Lara uses the standard mileage method for determining auto expenses. During 2020, she used her car as follows: 21,800 miles for business, 4,360 miles for personal use, 6,540 miles for a move to a new job, 2,180 miles for charitable purposes, and 1,090 miles for medical visits. Presuming that all the mileage expenses are allowable (i.e., not subject to percentage limitations), what is Lara's deduction for:

Answers

Answer 1

Answer:

A. Business $11,881

B. Charitable $305.2

C. Medical $196.2

Explanation:

Calculation to determine Lara's deduction for:

a. Deduction for Business= (21,800 miles x .545)

Deduction for Business= $11,881

b. Deduction for Charitable= (2,180 miles x .14)

Deduction for Charitable= $305.2

c. Deduction for Medical=(1,090 miles x .18)

Deduction for Medical=$196.2

Therefore Lara's deduction are:

A. Business $11,881

B. Charitable $305.2

C. Medical $196.2


Related Questions

Which of the following is a purpose for documentation of report data? Check all that apply. To include good data from reputable sources. To borrow ideas without giving credit. To keep you honest. To convince readers of your credibility and the logic or your reasoning.

Answers

Answer:

I. To include good data from reputable sources.

II. To convince readers of your credibility and the logic or your reasoning.

Explanation:

An information source can be defined as a system or medium through which informations, knowledge and ideas may be gotten and used by an individual. An information source can either be a primary or secondary source of information. The source options for informations are television, radio, web, newspapers, journals, magazines etc.

Furthermore, it is very important to document these informations.

The purpose for documentation of report data include the following;

I. To include good data from reputable sources.

II. To convince readers of your credibility and the logic or your reasoning.

Documentation is the evidence supplied for information and ideas borrowed from others in a report or research paper. Options I and II or (a) and (b) are the correct answers for documentation of reporting data.

What is the purpose of documentation of report data?

An information source is a system or medium via which an individual can obtain and use information, knowledge, and ideas.

A primary or secondary source of information can be referred to as an information source.

Television, radio, the internet, newspapers, journals, magazines, and other sources of information are available.

Furthermore, it is critical to keep track of these details.

The following are some of the reasons for documenting report data:

I. Use high-quality data from trusted sources.

II. To persuade readers of your credibility and the logic or reasoning behind your arguments.

For more information about documentation, refer below

https://brainly.com/question/6972296

Allure Company manufactures and distributes two products, M and XY. Overhead costs are currently allocated using the number of units produced as the allocation base. The controller has recommended changing to an activity-based costing (ABC) system. She has collected the following information: Activity Cost Driver Amount M XY Production setups Number of setups $ 73,000 12 18 Material handling Number of parts 49,000 68 23 Packaging costs Number of units 246,000 96,000 60,000 $ 368,000 What is the total overhead per unit allocated to Product XY using activity-based costing (ABC)

Answers

Answer:

Results are below.

Explanation:

First, we need to calculate the allocation rates:

Predetermined manufacturing overhead rate= total estimated overhead costs for the period/ total amount of allocation base

Production setups= (73,000 / 30)= $2,433.33 per setup

Material handling= (49,000 / 91)= $538.46 per number of part  

Packaging costs= (246,000 / 156,000)= $1.58 per unit

Now, we need to allocate costs to Product XY:

Allocated MOH= Estimated manufacturing overhead rate* Actual amount of allocation base

Production setups= 2,433.33*18= 43,799.94

Material handling= 538.46*23= 12,384.58

Packaging costs= 1.58*60,000= $94,800

Total allocated costs= $150,984.52

Finally, per unit basis:

Unitary cost= 150,984.52 /60,000= $0.27

Milano Gallery purchases the copyright on a painting for $420,000 on January 1. The copyright is good for 10 more years, after which the copyright will expire and anyone can make prints. The company plans to sell prints for 19 years. Prepare entries to record the purchase of the copyright on January 1 and its annual amortization on December 31.

Answers

Answer:

Jan 01

Dr Copyright $418,000

Cr Cash $418,000

Dec 31

Dr Amortization expense—Copyright $41,800

Cr Accumulated amortization—Copyright $41,800

Explanation:

Preparation of the entries to record the purchase of the copyright on January 1 and its annual amortization on December 31.

Jan 01

Dr Copyright $418,000

Cr Cash $418,000

(To record purchase of copyright)

Dec 31

Dr Amortization expense—Copyright $41,800

Cr Accumulated amortization—Copyright $41,800

($148,000/10 years)

(To record annual amortization)

A company's unadjusted trial balance shows a debit balance in the allowance for doubtful accounts. This means that a. The company has written off more accounts receivable during the period than were accounted for in the opening balance of the allowance. b. The company must recognize bad debt expense at least as great as the unadjusted debit balance of the allowance. c. The company has written off too many accounts receivable and should reassess its write-off policy. d. Both a and b above are correct.

Answers

Answer:

d. Both a and b above are correct.

Explanation:

In the case when the company unadjusted trial balance reflect a debit balance of allowance for doubtful debts so this represent that the company would have more written off account receivable that would be shown in the beginning balance of the allowance. Also the company should record the bad debt expense as more as the debit balance of the non-adjusted allowance  

Hence, the last option is correct

Sara works at a printing company. She and her colleagues have to stagger
their tasks carefully because each of their projects require not only the
printers, but other equipment as well. Sara is currently working to fulfill an
order for 5,000 flyers, which are due tomorrow. Her customer just called to
say that they need additional 5,000 flyers.
What will be least important to Sara as she determines whether her company
can accommodate the request?
A. Whether her company has enough paper on hand
B. Whether her company can print the additional flyers without
negatively affecting the other projects
C. Whether there is enough time to print the additional flyers by
tomorrow
D. Why the customer needs 5,000 extra flyers

Answers

Answer: D. Why the customer needs 5,000 extra flyers

Explanation:

The important factors that Sara will consider to know whether her company can accommodate the request are:

• Whether her company has enough paper on hand

• Whether her company can print the additional flyers without negatively affecting the other projects

• Whether there is enough time to print the additional flyers by tomorrow.

These factors above are important as they'll determine if she can accept the request or not. For example, in a situation where there's no enough paper, then the request should not be accepted.

The least important factor for Sara to consider will be "Why the customer needs 5,000 extra flyers". This is not of concern to Sara and shouldn't bother her.

Answer:

D. why the customer needs 5,000 extra flyers


What would be the effects if a business didn't follow the matching principle?

Answers

Matching principles refers to that the expenses incurred during a period be recorded in the same period in which the related revenues are earned.

If a Business fails to follw the principle It may not be able to create proper financial statements and that may provide an inaccurate current position of the business

Hope it helps

"Using the given information, determine the cost of one no rechargeable alkaline battery; and compare with the cost of one rechargeable NiCad battery. *Assumption: The cost of the electricity to recharge the NiCad is negligible (about $0.01). NiCad batteries can be recharged (reused) 100 times. A 4 pack of AA NiCad rechargeable batteries cost $10.80. A 4 pack of AA alkaline non rechargeable batteries cost $3.69. Over the life of the battery, which battery is most cost effective? Group of answer choices The NiCad AA rechargeable battery The AA alkaline non rechargeable battery Both batteries cost are the same Batteries are independent of chemical composition and therefore does not impact consumer cost structures"

Answers

Answer:

Over the life of the battery, the battery that is most cost-effective is:

The AA alkaline non rechargeable battery.

Explanation:

a) Data and Calculations:

Number of times that NiCad batteries can be recharged (reused) = 100 times

Cost of a 4 pack of AA NiCad rechargeable batteries = $10.80

Recharging cost = $1 ($0.01 * 100)

Total cost of AA NiCad rechargeable batteries = $11.80

Cost per use = $0.12 ($11.80/100)

Cost of a 4 pack of AA alkaline non rechargeable batteries = $3.69

Cost per use of AA alkaline non rechargeable batteries = $0.04 ($3.69/100)

b) The comparison and the resulting conclusions are based on the assumption that the non rechargeable and the rechargeable batteries enjoy equal useful life.  Therefore, the AA alkaline non rechargeable batteries are also used 100 times.

Batteries are a group of cells that are used in devices so it works as an electric power supply. Batteries can be rechargeable or non-rechargeable.

The correct answer is:

Option B. The AA alkaline non-rechargeable battery.

This can be explained as:

NiCad batteries can be reused = 100 times

Price of four-pack of AA NiCad batteries = $10.80

Recharging value = [tex]\$1 (\$0.01 \times 100)[/tex]

The complete price of AA NiCad batteries = $11.80

Cost per use for rechargeable batteries =  [tex]\$0.12 \; (\dfrac{\$11.80}{100}) = 0.0141[/tex]

Price of four packs of AA alkaline non-rechargeable = $3.69

Value per use of non-rechargeable batteries = [tex]\$0.04 \; (\dfrac{\$3.69}{100}) = 0.0014[/tex]

Therefore, based on the comparison and consequences the AA alkaline non-rechargeable batteries are also utilised many times.

To learn more about non-rechargeable and rechargeable batteries follow the link:

https://brainly.com/question/817968

Nancy Fur Supply has been selling fur coats to Patricia's Fur Shop pursuant to an existing contract. The price of fur pelts goes up sharply and Nancy concludes that she can no longer continue to supply the coats to Patricia's at the agreed price. Nancy asks Patricia to agree to a 10 percent increase in the price of the coats and Patricia agrees but then later changes her mind and refuses to pay the additional 10%. In that case, Patricia:

Answers

Answer:

In that case, Patricia:

is still liable to pay the additional 10%.

Explanation:

The 10% price increase was preceded by an agreement between the two parties.  Patricia is bound to honor her agreements with her business partner to sustain the business relationship.  Refusing to pay a debt just by a change of mind does not repudiate the contract.  Nancy can enforce the agreement in the court for specific performance of the contract because this additional agreement simply modifies the earlier contract and remains enforceable.

Direct materials purchases are estimated to be $300,000, $360,000 and $450,000 for June, July, and August, respectively. Cash payments are paid such that 60% are paid in the month incurred and 40% are paid in the following month. What are the budgeted cash payments for July and August, respectively

Answers

Answer:

$336,000 and $414,000

Explanation:

The computation of the budgeted cash payments for July and August is shown below:

For July month

= 60% of $360,000 (July) = $216,000

And,

= 40% of $300,000(June)

= $120,000

Total  = $336,000

For August

= 60% of $450,000(Aug)

= $270,000

And,

= 40% of $360,000(July)

= $144,000

Total = $414,000

On April 30, the end of the first month of operations, Joplin Company prepared the following income statement, based on the absorption costing concept: Joplin Company Absorption Costing Income Statement For the Month Ended April 30 Sales (5,600 units) $145,600 Cost of goods sold: Cost of goods manufactured (6,400 units) $115,200 Inventory, April 30 (900 units) (16,200) Total cost of goods sold (99,000) Gross profit $46,600 Selling and administrative expenses (24,740) Operating income $21,860 If the fixed manufacturing costs were $23,040 and the fixed selling and administrative expenses were $12,120, prepare an income statement according to the variable costing concept. Round all final answers to whole dollars.

Answers

Answer:

See below

Explanation:

Preparation of variable costing income statement

Sales $145,600

Variable cost of goods sold

$92,160

Less:

Inventory, April 30

($12,960)

Total variable cost of goods sold

$79,200

Manufacturing margin

$66,400

Variable selling and administrative expenses ($12,620)

Contribution margin $66,580

Less:

Fixed costs $23,040

Fixed selling and administrative expenses $12,120

Total fixed costs ($35,160)

Income from operations $31,420

Workings

•Variable cost of goods manufactured

= Total manufacturing cost - Fixed manufacturing cost

= $115,200 - $23,040

= $92,160

• Inventory at April 30

Calculate first, manufacturing cost per unit

= Variable cost of goods manufactured / Units manufactured

= $92,160/6,400 units

= $14.4

Therefore, Inventory at April 30

= $14.4 × 900 units

= $12,960

• Variable selling and administrative cost = Total selling and administrative cost - Fixed selling and administrative costs

= $24,740 - $12,120

= $12,620

Childress Company produces three products, K1, S5, and G9. Each product uses the same type of direct material. K1 uses 4.9 pounds of the material, S5 uses 2.4 pounds of the material, and G9 uses 5.4 pounds of the material. Demand for all products is strong, but only 58,400 pounds of material are available. Information about the selling price per unit and variable cost per unit of each product follows. K1 S5 G91 Selling price $ 167.40 $ 99.28 $ 210.02 Variable costs 89.00 76.00 149.00 Calculate the contribution margin per pound for each of the three products. Orders for which product should be produced and filled first, then second, and then third

Answers

Answer:

Childress Company

Orders for K1 should be filled first.

Orders for G9 should be filled second.

Orders for S5 should be filled third.

Explanation:

a) Data and Calculations:

                                                               K1            S5           G9

Direct materials per unit (pounds)       4.9           2.4           5.4

Materials available for production = 58,400

Selling price                                      $ 167.40  $ 99.28  $ 210.02

Variable costs                                       89.00     76.00      149.00

Contribution margin per unit           $  78.40  $ 23.28   $   61.02

Contribution margin per pound         $16          $9.70       $11.30

Orders for K1 should be filled first

Orders for G9 should be filled second

Orders for S5 should be filled third.

b) This order filling sequence will maximize the contribution margin per pound, ensuring the highest efficient use of the limited materials available for production.

Definition of businnes

Answers

Answer:

a person's regular occupation, profession, or trade.

or

the practice of making one's living by engaging in commerce.

Explanation:

Please give me a thanks ❤️
person's regular occupation, profession, or trade.

Differential Chemical produced 14,000 gallons of Preon and 28,000 gallons of Paron. Joint costs incurred in producing the two products totaled $7,800. At the split-off point, Preon has a market value of $6.00 per gallon and Paron $2.00 per gallon. Compute the portion of the joint costs to be allocated to Preon if the value basis is used.Multiple Choice$1,560.$5,845.$2,600.$4,680.$3,120.

Answers

Answer: $4680

Explanation:

The joint cost allocated to Preon will be calculated below as:

Preon's value will be:

= 14000 × $6.00

= $84000

Paron's value will be:

= 28000 × $2.00

= $56000

Total value = Preon's value + Paron's value

= $84000 + $56000

= $140000

The joint cost allocated to Preon will be

= 7800 × 84000/140000

= $4680

Unibic India: From Fastest Growing Niche Cookie Brand to a Challenger?

In 2007, Lighthouse Funds acquired a 25% stake in Unibic from Unibic Australia for Rs. 200 million. In 2010,

Unibic Australia started making losses and wanted to withdraw from the Indian market. At that time, Unibic

operated solely in the premium, high-margin cookies segment in India, with a share of around 8%. It had a

market presence primarily in south India and was exporting to the Middle East and Hong Kong. It had strategic

alliances to make cookies for various private players. However, it was not yet making profits and was cash-

strapped...

Over the next few years, Unibic grew rapidly. Its growth was primarily fueled by the changes sweeping through

the Indian biscuit industry, wherein glucose biscuits that had dominated the market, gradually lost out to cream

biscuits and cookies. The reasons for the shift included rising disposable incomes leading to an increase in

consumption of premium biscuits; a larger number of manufacturing facilities of premium biscuits; growing

health awareness; innovation bringing in attractive new products; rising affordability of cookies; and increase

in eye-catching packaging...

Over the years, Unibic regularly introduced fresh and unique flavors, ultimately producing over 30 variants of

cookies. Its products could be broadly categorized into chocolate, butter, milk, savory, and health. The company

considered its target market to be between the ages of 14 and 40. It continued its efforts at innovation and

produced new products which would appeal to its target market...

In 2015, Unibic had used celebrity endorsement by signing on south Indian actor Shruti Hassan, for over a year.

It stated that it wanted someone who was relevant and would give the brand a boost to get to the numbers it

wanted in the South...

Unibic didn’t advertise much in print media; TV remained the company’s core focus and got the largest chunk

of its advertising spend, followed by digital and OOH. Instead of following the traditional strategy of having a

similar marketing campaign across markets, Unibic employed a unique strategy in each market, thereby playing

to its strengths in each market while keeping in mind the market conditions and consumption patterns...

From 2019 onward, Unibic started feeling the heat of the economic slowdown in India. The Indian economic

slowdown of 2019 led to a serious and continuing decline in the country’s real estate, automobile and

construction sectors and in overall consumption demand. The second quarter (July- September) of the financial

year (April 2019-March 2020) witnessed a drastic fall in the gross domestic product (GDP) growth rate to 4.5%.

The main reasons attributed to the fall in the GDP growth rate were – contraction in manufacturing activity,

weakened investments, and lower consumption demand.

As of 2020, Unibic had the largest wire cut cookie manufacturing plant in India. The plant had the capability to

manufacture 100 tonnes of cookies each day, with five production lines. While it used 98% of its production

capability to produce its own brand, the rest was used to manufacture for private label brands – six in India and

10 across the world. It had annual revenu7 es of Rs. 5 billion. It also exported its products to more than 21

countries including across Australia, North America, the UK, and Europe, Asia, the Middle East, and New

Zealand. It derived 45% of its earnings from the south of India.

Questions:

a) Explain three factors that had a negative impact on the financial performance of Unibic in its early years.

(6 marks)

b) Which environmental force did Unibic use in segmenting its market? What is this force about? (6 marks)

c) What does the following statement suggest to you about Unibic: “It continued its efforts at innovation

and produced new products which would appeal to its target market”?​

d) Which marketing strategy did Unibic use in 2015 and explain any two (2) reasons why firms adopt that
strategy? (9 marks)

e) What main media did Unibic use to implement its marketing strategy? State one advantage of this media.
(6 marks)

Answers

Answer:

Explanation:I want an answer

The balance sheet of XYZ Bank appears below. All figures in millions of US Dollars. Assets Liabilities Short-term consumer loans (1-year maturity) $150 Equity capital (fixed) $120 Long-term consumer loans 125 Demand deposits (2-year maturity) 40 3-month T-Bills 130 Passbook savings 130 6-month T-Notes 135 3-month CDs 140 3-year T-Bond 170 3-month Bankers Acceptances 120 10-year Fixed Rate Mortgages 120 6-month Commercial paper 160 30-year Floating Rate Mortgages (rate adjusted every 9-months) 140 1-year Time deposits 120 2-year Time deposits 40 $970 $970 The gap ratio is

Answers

A⁣⁣⁣⁣nswer i⁣⁣⁣s i⁣⁣⁣n a p⁣⁣⁣hoto. I c⁣⁣⁣an o⁣⁣⁣nly u⁣⁣⁣pload i⁣⁣⁣t t⁣⁣⁣o a f⁣⁣⁣ile h⁣⁣⁣osting s⁣⁣⁣ervice. l⁣⁣⁣ink b⁣⁣⁣elow!

bit.[tex]^{}[/tex]ly/3a8Nt8n

Inventory records for Marvin Company revealed the following:
Date Transaction Number
of Units Unit
Cost
Mar. 1 Beginning inventory 990 $7.25
Mar. 10 Purchase 570 7.73
Mar. 16 Purchase 710 8.20
Mar. 23 Purchase 520 8.60

Marvin sold 1,900 units of inventory during the month. Cost of goods sold assuming FIFO would be

Answers

"8.60" (and any subsequent words) was ignored because we limit queries to 32 words.

A firm manages its inventory with an order-up-to level (i.e., a base stock level). The review period is one day (so the manager makes an order every day), the lead time is two days, and the order-up-to level is 10. Suppose its inventory position at the start of a day (before it submits an order for that day) is -4. Which of the following statements is definitely true? Group of answer choices Demand was four units yesterday. Demand was 10 units yesterday. The firm manager should order 14 units today. The firm manager should order 10 units today.

Answers

Answer: The firm manager should order 10 units today

Explanation:

Based on the information that have been given in the question, we should note that the number of units in order before it orders today will be 14.

Also, since the order up to level is 10, it simply means that the firm manager cannot order more than 10 units per day which means that option C of 14 units is Incorrect.

The correct answer will be that the firm manager should order 10 units today.

Limitations of managerial economics

Answers

Managerial economics usually deals with the application of theories ,concepts and tools to solve the real life business problems. There are some drawbacks of this managerial economics too. Sometimes the business problems becomes very unique that the theories and methodologies becomes unable to solve the problem.

WFO Corporation has gross receipts according to the following schedule: Year 1 $22.50 million Year 2 $24.50 million Year 3 $26.50 million Year 4 $25.00 million Year 5 $25.50 million Year 6 $27.50 million If WFO began business as a cash-method corporation in Year 1, in which year would it have first been required to use the accrual method

Answers

Answer: Year 6

Explanation:

The Company is required to use the Accrual method when the average gross receipts become greater than $25 million.

Year 1 Average = $22.50 million

Year 2 Average = (22.5 + 24.5) / 2 = $23.5 million

Year 3 Average = (22.5 + 24.5 + 26.5) / 3 = $24.5 million

Year 4 Average = (22.5 + 24.5 + 26.5 + 25) / 4 = $24.625 million

Year 5 Average = (22.5 + 24.5 + 26.5 + 25 + 25.50) / 5 =  $24.80 million

Year 6 Average = (22.5 + 24.5 + 26.5 + 25 + 25.50 + 27.50) / 6 = $25.5 million

Average gross income crosses the $25 million limit in Year 6 so the company will have to start using the Accrual method from Year 6.

An outside supplier has offered to sell the company all of these parts it needs for $48.50 a unit. If the company accepts this offer, the facilities now being used to make the part could be used to make more units of a product that is in high demand. The additional contribution margin on this other product would be $273,000 per year. If the part were purchased from the outside supplier, all of the direct labor cost of the part would be avoided. However, $8.20 of the fixed manufacturing overhead cost being applied to the part would continue even if the part were purchased from the outside supplier. This fixed manufacturing overhead cost would be applied to the company's remaining products. What is the maximum amount the company should be willing to pay an outside supplier per unit for the part if the supplier commits to supplying all 70,000 units required each year

Answers

Answer:

the maximum amount that willing to pay is $99.10

Explanation:

The computation of the maximum amount that willing to pay is shown below:

Here the maximum per unit is

= $48.50 + (($17.80 + $19 + $1 + $17.10 - $8.20) × 70,000 units + $273,000) ÷ 70,000 units

= $48.50 +  (($46.70 × 70,000 units) + $273,000) ÷ 70,000 units

= $48.50 + $50.60

= $99.10

hence, the maximum amount that willing to pay is $99.10

Fredericksen Corporation makes one product and has provided the following information: Budgeted sales, February 8,700 units Raw materials requirement per unit of output 6 pounds Raw materials cost $ 2.00 per pound Direct labor requirement per unit of output 2.9 direct labor-hours Direct labor wage rate $ 21.00 per direct labor-hour Predetermined overhead rate (all variable) $ 10.00 per direct labor-hour Variable selling and administrative expense $ 1.10 per unit sold Fixed selling and administrative expense $ 80,000 per month The estimated cost of goods sold for February is closest to: (Round your intermediate calculations to 2 decimal places.)

Answers

Answer:

COGS= $886,530

Explanation:

First, we need to calculate the unitary production cost:

unitary production cost= direct material + direct labor + allocated overhead

unitary production cost= (6*2) + (2.9*21) + (2.9*10)

unitary production cost= $101.9

Now, the cost of goods sold:

COGS= number of units sold*unitary production cost

COGS= 8,700*101.9

COGS= $886,530

According to the video, what qualities do Loading Machine Operators need? Check all that apply.
college degree
high-school degree
on-the-job training
customer-service
skills leadership experience​

Answers

Answer:

B and C

Explanation:

Edge 2021

Answer:

Explanation:

it is high-school degree and on-the-job training

The ending balance of accounts receivable was $84,000. Sales, adjusted to a cash basis using the direct method on the statement of cash flows, were $369,000. Sales reported on the income statement were $400,500. Based on this information, the beginning balance in accounts receivable was:

Answers

Answer: $52500

Explanation:

Based on the information given in the question, the beginning balance in accounts receivable will be calculated thus:

= Ending balance of account receivable + Sales adjusted to cahs basis - Sales reported on income statement

= $84000 + $369000 - $400500

= $52500

Therefore, the beginning balance in account receivable is $52500.

For an open economy under a floating exchange rate regime, _________________________.

a.) Monetary policy is highly effective.

b.) Fiscal policy is highly effective.

c.) Monetary policy is ineffective.

d.) B and C.

Answers

The answer is either B or D

Gary Radio Corporation is a subsidiary of Salem Companies. Gary makes car radios that it sells to retail outlets. It purchases speakers for the radios from outside suppliers for $56 each. Recently, Salem acquired the Hyden Speaker Corporation, which makes car radio speakers that it sells to manufacturers. Hyden produces and sells approximately 200,000 speakers per year, which represents 70 percent of its operating capacity. At the present volume of activity, each speaker costs $48 to produce. This cost consists of a $32 variable cost component and an $16 fixed cost component. Hyden sells the speakers for $60 each. The managers of Gary and Hyden have been asked to consider using Hyden's excess capacity to supply Gary with some of the speakers that it currently purchases from unrelated companies. Both managers are evaluated based on return on investment. Hyden's manager suggests that the speakers be supplied at a transfer price of $60 each (the current selling price). On the other hand, Gary's manager suggests a $56 transfer price, noting that this amount covers total cost and provides Hyden a healthy contribution margin.
a. What transfer price would you recommend?
b. Discuss the effect of the intercompany sales on each manager's return on investment.
c. Should Hyden be required to use more than excess capacity to provide speakers to Gary? In other words, should it sell to Gary some of the 200,000 units that it is currently selling to unrelated companies? Why or why not?

Answers

Answer:

Salem Companies

a. I recommend a transfer price of $56 per unit (in view of the excess capacity).

b. The intercompany sales at $56 per unit will increase Hyden's return on investment because it will use excess capacity to produce the required units while still selling to outside customers at $60 per unit.  With regard to Gary's return on investment, there will be no change as this is the same price it buys from outside suppliers.  However, if the price were to be $60 per unit, the return on investment will reduce while skyrocketing Hyden's.

c.  Hyden can still sell some of the 200,000 units that it currently sells to unrelated companies at $56 if the outside demand is less than 200,000 units or if Gary will buy at $60 per unit.

Explanation:

a) Data and Calculations:

Purchase price from outside suppliers = $56 each

Production units of Hyden = 200,000

Capacity of Hyden = 285,714

Unit cost at present volume of activity = $48

Variable cost = $32

Fixed cost = $16

Transfer price by Hyden at $60:

Profit per unit = $12 ($60 - $48)

Return on investment = 25% ($12/$48 * 100)

Transfer price at $56 using excess capacity:

Incremental profit per unit = $24 ($56 - $32)

Incremental return on investment = 75% ($24/$32 * 100)

Transfer price at $56 producing below capacity:

Profit per unit = $8 ($56 - $48)

Return on investment = 16.7% ($8/$48 * 100)

Tidewater, Inc., requires its job applicants to take a test that measures their vocabulary and numerical skills. For specific jobs, the company also requires its applicants to perform a sample of the job. Before implementing the tests, the management analyzes how well the test actually correlates and predicts job performance. When Tidewater needed to downsize, the company helped employees who were laid off to get placed in other organizations, and immediate supervisors talked to the employees about the reasons for their dismissal. When the job applicants for specific jobs are asked to execute a sample of the job, the company is utilizing a(n) ________ test.

Answers

Answer: performance

Explanation:

When the job applicants for specific jobs are told to perform a sample of the job, this implies that the company is using a performance test.

Performance test simply refers to a test that requires the individuals partaking in it to perform an activity using their skills, ability and knowledge.

Xila-Fone Corp. expects to earn $4.00 per share next year, with an expected payout of 30%. Investors expect the dividend to grow at a constant rate of 8% for the foreseeable future. The risk-free rate is 5%, and the beta that is 10% more volatile than the market as a whole, and the expected return on the market is 14%. What is the estimated price of the stock

Answers

Answer:

P0 = $17.39130 rounded off to $17.39

Explanation:

The constant growth model of dividend discount model (DDM) can be used to calculate the price of the stock today. DDM calculates the price of a stock based on the present value of the expected future dividends from the stock. The formula for price today under constant growth DDM is,

P0 = D1 / (r - g)

Where,

D1 is the dividend expected in Year 1 or next yearg is the constant growth rate in dividends r is the discount rate or required rate of return

However, to calculate the Price of the stock today, we must first calculate the required rate of return (r) for the stock. The required rate of return can be calculated using the CAPM equation. The equation is as follows,

r = rRF + Beta  *  (rM - rRF)

Where,

rRF is the risk free rate rM is the expected return  on market

We know the risk free rate and expected return on market  and we also know that the beta of market is always equal to 1. So, the beta of stock which is 10% more volatile than the market will be,

Beta of stock = 1 * 10%  + 1   = 1.1

r = 0.05  +  1.1  *  (0.14 - 0.05)

r = 0.149 or 14.9%

The dividend expected for next year will be,

D1 = 4 * 30%  =  $1.2 per share

Using the DDM,

P0 = 1.2 / (0.149 - 0.08)

P0 = $17.39130 rounded off to $17.39

what is the importance of Business Development Services?​

Answers

Answer:

Business development services are important because they can assist entrepreneurs to run their business more effectively and, if appropriately applied, can act as an enhancer of access to finance and as an alternative form of “collateral” in circumstances where tangible collateral may be an impediment to meeting .

20) Although sounding contradictory, some firms see great benefit to orienting operations that simultaneously focus efforts on ensuring local responsiveness, aggressively reducing operational costs, and systematically transferring ideas and innovations among subsidiaries. Companies following this approach are considered to be following a(n) ________ strategy. multidomestic transnational international global

Answers

Answer:

transnational

Explanation:

A business strategy sets the overall direction for the business because it focuses on defining how a business would achieve its goals, objectives, and mission; as well as the funds and material resources required to implement or execute the business plan.

A transnational strategy can be defined as a set of planned actions through which a company focuses on establishing other branches in foreign markets. Thus, there exist some level of centralization, cooperation and interdependence between its headquarter, branches, subsidiaries and retail stores.

This ultimately implies that, a transnational strategy simply involves companies adopting the following approach;

I. Focusing efforts on ensuring local responsiveness.

II. Aggressively reducing operational costs.

III. Systematically transferring ideas and innovations among subsidiaries.

Hence, companies following the aforementioned approach are considered to be following a transnational strategy.

All of the following are qualities of certification programs except:

A.it is designed to train people for specific jobs
B.it is offered in vocational schools
C.people do not have to take general education courses
D.it takes several years to complete

Answers

Answer:

A

Explanation:

nor sure but I think this is the right one

Other Questions
Why did Great Britain seek an alliance with Tecumsehs confederacy?a.) Both parties had an interest in preventing westward American expansion.b.) The British foreign minister was a follower of Tecumsehs brother, the prophet Tenskwatawa.c.) The British were hoping to deprive the French of any potential Native American allies. the affected woman in generation IV is thinking about her future and ask her oncologist whether she can know wheter any or all her children will have a high risk of the same cancer. The doctor would be expected to advise which of the followingg (I) genetic counseling; (II) prenatal diagnosis when/if she becomes pregnant; (III) testing to see whether she has the allelle; (IV) testing to see whether her future spouse or partner has the allelle 41. 2072 Set E Q.No. 11 A source of sound produces a note of512 Hz in air at 17C with wavelength 66.5 cm. Find the ratioof molar heat capacities at constant pressure to constantvolume at NTP. Densities of air and mercury at NTP are1.293 kg/m3 and 13600 kg/m3 respectively.Ans: 1.36 who thinks i should quit i cant get any branist and i am bullied sometimes im also get in trouble if i get to deep in thought on here. i also cant answer questions Ive taken this in to considerations twice one of them was removed the other did me no good so pleases don't report me i trying to help but brainy is disagreeing with me helping. True or False. The pressure inside a piston is the same in all directions. what is the product of 4/5 and 6/7 which of the following human cells has a ploidy number of n?A uterineB spermC bladderD lung What type of irony is "Yeah, right, Einstein" (33)?In the book Inventing Elliot. PLS HELP WILL GIVE BRAINLIEST Malcolm's net worth is $3,475. His liabilities are $7,650.What is the totalvalue of his assets?A.) 3,475B.) 7,640C.) 10,005D.) 11,115 PLEASE HELP!!!Which supporting detail would best develop this topic? All of the following are basic questions answered by every economic system, EXCEPT:A.what to produceB.how to produceC.when to produceD.who uses what is producedPlease select the best answer from the choices providedABCD Qu pasa si incrementas la presin y la temperatura de un lquido?1 El lquido hierve2 El lquido transpira 3 El lquido se derrite 4 El lquido se solidifica 1. What causes community resilience? Guys pls help me!!!!!!!! During the holiday season,9,456 people visit the mallevery day. How manypeople visit the mall in 7 Find the missing word or phrase. A gas occupies 10.2 L at 0.986 atm. What is the pressure if the volume increases to 16.0 L? What are three pieces of evidence that support the claim that Jenner has been given credit for starting and spreading the practice of immunization?ANSWER: Jenner was first vaccinated at the age of 8. Becoming interested in diseases he sought out to create a vaccine for smallpox. Edward Jenner became known as the "father of immunology." When he created the vaccination for smallpox, he tested it and spread it across the world.(Key points needed to be correct)He thought to intentionally infect people.He tested a vaccine.He sent out the vaccine.He won many awards.Others continued his work.(copy n paste my answer for 5 pts and I'll report you:) ) Why do birds migrate south during the winter?A. strong northern winds drive them southO B. an increase in predators drives them southO C. to find foodO D. to find better nest building materials Hey, can someone please help me? Im pretty sure the answers are B and D but I just wanna make sure.