteria ,then for you and your friends, the french fries are not rival inconsumption.a. trueb. false

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Answer: True.

Explanation:

What are Rival Goods? Rival goods are those that, when consumed by one individual, cannot be consumed by another individual. It is a type of product or service that can only be possessed or consumed by a single user. When a good is rival in consumption, it may be subject to strong demand and fierce competition—factors that tend to drive up prices.

If the French fries are not a rival in consumption, it means that one person's consumption of the French fries does not diminish the quantity or quality of the French fries available for others. In this case, if you and your friends were eating French fries in the cafeteria, the French fries would not be a rival in consumption as each person's consumption of the French fries would not affect the availability or quality of the French fries for the others.

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New versions or releases of software with associated updates to documentation, training, and support are not part of the maintenance phase. True or False

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The statement is false because new versions or releases of software that require associated updates to documentation, training, and support are indeed part of the maintenance phase of software development.

The maintenance phase of software development typically includes activities such as bug fixing, updating documentation, providing training and support to users, and releasing new versions or updates of the software. These activities are crucial for ensuring that the software remains functional and up-to-date, and that users are able to continue using it effectively.

When a new version or release of software is developed, it often includes new features, bug fixes, or other improvements that require changes to documentation, training materials, and support resources. These updates are typically included as part of the maintenance phase, as they are necessary to ensure that users are able to effectively use and benefit from the new version or release of the software.

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A bank faces foreign exchange risk when:
a. it has assets denominated in one currency and liabilities in another.
b. it lends to foreign borrowers because they are less likely to repay a U.S. bank.
c. foreign governments restrict dollar-denominated payments.
d. it has branches in other countries.

Answers

A bank faces foreign exchange risk when it has assets denominated in one currency and liabilities in another. The correct option is a.

Foreign exchange risk refers to the risk that arises from the potential impact of fluctuations in exchange rates on a bank's financial position. A bank that has assets and liabilities denominated in different currencies is exposed to foreign exchange risk because changes in exchange rates can affect the value of its assets and liabilities and thus impact its profitability and financial stability.

For example, if a bank has loans denominated in a foreign currency and its funding comes from deposits denominated in a different currency, a change in the exchange rate between the two currencies can affect the bank's ability to repay its liabilities or impact the profitability of the loans.

Thus, the ideal selection is option a.

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in both price-taker and competitive price-searcher markets, when an increase in market demand disrupts a long-run equilibrium, it will lead to a. higher short-run prices and long-run profits. b. higher short-run prices, short-run profits, and the entry of additional firms into the market. c. higher short-run prices and the exit of firms from the market due to economies of scale. d. no change in prices in the short run, but new firms will enter in the long run.

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In both price-taker and competitive price-searcher markets, when an increase in market demand disrupts a long-run equilibrium, the outcome will be higher short-run prices, short-run profits, and the entry of additional firms into the market, Correct answer is option B


In the short run, existing firms in the market are able to take advantage of these higher prices and increased demand to earn higher profits. This attracts new firms to enter the market, seeking to capitalize on the increased profitability. As more firms enter, the market supply increases, gradually driving prices back down to a new long-run equilibrium.

In price-taker markets, the entry of new firms increases competition, which pushes prices down until firms are again earning only a normal profit in the long run. In competitive price-searcher markets, the downward pressure on prices due to increased competition is balanced by the differentiated nature of products, which allows firms to maintain some degree of market power.

In both cases, the initial disruption caused by an increase in market demand leads to higher short-run prices and profits, followed by the entry of new firms and an eventual return to a long-run equilibrium with normal profits for all firms. The Correct answer is option B

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1. How does data analytics in e-commerce and/or m-commerce play a part in creating competitive advantage?
2. How does e-procurement fit into the purchasing business activity
3. Why is efficiency in the supply chain a main concern of B2B e-commerce? Give an example.

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Data analytics in e-commerce and/or m-commerce plays a crucial role in creating a competitive advantage by providing insights into consumer behavior and preferences.

By analyzing customer data, businesses can personalize their offerings, improve customer experience, and increase customer retention. Additionally, data analytics can help identify market trends, optimize pricing, and improve supply chain management, all of which can lead to cost savings and increased profitability. Companies that effectively leverage data analytics in e-commerce and/or m-commerce are able to make data-driven decisions that give them a competitive edge over their competitors.

E-procurement is a process by which businesses use digital technology to streamline their procurement activities, including purchasing goods and services, managing supplier relationships, and tracking inventory. E-procurement fits into the purchasing business activity by providing a centralized platform for businesses to manage their procurement activities. This can include features such as online catalogs, automated purchase order creation, and real-time inventory tracking. By using e-procurement, businesses can increase efficiency, reduce costs, and improve supplier relationships. Additionally, e-procurement can help businesses ensure compliance with purchasing policies and regulations.

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What is a global network of organizations and activities that supply a firm with goods and services?A) vendor networkB) supply treeC) provider networkD) supply chainE) vendor tree

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A supply chain is the global network of organizations and activities that supply a firm with goods and​ services.

A supply chain is the network of people and businesses engaged in both the production and delivery of a product, as defined by management. The supply chain's links start with the companies that make the raw ingredients and conclude when the truck delivers the finished item to the customer.

Additionally, producers, vendors, warehouses, transportation firms, distribution centers, and retailers are some of the elements of a supply chain. Product creation, marketing, operations, distribution, financing, customer support, etc. are all tasks carried out by a supply chain.

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howard has a company specializing in all natural hand sanitizers. howard's factory has a machine with a book value of $19,200 on december 31, 20x5. the asset has been depreciated at an annual rate of $4,200 on the straight-line method. assuming howard sells the asset on december 31, 20x5 for $16,200, howard should record:

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the company is gaining from the sale of the asset, Howard should record a gain of $14,400 on the sale of the asset.

The gain or loss on the sale of the asset will be determined by comparing the sale price to the book value of the asset.Book value of the asset = original cost - accumulated depreciation

Book value of the asset = $19,200 - ($4,200 x 5) = $19,200 - $21,000 = ($1,800)Since the book value is negative, it means the asset has been fully depreciated and the company has already written off the entire cost of the asset. Therefore, any amount received from the sale of the asset will result in a gain for the company.

The gain on the sale of the asset can be calculated as follows:Gain = Sale price - Book value of the asset

Gain = $16,200 - ($1,800) = $14,400

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When Netflix first offered streaming, it expected that many rental customers would move to the new service. However, there were far less movie titles available through streaming as compared to DVD mail rentals. In a SWOT analysis, the lack of movies available for streaming would be classified as a(n)

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Answer: The lack of movies available for streaming on Netflix should be considered an opportunity by the platform.

Explanation: While Netflix has been focused on expanding its own proprietary content on the platform, a quick win for them can be to add more movies from the already large pool of options available through other production houses.

Additionally, with a large number of new OTT options available these days, Netflix could use the strategy of hosting existing movies to it's competitive advantage. Thus, in the SWOT analysis, the lack of movie listing can be presented as an opportunity area.

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The dearth of movies accessible on Netflix for streaming ought to be seen as a chance by the service.

While Netflix has been concentrating on growing its own exclusive content on the site, adding more films from the existing sizable selection of choices accessible through other production companies might be an easy victory for them.

Additionally, Netflix might exploit the tactic of hosting existing movies to its competitive advantage given the abundance of new OTT options that are currently available. The absence of a movie listing can therefore be highlighted as an opportunity area in the SWOT analysis.

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susan is considering buying a class-a office building in miami. the acquisition price is $2,500,000. she expects the first-year potential gross income (pgi) to be $300,000. based on her pro forma analysis, vacancy and collection losses comprise 5% of pgi, and operating expenses and capital expenditures will consume 40% of egi. the interest rate on her commercial mortgage is 6%, with monthly payments and 25-year amortization schedule. if the lender requires the dcr to be 1.35 or greater, what is the maximum loan amount?

Answers

The maximum loan amount for Susan's potential office building purchase is $1,637,070.77.

To determine the maximum loan amount for Susan's potential office building purchase, we first need to calculate the net operating income (NOI), which is the potential gross income (PGI) minus vacancy and collection losses:

NOI = PGI - Vacancy and Collection Losses

Vacancy and collection losses are estimated to be 5% of PGI, so:

Vacancy and Collection Losses = 5% x $300,000 = $15,000

NOI = $300,000 - $15,000 = $285,000

From NOI, we can calculate the effective gross income (EGI), which is the income after accounting for vacancy and collection losses:

EGI = NOI

Next, we need to account for the operating expenses and capital expenditures, which are expected to be 40% of EGI:

Operating Expenses and Capital Expenditures = 40% x EGI = 0.4 x $285,000 = $114,000

NOI after accounting for operating expenses and capital expenditures is:

NOI = EGI - Operating Expenses and Capital Expenditures

NOI = $285,000 - $114,000 = $171,000

To calculate the debt service coverage ratio (DSCR), we need to determine the annual debt service, which is the total amount of principal and interest payments on the mortgage for one year.

We can use the mortgage payment formula to calculate the monthly payment and then multiply by 12 to get the annual payment:

[tex]P = A * (r / 12) * (1 + r / 12)^(n * 12) / ((1 + r / 12)^(n * 12) - 1)[/tex]

where P is the monthly payment, A is the loan amount, r is the interest rate, and n is the number of years of the loan.

We know that the interest rate is 6%, the loan term is 25 years, and the payments are monthly. We also know that the DSCR must be at least 1.35. Therefore, we can calculate the maximum loan amount as follows:

DSCR = NOI / Debt Service

1.35 = $171,000 / (P * 12)

P = $171,000 / (1.35 * 12) = $10,000

Using this monthly payment of $10,000, we can calculate the maximum loan amount using the mortgage payment formula:

[tex]$10,000 = A * (0.06 / 12) * (1 + 0.06 / 12)^(25 * 12) / ((1 + 0.06 / 12)^(25 * 12) - 1)[/tex]

A = $1,637,070.77

Therefore, the maximum loan amount for Susan's potential office building purchase is $1,637,070.77.

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what are the five points of the washington consensus structural adjustment program (sap)? what is the economic theory behind them?

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The Washington Consensus is a set of ten economic policy prescriptions presented by economist John Williamson in 1989. These five points include:

Fiscal disciplineReorientation of public spending towards education and HealthTax reformfinancial liberalizationTrade liberalization

The economic theory underpinning these policies is based on the principles of neoclassical economics and free market capitalism. According to this theory, markets function best when they are free from government interference and operate according to the laws of supply and demand.

Some additional points that could be explained in more detail in bullet points:

Fiscal discipline refers to the need for governments to keep budget deficits and public debt levels low.Redirecting public spending towards education and healthcare is seen as a way to promote human capital development and economic growth.Tax reform aims to create a simpler and more efficient tax system that encourages investment and growth.Financial liberalization involves reducing government control over the financial sector and allowing greater competition and access to international capital markets.Trade liberalization aims to reduce barriers to trade and increase economic efficiency by promoting labor and resource specialization.

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Which type of compensation is linked directly to individual, team, or organizational performance?variable paywages

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The type of compensation that is linked directly to individual, team, or organizational performance is variable pay. Variable pay is a type of compensation that fluctuates based on an employee's individual or team performance, or the overall organizational performance. Variable pay can take various forms, including bonuses, commissions, profit sharing, stock options, and performance-based pay.

Individual performance-based variable pay is based on the performance of an individual employee. This could include bonuses or commissions based on the achievement of specific targets or goals. Team performance-based variable pay, on the other hand, is based on the performance of a group of employees working towards a common goal. This could include bonuses or other rewards for achieving team targets or completing projects within a given timeframe. Finally, organizational performance-based variable pay is based on the overall performance of the organization. This could include profit sharing or stock options for all employees based on the organization's financial performance.

Variable pay is becoming increasingly popular in today's business world as it provides an incentive for employees to perform well and contribute to the success of the organization. This type of compensation motivates employees to work harder and smarter, which can lead to increased productivity, profitability, and competitiveness for the organization. However, it is important to note that variable pay should be designed and implemented carefully to ensure that it is fair, transparent, and aligned with the organization's goals and values.

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if a registered representative terminates his association with a member firm, how long can he be away (not associated with a member firm) before he must retest to again be registered?

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According to the Financial Industry Regulatory Authority (FINRA), the regulatory body overseeing securities firms and professionals in the United States, a registered representative must be associated with a member firm to maintain their registration status.


If a registered representative is not associated with a member firm for more than two years, they must retest to become registered again. This two-year period is commonly referred to as the "registration grace period." During this time.
It is important to note that if a registered representative fails to retest within the two-year registration grace period, their registration status will be terminated. This means they will no longer be eligible to work in the securities industry and will need to retake all applicable exams to become registered again.
In summary, a registered representative must be associated with a member firm to maintain their registration status, and if they are not associated with a member firm for more than two years, they must retest to become registered again. It is essential to stay up-to-date with industry regulations and requirements to ensure continued success in the securities industry.

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3) Suppose two Cournot duopolist firms operate at zero marginal and average cost. The market demand is p = a - bQ where Q=q1+q2. a) What is Firm 1's best-response function? Show your workings. b) Determine the equilibrium quantities for each firm and the equilibrium price. w 4) Find the Nash equilibria of the two-player strategic game in which each player's set of actions is the set of nonnegative numbers and the players payoff functions are u1(a1,a2)=a1(a2-al) and u2 (a1,a2)=a2 (1-a1-a2).

Answers

In the first equilibrium, neither player chooses to take any action, resulting in a payoff of 0 for each player. In the second equilibrium, Player 1 chooses a1 = 1, but Player 2 chooses a2 = 0, resulting in a payoff of 0 for each player.

a) Firm 1's profit function can be written as:

π1 = (a - b(q1+q2))q1

Taking the derivative with respect to q1 and setting it equal to zero, we get:

∂π1/∂q1 = a - 2bq1 - bq2 = 0

Rearranging, we get:

q1 = (a - bq2)/2b

This is Firm 1's best-response function.

b) At equilibrium, both firms will produce the same quantity, i.e., q1 = q2 = q. Using the demand function, we can express q in terms of p as follows:

q = (a - p)/2b

Substituting q into the demand function, we get:

p = a - bq1 - bq2 = a - 2bq

Substituting q into the expression for Firm 1's profit, we get:

π1 = (a - bq)q/2

Taking the derivative with respect to q and setting it equal to zero, we get:

∂π1/∂q = a/2 - bq = 0

Solving for q, we get:

q* = a/2b

Substituting q* into the demand function, we get:

p* = a/2

Therefore, the equilibrium quantities for each firm are q1 = q2 = a/4b, and the equilibrium price is p* = a/2.

c) The Nash equilibria of the two-player strategic game can be found by looking for pairs of strategies (a1, a2) such that neither player has an incentive to deviate, given the other player's strategy. In other words, we are looking for pairs (a1, a2) such that:

Player 1 cannot increase their payoff by choosing a different a1, given a2.

Player 2 cannot increase their payoff by choosing a different a2, given a1.

Using the payoff functions given, we can express these conditions more explicitly as follows:

Player 1 cannot increase their payoff by choosing a1' ≠ a1, given a2:

a1(a2 - a1') ≤ a1(a2 - a1)

a1a1' ≤ 0

Player 2 cannot increase their payoff by choosing a2' ≠ a2, given a1:

a2(1 - a1 - a2') ≤ a2(1 - a1 - a2)

a2a2' ≤ 0

Since both players can choose any nonnegative value for their action, the only Nash equilibria are at the boundary, where one player chooses 0. There are two possible Nash equilibria:

(a1, a2) = (0, 0), with payoffs (0, 0)

(a1, a2) = (1, 0), with payoffs (0, 0)

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53. An activity on a PERT network has these time estimates: optimistic = 1, most likely = 2, and pessimistic = 5. Its expected time is
a. 2
b. 2.33
c. 2.67
d. 8
e. none of these

Answers

The formula Estimated time = (Optimistic + 4*Most Likely + Pessimistic)/6 can be used to get the activity's expected time on the PERT network given the time estimations. As a result, 2.33. Option B.

We obtain the following by substituting the values in the question. Time anticipated = (1 + 4*2 + 5)/6

Time anticipated = 2.33

This formula requires that the duration estimations follow a distribution of probability and depends on the beta distribution. The odds of the Optimists and estimates are lower than those of the most likely estimate, which has the highest likelihood. We obtain a more precise predicted time estimate by averaging the three estimations.

It's crucial to remember that the anticipated time is only an estimate and that the actual amount of time needed to finish the activity may vary. The PERT network also takes into account the interdependencies among tasks and their potential effects on the timeframe for the entire project.

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which statement is true regarding delegation? select all that apply. one, some, or all responses may be correct. delegatees are accountable for effective client care. open lines of communication must occur between delegator and delegatee. delegation occurs only when at least 2 people are involved in a mutual work situation. delegation potentials are significantly lower when caregivers such as unlicensed assistive personnel (uap) are partnered. delegation involves sharing activities with other appropriate authorities to accomplish the work.

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The correct statement regarding delegation is A. Authority should have equal responsibility when work is delegated from a supervisor to a subordinate.

Delegation is an essential management practice where a supervisor assigns tasks or responsibilities to a subordinate, empowering them to make decisions and take action on behalf of the supervisor. This process allows the supervisor to focus on higher-level tasks while providing opportunities for subordinates to grow professionally and gain new skills.

In effective delegation, the authority granted to the subordinate should be equal to the responsibility given. This balance ensures that the subordinate has the necessary decision-making power to carry out the assigned tasks and achieve the desired results. It also establishes accountability, as the subordinate will be held responsible for the outcomes of their decisions and actions. Therefore the correct option is A

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Products are typically neither purely .... or purely .... based.

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Products are commonly neither purely functional nor purely emotional based.

Instead, products are generally designed and marketed to enchantment to both purposeful and emotional desires of the customers. practical desires check with the utilitarian elements of a product, inclusive of its excellent, reliability, sturdiness, and performance.

While emotional needs refer to the psychological and social aspects of a product, consisting of its logo photograph, design, aesthetics, and status enchantment. successful merchandise and brands typically strike a balance among these dimensions, supplying consumers a mixture of functional and emotional benefits that meet their desires and aspirations, and developing strong connections and loyalty among their clients.

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a stock has an expected return of 12.6 percent, its beta is 1.30, and the risk-free rate is 2.5 percent. what must the expected return on the market be? (do not round intermediate calculations. enter your answer as a percent rounded to 2 decimal places.)

Answers

The expected return on the market must be approximately 10.27%. This result means that, given the stock's beta and the risk-free rate, the overall market return is expected to be 10.27% to align with the stock's expected return of 12.6%.

To calculate the expected return on the market, we can use the Capital Asset Pricing Model (CAPM) formula, which is:

Expected Return = Risk-Free Rate + Beta * (Market Return - Risk-Free Rate)

In this case, we are given the expected return of the stock (12.6%), its beta (1.30), and the risk-free rate (2.5%). We need to find the market return.

Let's rearrange the CAPM formula to isolate the market return:

Market Return = ((Expected Return - Risk-Free Rate) / Beta) + Risk-Free Rate

Now, plug in the given values:

Market Return = ((12.6 - 2.5) / 1.30) + 2.5

Market Return = (10.1 / 1.30) + 2.5

Market Return = 7.77 + 2.5

Market Return = 10.27%

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comma co. makes and sells widgets. the company is in the process of preparing its selling and administrative expense budget for the month of october. the following budget data are available: item variable cost per unit sold monthly fixed cost sales commissions $1 $10,000 shipping $3 advertising $4 executive salaries $120,000 depreciation on office equipment $4,000 other $2 $6,000 expenses are paid in the month incurred. if the company has budgeted to sell 80,000 widgets in october, how much is the total budgeted selling and administrative expenses for october? group of answer choices $940,000 $140,000 $930,000 $800,000

Answers

The total budgeted selling and administrative expenses for October is the sum of total variable cost and total fixed cost, which is: $534,000.

What is budgeted selling?

Budgeted selling refers to the process of estimating or projecting future sales revenue for a specific period, such as a month, quarter, or year, based on past sales trends and other relevant factors. This information is then used to plan and budget for various expenses, such as production costs, marketing and advertising expenses, and administrative expenses. Budgeted selling is a critical aspect of financial planning for businesses, as it helps them to forecast their revenue and expenses and make informed decisions about investments, hiring, and other business activities.

To calculate the total budgeted selling and administrative expenses for October, we need to calculate the total variable cost and total fixed cost.

Total Variable Cost = Variable Cost per Unit Sold × Number of Units Sold

= ($1 + $3 + $4 + $2) × 80,000

= $400,000

Total Fixed Cost = Sum of all Monthly Fixed Cost

= $10,000 + $120,000 + $4,000

= $134,000

Therefore, the total budgeted selling and administrative expenses for October is the sum of total variable cost and total fixed cost, which is:

Total Budgeted Selling and Administrative Expenses = Total Variable Cost + Total Fixed Cost

= $400,000 + $134,000

= $534,000

So the correct answer is $534,000.

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Complete question is: comma co. makes and sells widgets. the company is in the process of preparing its selling and administrative expense budget for the month of october. the following budget data are available: item variable cost per unit sold monthly fixed cost sales commissions $1 $10,000 shipping $3 advertising $4 executive salaries $120,000 depreciation on office equipment $4,000 other $2 $6,000 expenses are paid in the month incurred. if the company has budgeted to sell 80,000 widgets in october, The total budgeted selling and administrative expenses for October is $534,000.

james purchased 100 shares of ibm for $60 per share. james also paid a $50 commission. what was the total purchase price for this transaction?

Answers

The total purchase price for this transaction was $6000 plus the $50 commission, for a total of $6050.

What is transaction ?

A transaction is a business agreement between two or more parties that is enforceable by law. It involves the exchange of goods, services, money, or promises of any of these. Transactions can take place between individuals, businesses, or government organizations. Transactions that involve a monetary exchange must be recorded in order to comply with financial reporting regulations. Transactions can be either voluntary or involuntary, and can include both legal and illegal activities. Transactions are usually documented with contracts, invoices, receipts, or other forms of evidence.

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A task is a distinct, identifiable work activity, whereas a duty is a larger work segment composed of several tasks that are performed by an individual.TrueFalse

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True. A task is a distinct, identifiable work activity, whereas a duty is a larger work segment composed of several tasks that are performed by an individual.

Both tasks and duties are separate words with very different meanings. A chore is work that is done within one's responsibilities. A duty is an act that is obligatory and morally binding on a person. A task is a precise action or activity that a person must perform to achieve a specific goal.

In contrast, an individual's duties or responsibilities in a job or position are called duties. Obligations are more general in nature and relate to greater responsibilities, whereas tasks are often due and quantifiable. Tasks are often assigned to specific people, but tasks are often included in the person's job description and cannot be delegated.

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FILL IN THE BLANK. Weighted Moving Average forecast weight each of the n most recent demands __________ in generating the forecast of the next period

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In Weighted Moving Average forecasting, the n most recent demands are assigned different weights in generating the forecast of the next period.

The weights assigned to each demand are based on their relative importance or relevance to the forecast.

The weights assigned to each demand can be based on a variety of factors, such as the recency of the demand, the volatility of the demand, or the importance of the demand to the forecast. For example, a recent demand may be given a higher weight than an older demand, or a demand that was significantly higher or lower than expected may be given a higher weight to account for its impact on the forecast.

By assigning weights to each demand, the weighted moving average allows for a more customized and flexible forecast that can adapt to changing demand patterns over time.

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What factors have driven many fisheries to decline or collapse?

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Fisheries refer to the activities of catching, harvesting, processing, and selling fish and other aquatic resources from oceans, lakes, rivers, and other bodies of water. Fisheries are an important source of food, employment, and income for millions of people worldwide. They provide a significant portion of the animal protein consumed by humans globally and support the livelihoods of millions of fishers, processors, and traders.

Several factors have contributed to the decline or collapse of many fisheries worldwide, including:

1. Overfishing: Overfishing occurs when fish are caught faster than they can reproduce, leading to a decline in fish populations. This is often exacerbated by modern fishing techniques, such as large-scale commercial fishing, which can capture large numbers of fish at once.

2. Habitat loss: Changes in the environment, such as pollution, coastal development, and climate change, can lead to the destruction of important habitats for fish and other marine life, making it difficult for populations to recover.

3. Illegal, unreported, and unregulated fishing (IUU): IUU fishing is a major problem in many areas of the world, where fishing is conducted without appropriate permits, in areas that are off-limits, or using illegal techniques. This type of fishing can contribute to overfishing and undermine conservation efforts.

4. Bycatch: Bycatch refers to the accidental capture of non-target species, such as dolphins, sea turtles, and seabirds, during fishing operations. This can cause significant harm to these species and contribute to overall ecosystem degradation.

5. Poor management: Inadequate fisheries management, including inadequate enforcement of regulations, can lead to overfishing and other problems that can contribute to the decline or collapse of fisheries.

These factors can interact in complex ways, making it challenging to address fisheries sustainability. However, effective management practices, such as science-based quotas, habitat protection, and improved monitoring and enforcement, can help to ensure the long-term sustainability of fisheries.

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n the IS-LM model we have along the vertical axis and along the horizontal axis.
A. Interest rate on monetary assets; output
B. Output; interest rate on monetary assets
C. Interest rate on non-monetary assets; output
D. Output; interest rate on non-monetary assets

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In the IS-LM model, we have the interest rate on monetary assets along the vertical axis and output along the horizontal axis. This means that changes in the interest rate on monetary assets will affect the level of output in the economy. Correct answer is option A

The IS curve shows the equilibrium in the goods market, where planned investment equals planned savings, and the LM curve shows the equilibrium in the money market, where the demand for money equals the supply of money.



When the interest rate on monetary assets decreases, the demand for money increases, causing the LM curve to shift to the right. This leads to a decrease in the interest rate on non-monetary assets, such as bonds and stocks, and an increase in investment and consumption, which in turn leads to an increase in output. This relationship between the interest rate and output is known as the liquidity preference theory.



On the other hand, when the interest rate on monetary assets increases, the demand for money decreases, causing the LM curve to shift to the left. This leads to an increase in the interest rate on non-monetary assets, a decrease in investment and consumption, and a decrease in output. This relationship between the interest rate and output is known as the investment demand theory. Correct answer is option A


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The relationship between the mpc and the multiplier a depends on whether the economy is in recession or inflation. b depends on whether you change taxes or government spending. с is always positive. d depends on either A or B.

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The relationship between the MPC (marginal propensity to consume) and the multiplier depends on various factors in an economy.

In economics, the multiplier refers to the impact that a change in one economic variable has on other related variables. The most commonly discussed multiplier is the spending multiplier, which refers to the effect that an increase in spending has on the overall economy. The multiplier is always positive, and it represents the impact of an initial change in spending on the overall economy. The multiplier effect is calculated as 1 / (1 - MPC). The relationship does not directly depend on whether the economy is in recession or inflation or whether you change taxes or government spending. However, these factors can influence the MPC, which in turn, affects the multiplier.

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which aspects allow employees to contribute to an organization's competitive advantage? (choose every correct answer.)

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There are several aspects that allow employees to contribute to an organization's competitive advantage. Some key aspects include:

1. Skills and expertise: Employees with unique or specialized skills and expertise can provide a competitive edge by solving problems efficiently and offering innovative solutions.

2. Innovation and creativity: Employees who are creative and innovative can drive the organization's growth by developing new products, services, or business strategies that differentiate the company from its competitors

3. Teamwork and collaboration: When employees work well together, they can combine their individual strengths to achieve common goals more effectively, leading to a more competitive organization.

4. Adaptability and resilience: Employees who can adapt to change and overcome challenges help the organization stay ahead in a rapidly changing business environment.

5. Strong work ethic and dedication: Employees who are committed to the organization's goals and consistently perform at a high-level contribute to the overall success and competitiveness of the company.

6. Positive organizational culture: When employees feel valued and supported, they are more likely to be engaged and committed to the organization, further enhancing its competitive advantage.

By fostering these aspects among employees, an organization can leverage their collective strengths to achieve a competitive advantage in the marketplace.

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How did a decline in housing prices help trigger the subprimefinancial crisis starting in​ 2007?

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The decline in housing prices played a significant role in triggering the subprime financial crisis that began in 2007. When housing prices started to decline, many homeowners found themselves underwater, meaning that they owed more on their mortgages than their homes were worth. This led to a wave of foreclosures as homeowners were unable to sell their homes or refinance their mortgages.


As more and more homes went into foreclosure, the housing market became flooded with excess supply, causing housing prices to fall even further. This created a vicious cycle, as falling prices led to more foreclosures, which in turn caused prices to decline even more.

At the same time, many subprime borrowers who had taken out mortgages with adjustable interest rates found themselves unable to make their payments as interest rates increased. This led to a surge in defaults and foreclosures, further exacerbating the housing market's problems.

Ultimately, the decline in housing prices was one of the key factors that led to the subprime financial crisis, as it triggered a wave of defaults and foreclosures that destabilized the entire financial system.

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T/F? An equity investor's required rate of return is influenced by the economy's real risk-free rate, the expected rate of inflation, and a risk premium.

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The Rate of return of the frugality, the anticipated rate of affectation, and a threat decoration all have an impact on an equity investor's needed rate of return. It's valid.

The investment's net gain or loss over a destined time period, expressed as a chance of the investment's original cost, is appertained to as its rate of return( RoR). For long-term investments in the stock request, the maturity of investors would consider an average periodic rate of return of 10 or advanced to be a good ROI.

In any case, a flashback that this is normal. There will be times with returns that are lower or indeed negative. The stock price will decline in response to an increase in the needed return.

This seems OK in the case of nothing additional changes, the value should be lower for the fiscal backer to have the necessary return. The needed return and the stock price that investors assign to a stock are equally identified.

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why are companies like ibm shifting to provide more services and consulting? a. none of these. b. new regulations forced them into this market. c. they can no longer compete in the software market. d. customers see that significant value can be created with the application of analytics, and need help completing these tasks.

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Companies like IBM are shifting to provide more services and consulting because customers see that significant value can be created with the application of analytics, and need help completing these tasks. The correct answer is option d.

This is because the value of application of analytics is in great demand.  The Shifting to provide more services and consulting enables companies to better meet customer needs and adapt to the changing market landscape.  It is no longer just about selling software, but about providing the expertise to use it effectively. Additionally, new regulations may be a factor, but the main reason for the shift is the increasing demand for consulting and services in the analytics market. Hence the correct answer is option d.

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