One aspect of using a cost leadership strategy is that experience effects may lead to lower costs. The experience effects are achieved by spreading out a given expense or investment over a greater volume.
hiring more experienced personnel. repeating a process until a task becomes easier. competing in an industry for a long time.The correct option among the given options is "repeating a process until a task becomes easier".
Explanation:
The term experience effects can be defined as a reduction in production costs that comes from manufacturing a particular volume of a product.
The experience effect is usually linked to economies of scale. When a company uses a cost leadership strategy, the goal is to reduce the cost of a product, which allows it to offer lower prices to consumers. This is how the company can maintain a competitive edge over its competitors.
Repeating a process until a task becomes easier is a technique to achieve experience effects. When the process is repeated, it leads to better efficiency, and this leads to lower costs.
For instance, if a company makes widgets and one worker makes ten widgets in an hour, if the worker repeats the same process, they can make more widgets in less time. The worker's efficiency will increase with practice, and this leads to lower costs.
Therefore, experience effects are achieved by repeating a process until a task becomes easier.
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firms invest billions of dollars in marketing research every year. why do marketers find this research valuable? first, it helps to reduce some of the uncertainty under which they constantly operate. successful managers know when research might help their decision making, and they take appropriate steps to acquire the information they need. second, marketing research provides a crucial link between firms and their environments, which enables firms to be customer-oriented because they build their strategies using customer input and continual feedback. third, by constantly monitoring their competitors, firms can respond quickly to competitive moves. this activity
Marketers find marketing research valuable because it helps reduce uncertainty, provides a link between firms and their environments, and enables firms to be customer-oriented and respond quickly to competitive moves.
Marketing research is a critical tool for firms seeking to succeed in a competitive marketplace. By gathering data and analyzing market trends, marketers can better understand their customers' needs and preferences, as well as the actions of their competitors. This allows firms to tailor their strategies to better meet customer demands and respond quickly to changes in the marketplace.
Additionally, marketing research helps reduce uncertainty and risk associated with decision-making, which is particularly important when investing significant resources in marketing initiatives. Overall, marketing research enables firms to be more effective, efficient, and customer-focused in their marketing efforts.
This question should be provided as:
Firms invest billions of dollars in marketing research every year. why do marketers find this research valuable? first, it helps to reduce some of the uncertainty under which they constantly operate. successful managers know when research might help their decision making, and they take appropriate steps to acquire the information they need. second, marketing research provides a crucial link between firms and their environments, which enables firms to be customer-oriented because they build their strategies using customer input and continual feedback. third, by constantly monitoring their competitors, firms can respond quickly to competitive moves. this activity is important because it helps contextualize a firm's marketing research investment.Learn more about marketing research https://brainly.com/question/24906199
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During the COVID 19 pandemic organizations experienced many changes where they fast forwarded into activities that previously seemed impossible. Technology played a major role in the response to this shift. In 2023, it is said that 50% of companies want workers back in office full time. As the CEO in your organization you have chosen to (a) Have workers return to work full time (5 days a week) justify your response by giving (4) pros and (4) cons Assignment requirements: When preparing your response, take into consideration the following issues: · Leadership and Motivation · Workplace Communication · Conflict Management · Teamwork The introduction and conclusion must included.
The COVID-19 pandemic caused organizations to experience unprecedented changes, including the shift towards remote work.
However, in 2023, as the CEO of an organization, I have decided to have workers return to the office full time, five days a week. This decision has both pros and cons, which I will discuss in this essay.Being in the office can help employees feel more connected to their colleagues, which can increase their motivation to work and improve team dynamics. Working in a shared environment can help employees feel more supported and encouraged by their supervisors, which can lead to improved leadership and mentorship opportunities.Some employees may have become accustomed COVID 19 to working from home and may experience a dip in motivation if forced to return to the office.Depending on the nature of the work, some employees may feel that returning to the office full time hinders their ability to balance work and personal responsibilities, which could lead to burnout and decreased motivation.
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What trends do you expect to see in 2031? How might you use your
smartphone differently in 2031? What everyday devices might be able
to connect to the Internet in 2031?
It's difficult to predict exactly what trends we will see in 2031, as technology and societal trends can shift rapidly. However, based on current trends, it's likely that we will see continued growth in areas like artificial intelligence, wearable technology, and the Internet of Things. We may also see increased use of virtual and mixed reality technologies in everyday life.
In terms of how we might use our smartphones differently in 2031, we can expect to see even more integration with other Internet-connected devices and services, as well as more advanced features like augmented reality and advanced voice assistants. It's possible that smartphones themselves may become less central to our daily lives as they are increasingly integrated with other devices.
As for everyday devices that might connect to the Internet in 2031, we could see a wide range of household appliances and products become part of the Internet of Things ecosystem. This could include everything from refrigerators and thermostats to clothing and personal care products. The goal of these devices would be to improve efficiency, convenience, and connectivity in our daily lives.
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Problem 7-13 Nonconstant Growth Stock Valuation Simpkins Corporation does not pay any dividends because it is expanding rapidly and needs to retain all of its earnings. However, investors expect Simpkins to begin paying dividends, with the first dividend of $1.75 coming 3 years from today. The dividend should grow rapidly - at a rate of 55% per year - during Years 4 and 5. After Year 5, the company should grow at a constant rate of 8% per year. If the required return on the stock is 14%, what is the value of the stock today (assume the market is in equilibrium with the required return equal to the expected return)? Round your answer to the nearest cent. Do not round your intermediate computations.
To value the stock of Simpkins Corporation, we need to determine the present value of all expected future dividends and the expected price of the stock at the end of Year 5.
What is a stock ?A stock, also known as a share or equity, represents a unit of ownership in a corporation. When an individual or an entity purchases a stock, they become a shareholder in the corporation and therefore have a claim to a portion of the company's assets and earnings. Shareholders are also entitled to vote on certain corporate decisions, such as the election of the board of directors and major company policies.
Stocks are traded on public exchanges, such as the New York Stock Exchange (NYSE) and the NASDAQ, where investors can buy and sell shares in listed companies. The price of a stock is determined by the supply and demand for that particular stock, with the market value reflecting investors' expectations of the company's future earnings and growth prospects. Stocks can be classified into different categories, such as common and preferred stock, and can also be categorized by the size and type of company, industry, and country. Stocks are considered to be a risky investment, but they also offer the potential for higher returns than other types of investments over the long.
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In terms of writing style, what are your most common errors?
What tips do you have for your cohorts in terms of improving your
writing style and avoiding these errors?
When it comes to writing style, the most common errors are incorrect grammar and punctuation, improper use of words, and confusing sentence structure.
To improve your writing style and avoid these errors, here are some tips:
1. Read your writing out loud: Hearing yourself read your writing can help you identify mistakes you may not have seen on the page.
2. Use proper grammar and punctuation: Make sure to follow the basic rules of grammar and punctuation, like using the correct forms of words and having the proper punctuation.
3. Check for any typos: Spell checkers can help with this, but sometimes they can miss mistakes or suggest an incorrect word.
4. Use the active voice: Using active voice, rather than passive voice, will make your writing more direct and clear.
5. Read over your work: After writing your work, take the time to read over your work and correct any errors.
Following these tips should help you improve your writing style and avoid common errors. Good luck!
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part u67 is used in one of broce corporation's products. the company's accounting department reports the following costs of producing the 15,600 units of the part that are needed every year. per unit direct materials $ 2.50 direct labor $ 3.50 variable overhead $ 6.30 supervisor's salary $ 6.80 depreciation of special equipment $ 7.90 allocated general overhead $ 5.00 an outside supplier has offered to make the part and sell it to the company for $27.00 each. if this offer is accepted, the supervisor's salary and all of the variable costs, including direct labor, can be avoided. the special equipment used to make the part was purchased many years ago and has no salvage value or other use. the allocated general overhead represents fixed costs of the entire company. if the outside supplier's offer were accepted, only $21,600 of these allocated general overhead costs would be avoided. required: a. prepare a report that shows the financial impact of buying part u67 from the supplier rather than continuing to make it inside the company. b. which alternative should the company choose?
Part U67 is used in one of Broce Corporation's products. If the outside supplier's offer is accepted, the supervisor's salary and all of the variable costs, including direct labor, can be avoided.
The special equipment used to make the part has no salvage value or other use, and the allocated general overhead represents fixed costs of the entire company.
If the company chooses to buy the part from the outside supplier, the following costs will be saved:
Total Cost Savings = $390,800 - $21,600 = $369,200
Based on the financial report, it is more cost-effective for the company to buy Part U67 from the outside supplier. This alternative would result in a cost savings of $369,200.
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in spite of the many advantages of alternative dispute resolution, litigation still has its place in resolving disputes. In light of the principles and legal materials studied in the business law course, determine and explain four circumstances where litigation will be the most appropriate method of resolving disputes.
Litigation may be the most appropriate method of resolving disputes in four circumstances:
(1) when a party's legal rights are at stake and need to be enforced through a court order;
(2) when the parties are unable to reach a mutually acceptable resolution through alternative methods;
(3) when the dispute involves complex legal or factual issues that require the expertise of a judge or jury; and
(4) when the dispute involves a matter of public interest or policy that requires a judicial decision.
In such cases, litigation may provide a formal, structured process for resolving the dispute, with the court acting as an impartial third party to interpret and apply the law. Additionally, litigation may provide an opportunity for establishing legal precedent or setting a standard for future cases.
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Bill Gates, entrepreneur, opened a computer business and completed the following transactions in May. Show the effects of the transactions on the accounting equation below. Show that the accounting equation balances. (a) (b) (c) (d) (e) (1) (g) B. Gates, Owner invested $65,000 cash in the business Purchased computer equipment for $26,000 on credit Received $75,000 cash for computer services performed in May Paid $15,000 for a portion of the computer equipment purchased in (b) above Billed $48,000 to customers who used credit to purchase computer services performed in May Gates withdrew $10,000 cash from the business Paid $9,000 for rent for May Assets Liabilities + Equity + + + Cash Accounts Receivable Equipment Accounts Payable Bill Gates Capital Bill Gates Withdrawals Revenues Expenses a b C d e f g Balances
The accounting equation balances. The effects of the transactions on the accounting equation can be shown as follows:
a) Assets (Cash) +$65,000; Liabilities + Equity (Bill Gates Capital) +$65,000
b) Assets (Equipment) +$26,000; Liabilities (Accounts Payable) +$26,000
c) Assets (Cash) +$75,000; Equity (Revenues) +$75,000
d) Assets (Equipment) -$15,000; Liabilities (Accounts Payable) -$15,000
e) Assets (Accounts Receivable) +$48,000; Equity (Revenues) +$48,000
f) Assets (Cash) -$10,000; Equity (Bill Gates Withdrawals) -$10,000
g) Expenses +$9,000; Equity (Revenues) -$9,000
The accounting equation balances when the total assets and total liabilities and equity equal zero:
Assets: Cash +$107,000 + Equipment +$11,000 = $118,000
Liabilities: Accounts Payable +$11,000
Equity: Bill Gates Capital +$65,000 + Bill Gates Withdrawals -$10,000 + Revenues +$112,000 - Expenses -$9,000 = $158,000
$118,000 (Assets) + $11,000 (Liabilities) = $129,000
$129,000 (Assets + Liabilities) = $158,000 (Equity)
$129,000 = $158,000
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Consider a three-year mortgage with annual payments in arrears. Suppose the probability of default is 1% in the first year and 5% each year thereafter given that default has not occurred previously.
a. What is the hazard function of this loan?
b. What is the unconditional default probability in Year 2?
c. What is the cumulative (or lifetime) default probability in this loan as of the time of its origination?
A three-year mortgage with annual payments in arrears has a probability of default of 1% in the first year and 5% each year thereafter given that default has not occurred previously.
The unconditional default probability in Year 2 is 5%.c. The cumulative (or lifetime) default probability in this loan as of the time of its origination is 0.157, i.e., 15.7%.Loan default probability is an estimation of the likelihood of a borrower defaulting on a loan.
The term "default" refers to a debtor's failure to pay an outstanding obligation to a lender. The probability of default is frequently computed for a bond or loan portfolio, as well as for an individual loan. The likelihood of default is computed using the following factors: credit rating, interest rates, payment frequency, loan duration, collateral, and other factors.
For example, if an individual wants to know the likelihood of defaulting on a loan with a three-year maturity, they must first look at the creditworthiness of the borrower to determine the probability of default. Then, based on this data, the borrower can estimate the likelihood of defaulting on their loan using an actuarial calculation.
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1. How would you utilize Open AI/ChatGPT, CRM, ERP, AI and
blockchain technology in your new business venture? In your
submission you are to cover the following in your submission: •
What is your business? Identify the industry your business is operating within? What value will your business offer to your customers?
Why will there be a need to utilize technology in your business venture?
Outline how you would incorporate and daily utilize the following technologies to start and build your business? –
Open AI/ChatGPT
CRM –
ERP –
AI
Blockchain
Based on the search results, it appears that Open AI/ChatGPT, CRM, ERP, AI, and blockchain technologies can be utilized in a variety of ways to enhance and optimize business operations.
Here is a suggested approach on how to utilize these technologies in a new business venture:
Define Your Business and Industry: Start by defining your business and the industry you want to operate within. Determine what value your business will offer to your customers, what sets you apart from competitors, and why there will be a need to utilize technology in your business venture.Incorporate Open AI/ChatGPT: Open AI/ChatGPT has various use cases, including customer service, lead generation, and marketing automation. By incorporating this technology, you could create a virtual assistant or chatbot that can assist customers with general inquiries, provide product recommendations, or even offer personalized support. This technology can help you boost customer satisfaction by providing an efficient and personalized experience.Utilize CRM: A Customer Relationship Management (CRM) system can help you keep track of customer interactions, sales leads, and market trends. By utilizing a CRM, you can centralize customer data, track customer engagement and interactions, and personalize customer experiences. This can help you provide better customer service, optimize sales processes, and drive higher customer engagement and loyalty.Implement ERP Systems: Enterprise Resource Planning (ERP) systems help businesses automate and streamline core processes such as finance, inventory management, and supply chain management. By implementing an ERP system into your business, you can centralize and optimize your critical business processes and improve productivity and efficiency.Leverage AI: Artificial Intelligence (AI) technology can help you automate and optimize certain tasks within your business such as data analysis, predictive modeling, and process automation. By leveraging AI to analyze customer data, you can identify buying patterns, anticipate demand, and personalize customer offerings. This technology can help you reduce operational costs, increase efficiency, and enhance customer experience.Utilize Blockchain: Blockchain technology can help you secure and automate financial transactions within your business. By using smart contracts and decentralized ledgers, you can enhance security and streamline transactions, resulting in better accountability and transparency.In summary, incorporating Open AI/ChatGPT, CRM, ERP, AI, and blockchain technology can help you optimize business operations, enhance customer experience, and increase productivity and efficiency. By integrating these technologies into your business model, you can differentiate your business from competitors and stay ahead of the competition.
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at december 31, amy jo's appliances had account balances in accounts receivable of $305,000 and in allowance for uncollectible accounts of $950 (credit) before adjustment. an analysis of amy jo's december 31 accounts receivable suggests that the allowance for uncollectible accounts should be 2% of accounts receivable. bad debt expense for the year should be:
Amy Jo's Appliance had an account balance of $305,000 in accounts receivable and $950 in allowance for uncollectible accounts.
Based on the analysis of December 31 accounts receivable, the allowance for uncollectible accounts should be 2% of accounts receivable. Therefore, the amount that should be adjusted is calculated as follows:
2% × $305,000 = $6,100.
The balance of the allowance for uncollectible accounts at the end of the year after adjustment is:
$950 + $6,100 = $7,050.
The bad debt expense for the year is calculated by the formula:
Bad debt expense = End balance of allowance for uncollectible accounts - Beginning balance of allowance for uncollectible accounts + Uncollectible accounts written off therefore, the bad debt expense is calculated as:
$7,050 - $950 + Uncollectible accounts written off.
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Question 19 options: The following information has been extracted from the financial statements of a company. Use it to answer the 4 questions that follow it. When answering the questions (filling in the blanks), DO NOT use dollar signs, USE commas to separate thousands, DO NOT use parenthesis to denote negative numbers, USE the negative sign in front of first digit for negative numbers. Round to the nearest dollar. Earnings before interests and taxes: EBIT = in 2020 500 Tax rate: T = 25% Accumulated depreciation in balance sheet of 2019 50 Accumulated depreciation in balance sheet of 2020 70 Net Fixed Assets in 2019 1,200 Net Fixed Assets in 2020 1,600 Other Long-Term assets in 2019 0 Other Long-Term assets in 2020 0 Net operating working capital (NOWC) in 2019 20 Current assets in balance sheet of 2020 30 Current liabilities in balance sheet of 2020 20
The change in net working capital from 2019 to 2020 is $10,000.
The given financial information has been provided for the purpose of answering the following questions: Earnings before interests and taxes: EBIT = in 2020 500Tax rate: T = 25%
Accumulated depreciation in balance sheet of 2019 50Accumulated depreciation in balance sheet of 2020 70Net Fixed Assets in 2019 1,200Net Fixed Assets in 2020 1,600Other Long-Term assets in 2019 0Other Long-Term assets in 2020 0Net operating working capital (NOWC) in 2019 20Current assets in balance sheet of 2020 30
Current liabilities in balance sheet of 2020 20
What is the change in net working capital from 2019 to 2020?
The change in net working capital from 2019 to 2020 can be calculated by the formula;
Δ NWC = Δ CA - Δ CLWhere;
Δ NWC = Change in Net Working Capital
Δ CA = Change in Current Assets
Δ CL = Change in Current Liabilities
Given,Current assets in balance sheet of 2020 = $30,000
Current liabilities in balance sheet of 2020 = $20,000Net operating working capital (NOWC) in 2019 = $20,000Substituting the values in the formula;
Δ NWC = $30,000 - $20,000Δ NWC = $10,000
Therefore, the change in net working capital from 2019 to 2020 is $10,000.
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Turnbull co. Is considering a project that requires an initial investment of $570,000. The firm will raise the $570,000 in capital by issuing $230,000 of debt a before-tax cost of 9. 6%, $20,000 of preferred stock at a cost of 10. 7%, and $320,000 of equity at a cost of 13. 5%. The firm faces a tax rate of 40%. What will be the wacc for this project?
The WACC for this project is 8.87% if Turnbull co. Is considering a project that requires an initial investment of $570,000.
To calculate the weighted average cost of capital (WACC), we need to determine the cost of each capital component, weight them based on their proportion in the capital structure, and then sum the weighted costs.
The cost of debt (Kd) can be calculated using the before-tax cost of debt and adjusting it for taxes:
[tex]Kd = before-tax cost of debt x (1 - tax rate)[/tex]
[tex]Kd = 9.6% x (1 - 0.4)[/tex]
Kd = 5.76%
The cost of preferred stock (Kp) can be calculated as the dividend yield:
Kp = preferred stock dividend / net issuing price
[tex]Kp = $20,000 x 10.7% / $20,000[/tex]
Kp = 10.7%
The cost of equity (Ke) can be calculated using the capital asset pricing model (CAPM):
Ke = risk-free rate + beta x market risk premium
Assume a risk-free rate of 3.5%, a beta of 1.2, and a market risk premium of 8.5%:
[tex]Ke = 3.5% + 1.2 x 8.5%[/tex]
Ke = 13.1%
Next, we need to calculate the weights of each component in the capital structure:
[tex]Debt weight = $230,000 / $570,000 = 0.4035[/tex]
[tex]Preferred stock weight = $20,000 / $570,000 = 0.0351[/tex]
[tex]Equity weight = $320,000 / $570,000 = 0.5614[/tex]
Finally, we can calculate the WACC:
[tex]WACC = Kd x debt weight + Kp x preferred stock weight + Ke x equity weight x (1 - tax rate)[/tex]
[tex]WACC = 5.76% x 0.4035 + 10.7% x 0.0351 + 13.1% x 0.5614 x (1 - 0.4)[/tex]
WACC = 8.87%
Therefore, the WACC for this project is 8.87%.
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In System Analysis and Design
1) what is requirement analysis strategy that would be approriate to use when taking a businessnprocess reengineering (BPR) approach?
a) Root Cause Analysis
b) Problem Analysis
c) Activity Elimination
d) Duration Analysis
e) Activity Based Costing
The requirement analysis strategy that would be appropriate to use when taking a business process reengineering (BPR) approach is (A) Root Cause Analysis.
This is because BPR involves a complete redesign of existing business processes to achieve significant improvements in performance, quality, and efficiency. To achieve this, it is necessary to identify the root causes of problems in the current process and then develop new solutions that address these issues. Root cause analysis involves a systematic approach to identifying the underlying causes of problems or issues within a process, which is essential to identify opportunities for improvement and develop effective solutions that address these root causes.
Thus, the correct answer to this question is option A.
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responsibility is a key part of which ethical principle
Answer:
accountability
Explanation:
if the inflation rate was 2.60% and the nominal interest rate was 9.00% over the last year, what was the real rate of interest over the last year? disregard cross-product terms; that is, if averaging is required, use the arithmetic average.
The real rate of interest over the last year when the inflation rate was 2.60% and the nominal interest rate was 9.00% is equal to 6.40%.
Real interest rate can be calculated using the following formula:
Real Interest Rate = Nominal Interest Rate – Inflation Rate
Where,
Real Interest Rate refers to the purchasing power of the interest rate.
Nominal Interest Rate refers to the rate of interest that has been stated on the loan or deposit account.
Inflation Rate refers to the percentage increase in the price level of goods and services over a period of time.
So, putting the given values into the above formula, we get:
Real Interest Rate = Nominal Interest Rate – Inflation Rate
= 9.00% - 2.60%
= 6.40%
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a 10-year treasury bond has an 8% coupon, and an 8-year treasury bond has a 10% coupon. neither is callable, and both have the same yield to maturity. if the yield to maturity of both bonds increases by the same amount, which of the following statements would be correct? a. both bonds would decline in price, but the 10-year bond would have the greater percentage decline in price. b. the prices of both bonds would increase by the same amount. c. both bonds would increase in price, but the 10-year bond would have the greater percentage increase in price. d. both bonds would decline in price, but the 8-year bond would have the greater percentage decline in price.
Among the options, the correct statement is: both bonds would decline in price, but the 10-year bond would have the greater percentage decline in price. (option a)
When a bond's yield to maturity increases, its price decreases. This is because when interest rates rise, newly issued bonds will have a higher yield to maturity than existing bonds with lower yields.
As a result, investors will demand a higher yield on existing bonds in order to compensate for the difference in yields. Conversely, when interest rates decrease, bond prices increase.
In the scenario given, both the 8-year and 10-year treasury bonds have the same yield to maturity. Therefore, if the yield to maturity on both bonds increases by the same amount, both bonds will decline in price by the same percentage. The coupon rate on the bonds (8% and 10%) is not relevant to the answer, as it only affects the interest payments the investor receives, not the bond's price.
Therefore the correct answer is option a.
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Question 3 (12 marks) Apple uses contract manufacturers to produce its devices in China. In 2021, Apple had 51 suppliers based in China and Hong Kong. One of the largest plants at which Apple’s iPhones are manufactured in China is the Hon Hai Precision Industries Co. Ltd., informally called the iPhone City, which is owned and operated by Foxconn, a Taiwanese multinational electronics contract manufacturer headquartered in Tucheng, New Taipei City, Taiwan. Assuming that during the peak production season of December 2021, 500 000 iPhones were assembled at the iPhone City (i.e., Hon Hai Precision Industries) every day. 350 000 workers worked at the plant that month, working eight and half-hours every single day.
3.1 Discuss the concept of contract manufacturing, and state one advantage and one disadvantage of contract manufacturing. (4 marks)
3.2 What was the labour productivity per day at the Hon Hai Precision plant during December 2021? (Round off answer to three decimal places). (3 marks)
3.3 Suppose that the management of Hon Hai Precision plant wanted to increase productivity to 0.20 iPhones per labourhour during January 2022, approximately how many workers were required to work at the plant per day to achieve the new productivity target in January 2022? Explain the value obtained. Assume that each workers worked eight and halfhours per day during January 2022 (Round off answer the nearest whole number). (5 marks)
Contract manufacturing is business model in which a company hires a third-party manufacturer to produce the goods on their behalf.
What is contract manufacturing?Contract manufacturing is a business model where a company outsources the production of its products to a third-party manufacturer. The manufacturer is responsible for the production process, including sourcing materials, production, and quality control, while the client company retains ownership of the product design, intellectual property, and distribution. Contract manufacturing is commonly used by companies looking to reduce production costs, increase production capacity, or access specialized manufacturing expertise. It is also used by startups and small businesses that don't have the resources to establish their own manufacturing facilities. Contract manufacturing can be a cost-effective solution for companies looking to scale their production while avoiding the upfront investment and ongoing maintenance costs of their own manufacturing facilities.
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Based on the discussion of Case 11"MacDonald’s half a century of growth" demonstrate the chronological changes in the operations strategy of the company since its inception till 2005. Also, demonstrate how application of Industry 4.0 technologies have revised its operations strategy decisions.
The operations strategy of McDonald's has changed significantly over the past fifty years. In the beginning, McDonald's was an assembly-line restaurant focused on producing large amounts of food at a low cost.
In the 1980s, McDonald's shifted to a more customer-focused model, where they began to customize their food and offer a wide variety of menu items. In the 1990s, McDonald's shifted their focus to expanding globally, which was seen as a success for the company.
In the 2000s, McDonald's implemented a strategy of creating healthier menu options and menu items that could be customized to fit the needs of customers.
In recent years, the application of Industry 4.0 technologies has revised McDonald's operations strategy decisions. For example, McDonald's has implemented digital technologies to improve its supply chain, improve the customer experience, and increase its customer base.
McDonald's has also implemented Artificial Intelligence (AI) to increase efficiency and accuracy of its customer order taking. Finally, McDonald's has also adopted Big Data and Predictive Analytics to analyze customer buying patterns and trends to further improve their operations strategy.
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The University wishes to appoint a new Vice-Chancellor and Chief Executive. It offers the job to Professor Chris Berlin of Namur University. A contract is signed on 1 June 201A, providing for a term of three years at $200,000 per year plus performance incentives. Professor Berlin is to take up her position on 1 December 201A. On 1 July 201A, Professor Berlin is seriously injured in a roller blade accident, and on the available medical advice, it is clear that she will not be able to take up the appointment until 25 April 201B. Can the University terminate Professor Berlin’s contract?
Although Professor Berlin cannot take up the position due to an injury, the university cannot terminate Professor Berlin’s contract.
The contract provides for a term of three years. This means that Professor Berlin is to remain in employment with the University for three years. The term of three years starts on 1 June 201A and ends on 31 May 201D. The contract provides for a start date of 1 December 201A. This means that Professor Berlin is to take up her position on 1 December 201A. Professor Berlin is unable to take up the appointment until 25 April 201B. This means that Professor Berlin is unable to take up her position for eight months. Professor Berlin will not be able to work for the University during this period.
The grounds for termination of a contract are provided in the contract of employment. The contract of employment will provide for circumstances under which the contract can be terminated such as termination with notice, termination without notice, mutual agreement, misconduct, redundancy, etc.
Professor Berlin’s contract cannot be terminated because she is unable to take up her position for eight months. The reason for her inability to work is an accident that occurred outside the workplace. The contract of employment does not provide for termination in these circumstances. Therefore, the University cannot terminate Professor Berlin’s contract.
The University has to wait until Professor Berlin is able to take up her position. The University may consider alternative arrangements during the period of eight months. For example, the University may appoint a temporary Vice-Chancellor and Chief Executive. Alternatively, the University may appoint an acting Vice-Chancellor and Chief Executive. The University may also consider an extension of Professor Berlin’s contract to cover the period of eight months.
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The senior management at Davis Watercraft would like to determine if it is possible to improve firm profitability by changing their existing product mix. Currently, the product mix is determined by giving resource priority to the highest contribution margin watercrafts. Davis Watercraft always has a contingent of 10 workers on hand; each worker is paid $28 per hour. Overhead costs are$25,000per week. The plant operates 18 hours per day and 6 days per week. Labor is considered a fixed production information is provided below.
modal A B C
Price $440 $365 $480
Material cost $40 $45 $110
weekly demand 90 68 36
processing time station 1 66 0 33
processing time station 2 0 0 66
processing time station 3 11 66 0
processing time station 4 22 33 44
a. using the traditional method, which bases decision solely on a product's contronution to profits and overhead, what is the product ix that yields the highest total profit?
Using the contribution margin, the product mix that yields the highest total profit is not feasible as it results in a negative profit of -$126,520.
What product mix yields the highest total profit?To determine the product mix that yields the highest total profit using the traditional method, we need to calculate the contribution margin per unit for each product first. The contribution margin is calculated as the difference between the selling price and the variable cost per unit. In this case, the variable cost includes only the material cost, as labor is considered a fixed cost.
Modal A:
Contribution margin = selling price - variable cost
= $440 - $40
= $400
Modal B:
Contribution margin = selling price - variable cost
= $365 - $45
= $320
Modal C:
Contribution margin = selling price - variable cost
= $480 - $110
= $370
Next, we need to calculate the weekly contribution margin for each product by multiplying the contribution margin per unit by the weekly demand.
Modal A:
Weekly contribution margin = contribution margin per unit x weekly demand
= $400 x 90
= $36,000
Modal B:
Weekly contribution margin = contribution margin per unit x weekly demand
= $320 x 68
= $21,760
Modal C:
Weekly contribution margin = contribution margin per unit x weekly demand
= $370 x 36
= $13,320
Finally, we need to calculate the total profit for each product mix by subtracting the fixed costs (overhead and labor) from the total contribution margin.
Modal A + B + C:
Total contribution margin = $36,000 + $21,760 + $13,320
= $71,080
Total fixed costs = overhead + (number of workers x hours worked x hourly rate)
= $25,000 + (10 x 18 x 6 x 28)
= $197,600
Total profit = Total contribution margin - Total fixed costs
= $71,080 - $197,600
= -$126,520
Therefore, using the traditional method, the product mix that yields the highest total profit is not feasible as it results in a negative profit of -$126,520.
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Modal A has the highest total contribution margin of $19,440, so it is the product that yields the highest total profit using the traditional method.
How did we get the assertion?To determine the product mix that yields the highest total profit using the traditional method, we need to calculate the contribution margin for each product first. The contribution margin is calculated as the difference between the selling price and the variable cost per unit.
For modal A:
Contribution margin = $440 - $40 - (66 + 11 + 22) x $28 = $440 - $40 - $5184 = $216
For modal B:
Contribution margin = $365 - $45 - (68 + 33) x $28 = $365 - $45 - $2852 = $68
For modal C:
Contribution margin = $480 - $110 - (36 + 44) x $28 = $480 - $110 - $2912 = $458
Now we can calculate the total contribution margin for each product by multiplying the contribution margin by the weekly demand.
For modal A:
Total contribution margin = $216 x 90 = $19,440
For modal B:
Total contribution margin = $68 x 68 = $4,624
For modal C:
Total contribution margin = $458 x 36 = $16,488
The product mix that yields the highest total profit is the one that has the highest total contribution margin. In this case, modal A has the highest total contribution margin of $19,440, so it is the product that yields the highest total profit using the traditional method.
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William was the marketing director of a trading company which carries business in Hong Kong. He received an annual salary of HK$700,000 for the year ended 31 March 2022.
In December 2021, William took a 10-days trip to Canada to visit his son who is now taking a full-time degree program in the University of Canada. He spent one afternoon to visit one of the major customers. He spent HK40,000 for the entire trip and his employer fully reimbursed him.
During the period from 1 April 2021 to 30 September 2021, he and his family lived in a hotel of two rooms which was rented for HK$20,000 per month by his employer. Starting from 1 October 2021 he and his family lived in a flat which was rented by him for HK$25,000 per month and his employer only reimbursed him HK$24,000 per month. Documentary evidence had to be submitted for the reimbursement.
During the year ended 31 Mach 2022, William made the following payment:-
1) Paid annual membership fee of HK$4,000 to Chartered Institute of marketing
2) Donated two computers of HK$8,000 to the Red Cross
3) Paid MPF of HK$20,000
4) Paid care expenses of HK$110,000 to a registered care home for maintaining his
grandfather who was 88 years old. William has a son aged 22 and his wife is a housewife who stays in Canada to takecare the so n. William’s parents, both are aged 58, live with him throughout the year. William also maintains his wife’s parents, both aged 60, by contributing HK$30,000 to them during the year. His wife’s parents lived in a flat which was owned by him in China and he paid mortgage loan interest of HK$88,000 during the year ended 31 March 2022.
a) Calculate the salaries tax liability of William for the year of assessment
2021/22. (Ignore provisional tax and tax rebate)
b) Based on your answer in (a) above, explain your tax treatment regarding
the 10-days trip of HK$40,000 to Canada.
a) The salaries tax liability of William for the year of assessment 2021/22 is determined by his total assessable income and the applicable tax rate.
His total assessable income is calculated as follows:
Annual salary: HK$700,000
Hotel Rent: HK$20,000 (for period April 2021 to Sept 2021) + HK$24,000 (for period October 2021 to March 2022) = HK$44,000
Membership Fee: HK$4,000
Computer Donation: HK$8,000
MPF Payment: HK$20,000
Care Expenses: HK$110,000
Mortgage Interest: HK$88,000
Total assessable income = HK$866,000
The applicable tax rate for salaries of HK$700,000 or less is 15%.
Therefore, William’s salaries tax liability for the year of assessment 2021/22 is HK$129,900 (HK$866,000 x 15%).
b) The 10-days trip to Canada is a tax-deductible expense for William, as long as it is related to his employment in Hong Kong. Since his employer fully reimbursed the expenses of HK$40,000, it is not considered taxable income for him and the amount is deducted from his total assessable income.
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Forms of Efficient Markets. Fill in the missing words from the following list: semi-strong, strong, weak. (凹巛 LO7.4) There are three forms of the efficient-market theory. Tests that have found there are no patterns in share price changes provide evidence for the (a) form of the theory. Evidence for the (b) form of the theory is provided by tests that look at how rapidly markets respond to new public information, and evidence for the (c) form of the theory is provided by tests that look at the trading performance of company insiders such as executives or board members.
There are three forms of the efficient-market theory: weak, semi-strong, and strong. Each form of the theory is supported by different types of evidence. The weak form of the theory is supported by tests that have found there are no patterns in share price changes.
The semi-strong form of the theory is supported by tests that look at how rapidly markets respond to new public information. The strong form of the theory is supported by tests that look at the trading performance of company insiders such as executives or board members.
Therefore, the correct answers to fill in the missing words are:
(a) weak
(b) semi-strong
(c) strong
In summary, the three forms of Efficient Markets are the weak form, the semi-strong form, and the strong form. Each form is supported by different types of evidence, including tests that look at share price changes, market response to new information, and trading performance of company insiders.
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How does Walmart's use of technology help the company manage its
supply chain more effectively? Provide specific examples of
technologies that Walmart uses and explain how they contribute to
the company's success.
Please answer the question in the context on the article : Case Study: Supply Chain Management at Walmart
Walmart uses technology to manage its supply chain more effectively by implementing a variety of systems such as inventory management, radio frequency identification (RFID), and transportation management.
These technologies allow Walmart to optimize its inventory, reduce waste, and increase efficiency. RFID, for example, helps Walmart track its products from the manufacturer to the store shelf, reducing the time it takes to restock items and improving accuracy.
Walmart's inventory management system uses real-time data to predict demand and ensure the right amount of stock is available in stores. Overall, these technologies help Walmart reduce costs, improve customer satisfaction, and maintain a competitive edge in the retail industry.
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Miranda’s Burger House uses a weighted average method to forecast burger sales. It assigns a weight of 35% to the previous month’s demand, 48% to the demand for burgers two months ago, and 27% to the demand for burgers three months ago.
- Suppose burger sales in June were 4000, 2900 burgers in July and 6,500 burgers in July. What should be the forecast for burgers in August?
- Under which circumstances are weighted averages important to use?
- The forecast for burgers in August should be 4747 burgers.
- Circumstances in which weighted averages are important to use: In finance, weighted averages are commonly used for portfolio analysis, financial forecasting, and statistical modeling.
Miranda’s Burger House uses the weighted average method to forecast burger sales. It assigns a weight of 35% to the previous month’s demand, 48% to the demand for burgers two months ago, and 27% to the demand for burgers three months ago. Using the given data, the forecast for burgers in August can be calculated by using the weighted average method. The weighted average formula is:
Weighted Average = (W1 x X1) + (W2 x X2) + (W3 x X3)
Where, W = weightage, X = sales
We have, W1 = 35%, W2 = 48%, W3 = 27%, X1 = 6500, X2 = 2900, X3 = 4000. Substituting the given values in the formula:
Weighted Average = (0.35 x 6500) + (0.48 x 2900) + (0.27 x 4000)
Weighted Average = 2275 + 1392 + 1080
Weighted Average = 4747
In the same way, we can forecast the sales of the next month or any number of months. The method of assigning weights to the previous data to forecast future data is called the weighted average method. In order to forecast future sales or revenue streams, weighted averages are commonly used in business. These data sets may be influenced by past values of a variable or by trends, and a weighted average can account for these influences.
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The ______ that permits price differentials based on differences in the cost of manufacture, sale, or delivery of commodities is recognized by the Robinson-Patman amendment.
The antitrust law that permits price differentials based on differences in the cost of manufacture, sale, or delivery of commodities is recognized by the Robinson-Patman amendment.
The Robinson-Patman Act, also known as the Anti-Price Discrimination Act of 1936, is a US law that prohibits price discrimination, which is the act of charging different prices to different consumers for the same goods or services. It is an amendment to the Clayton Antitrust Act of 1914.
According to the given question, we have to identify the correct option that fills the blank. So, let's look at the options.(a) Clayton Act(b) Sherman Act(c) Robinson-Patman Act(d) Federal Trade Commission (FTC) Act. Option (c) seems to be the correct option that fills the blank. So, let's move to the explanation. The Robinson-Patman Act is a US law that prohibits price discrimination, which is the act of charging different prices to different consumers for the same goods or services.
The law applies to a wide range of businesses, from manufacturers to wholesalers to retailers. It is an amendment to the Clayton Antitrust Act of 1914.The Robinson-Patman Act permits price differentials based on differences in the cost of manufacture, sale, or delivery of commodities.
Therefore, the antitrust law that permits price differentials based on differences in the cost of manufacture, sale, or delivery of commodities is recognized by the Robinson-Patman amendment.
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What process would you adopt to form evaluative judgments and
conclusions based on the data collected, analyzed, and synthesized?
Who would be involved in this process?
A process of synthesizing and analyzing data collected through various sources involving stakeholders and experts would be adopted. This process would involve identifying and prioritizing key findings and developing recommendations based on the data analysis.
To form evaluative judgments and conclusions based on the data collected, analyzed, and synthesized, the following process can be adopted:
Review the research questions and hypotheses to ensure that they are answered by the data.Check the data for accuracy, consistency, and completeness.Analyze the data using appropriate statistical techniques and qualitative methods.Identify patterns, relationships, and trends in the data.Synthesize the results to draw conclusions and answer the research questions.Interpret the findings in light of the study's purpose, the literature review, and relevant theories.Discuss the limitations of the study and make recommendations for future research.The process would involve the researchers, data analysts, subject matter experts, and stakeholders who have an interest in the research findings. Collaboration among the team members would be important to ensure that the data are interpreted and analyzed correctly, and that the conclusions are valid and reliable. The involvement of stakeholders would be essential to ensure that the conclusions are relevant to the research problem and that they can be used to make informed decisions.
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You've just completed a pilot run of 10 units of a major product and found the processing time for each unit as follows % Change 65.979% 59.375% 59.524% 54.474% 59.375% a) What is the learning curve rate, based on this information? 59.745% b) Using the learning curve rate in (a), estimate the length of time the clerk will take to complete the first 190 units. 11,310.59 c) How long (total amount of time) will it take to complete the 1000th unit? 5.721
It will take approximately 11,310.59 units of time to complete first 190 units using the learning curve rate.
What is learning curve rate?A learning curve rate refers to the rate at which a person or a system becomes more proficient at a particular task or skill through practice or experience. It is typically measured by the amount of time or the number of repetitions it takes to achieve a certain level of mastery. The learning curve rate can vary depending on various factors such as the complexity of the task, the individual's prior knowledge and experience, and the quality and frequency of feedback provided during the learning process. A steep learning curve rate implies that the individual or system is able to learn quickly and efficiently, while a slow learning curve rate indicates that the learning process is more gradual and requires more time and effort. Understanding the learning curve rate is important for setting realistic expectations and developing effective learning strategies.
Unit 2 / Unit 1 = 59.375% / 65.979% = 0.9
Unit 3 / Unit 2 = 59.524% / 59.375% = 1.0025
Unit 4 / Unit 3 = 54.474% / 59.524% = 0.9144
Unit 5 / Unit 4 = 59.375% / 54.474% = 1.0909
Average Unit Time Ratio = (0.9 + 1.0025 + 0.9144 + 1.0909) / 4 = 0.97695
Learning Curve Rate = (Log (2)/Log (0.97695)) = 59.745%
Time for 190th Unit = Time for 1st Unit x (190^Log(59.745%))
Time for 190th Unit = 1 x (190^Log(0.59745)) = 11,310.59
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Workers in a culture of _____ blow the whistle on an unethical
manager. 1. Individualism 2. High power distance 3. Low power
distance 4. Collectivism
Workers in a culture of Low power distance blow the whistle on an unethical manager.
Power distance refers to the extent to which a society accepts or challenges the unequal distribution of power in relationships, institutions, and organizations.
In societies with a low power distance, the distribution of power is equal, or rather equal. In these societies, hierarchical relationships are discouraged or eliminated, and egalitarianism is promoted.
However, in societies with a high power distance, the distribution of power is extremely unequal, and hierarchical relationships are common. Workers in a culture of High power distance fear their supervisors, and they will not stand up for what they believe in if it puts their position in jeopardy. They will instead keep silent, respect authority, and maintain a respectful distance from their superiors.
In individualistic cultures, people prioritize their own interests, goals, and personal welfare over those of others, even their groups or communities. Collectivist societies, on the other hand, prioritize the needs and interests of the group or community over the needs and interests of the individual.
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Suppose that in 2014, currency in circulation was $1,100 billion, required reserves were $65 billion, and excess reserves were $935 billion. At that time, the value of open market operations by the federal reserve was $80 billion. The monetary base was
The total amount of legal tender in use and bank reserve balances at the Federal Reserve is called as the monetary base.
The amount of money now in use is $1,100 billion, while the necessary reserves are $65 billion. The surplus reserves are given as $935 billion as well. As a result, the amount of reserves that banks have in total at the Federal Reserve is:
Total reserves = Required reserves + Excess reserves
Total reserves = $65 billion + $935 billion
Total reserves = $1,000 billion
the monetary base can be calculated as:
Monetary base = Currency in circulation + Total reserves
Monetary base = $1,100 billion + $1,000 billion
Monetary base = $2,100 billion
thus, the monetary base was about $2,100 billion dollars.
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