An examination of the financial accounts of Star Corporation for the month of September
2021 revealed the following errors after the transactions were journalised and posted. Prepare
correcting entries for each of the above assuming the erroneous entries are not reversed.
(1) When making the entry to record the year's depreciation expense, the bookkeeper debited
Accumulated Depreciation for RM5,000 and credited Cash for RM5,000.
(2) When accruing interest on a note payable, the accounts clerk debited Interest Receivable
for RM4,000 and credited Interest Payable for RM4,000.
(3) A cheque for RM1,160 was received as payment on account. The accounts clerk debited
Accounts Payable for RM1,700 and credited Accounts Receivable for RM1,700.
(4) A collection of RM12,000 from a client on account was debited to Cash RM4,000 and
credited to Service Revenue RM4,000.
(5) A cheque for RM1,400 was issued for goods previously purchased on account. The
accounts clerk debited Accounts Receivable and credited Bank for RM1,400.

Answers

Answer 1

The correcting entry for this erroneous entry is:Debit Accounts Payable by RM1,400Credit Bank by RM1,400

(1) When making the entry to record the year's depreciation expense, the bookkeeper debited Accumulated Depreciation for RM5,000 and credited Cash for RM5,000.

The journal entry to record the depreciation of fixed assets is to debit Depreciation Expense and credit Accumulated Depreciation. Therefore, the correction entry to fix the erroneous journal entry is as follows:Debit Depreciation Expense by RM5,000Credit Accumulated Depreciation by RM5,000

(2) When accruing interest on a note payable, the accounts clerk debited Interest Receivable for RM4,000 and credited Interest Payable for RM4,000.The journal entry to record interest payable is to debit Interest Expense and credit Interest Payable. Thus, the correcting entry is:Debit Interest Expense by RM4,000Credit Interest Payable by RM4,000

(3) A cheque for RM1,160 was received as payment on account. The accounts clerk debited Accounts Payable for RM1,700 and credited Accounts Receivable for RM1,700.The correcting entry to fix the erroneous journal entry would be:Debit Cash by RM1,160Credit Accounts Receivable by RM1,160

(4) A collection of RM12,000 from a client on account was debited to Cash RM4,000 and credited to Service Revenue RM4,000.To correct this error, the following journal entry is required:Debit Cash by RM8,000Credit Accounts Receivable by RM8,000

(5) A cheque for RM1,400 was issued for goods previously purchased on account. The accounts clerk debited Accounts Receivable and credited Bank for RM1,400.The journal entry to record payment for the purchase of goods on credit is to debit Accounts Payable and credit Cash.

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Related Questions

Which of the following statements is TRUE?
Standard deviation is a measurement of both systematic and unsystematic risk.
Modern portfolio theory makes the assumption that investors are risk-neutral.
Only systematic risk is important for all portfolios.
Only very risk averse investors hold portfolios on the efficient frontier.

Answers

Standard deviation is a measurement of both systematic and unsystematic risk. The correct option is A

Standard deviation is a statistical measure that quantifies the dispersion or variability of returns for a given investment or portfolio. It is commonly used as a measure of risk. In the context of investments, risk can be classified into two main types: systematic risk and unsystematic risk.

Systematic risk refers to the risk that is inherent in the overall market or a particular asset class. It cannot be diversified away as it affects the entire market or a specific segment. Examples of systematic risk include changes in interest rates, economic factors, or geopolitical events.

Unsystematic risk, on the other hand, is specific to individual securities or companies. It can be diversified away by building a well-diversified portfolio. Unsystematic risk is related to factors such as company-specific events, industry risks, or management decisions.

The other statements in the options provided are not true: Modern portfolio theory does not assume that investors are risk-neutral. It recognizes that investors have different risk preferences and seeks to optimize portfolios based on risk and return trade-offs. The correct option is A

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sixteen years ago, ms. cole purchased a $506,000 insurance policy on her own life and named her son as sole beneficiary. she has paid $31,372 total premiums to keep this policy in force. required: this year, she liquidates the policy for its $38,962 cash surrender value. does she recognize income on the liquidation? now assume that ms. cole is terminally ill. the insurance policy provides that a person with a life expectancy of less than one year can liquidate the policy and receive 80 percent of the death benefit. she does so and receives a $404,800 accelerated death benefit. does she recognize income on the liquidation?

Answers

In the first scenario, Ms. Cole sells the insurance policy for its $38,962 cash surrender value, but she does not record the sale as an income source. The cash surrender value is a reimbursement for the premiums she has already paid and is typically not subject to income tax.

Ms. Cole does not recognize income on the liquidation in the second scenario, where she is terminally sick and receives an expedited death benefit of $404,800. If the policyholder has a life expectancy of less than one year, the accelerated death benefit is normally not taxable as income. It's crucial to keep in mind that tax laws can differ, so Ms. Cole should speak with a tax expert to ensure that she is adhering to all applicable laws in her country.

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If costs rise in a somewhat linear fashion as the number of services offered rises, this may be: a. a fixed cost b. A variable cost, since each additional service adds to the cost. c. A mixed cost, but further analysis is needed through the completion of a scattergraph

Answers

If costs rise in a somewhat linear fashion as the number of services offered rises, this may be a variable cost, since each additional service adds to the cost.

Variable costs are costs that increase or decrease as a result of changes in the amount of goods or services a company produces. For example, if a bakery makes 1000 loaves of bread, it will require a certain amount of flour, water, and electricity, but if it produces 2000 loaves, it will require more of those items, resulting in higher variable expenses. Variable costs can be distinguished from fixed costs, which do not change as production volumes increase or decrease, and semi-variable costs, which are fixed up to a certain point and then become variable.

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Finn and Hannigan form a partnership, contributing $40,000 and $60,000, respectively. Determine their shares of net income or net loss for each of the following independent situations: (Use a minus si

Answers

The net loss distribution of Finn and Hannigan will be as follows: Finn's share of net loss: (40,000 / 100,000) x 60,000= $24,000 Hannigan's share of net loss: (60,000 / 100,000) x 60,000= $36,000

Finn and Hannigan are two business partners who have contributed $40,000 and $60,000, respectively, in a partnership firm. In this article, we will discuss the two scenarios in which Finn and Hannigan will receive net income or net loss as per their investments in the partnership.

What is a partnership? A partnership is a business structure in which two or more individuals operate a business together and share profits and losses equally. In partnerships, each partner is responsible for paying taxes on their share of the partnership's income. Also, each partner shares in the partnership's income, as well as liabilities and debts if the business is not successful.

Now, let's discuss the two scenarios based on which Finn and Hannigan will receive net income or net loss as per their investment in the partnership.1. Net income of $80,000If the partnership generates a net income of $80,000, Finn and Hannigan will share this net income according to their investments. As Finn has contributed $40,000 (less than Hannigan), her share of net income will be less than Hannigan's.

Hence, the net income distribution of Finn and Hannigan will be as follows: Finn's share of net income: (40,000 / 100,000) x 80,000= $32,000 Hannigan's share of net income: (60,000 / 100,000) x 80,000= $48,0002.

Net loss of $60,000If the partnership generates a net loss of $60,000, Finn and Hannigan will share this net loss according to their investments. As Finn has contributed $40,000 (less than Hannigan), her share of the net loss will be less than Hannigan's.

Therefore, as per the above two scenarios, Finn and Hannigan's share of net income or net loss will be determined by their investment ratio in the partnership firm.

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Company P acquired 100% of Company S on July 1, 2021 for $590,000. The purchase price was $300,000 in excess of S’s $290,000 book value of Stockholders’ Equity on the acquisition date, and all of the excess was allocated to a patent with a useful life of ten years. Company S reported net income of $25,000 for 2021, reported a net loss of $10,000 in 2022, and reported net income of $35,000 in 2023. Company S paid dividends of $5,000 in 2022 and $12,000 in 2023.
Assume Company P uses the initial value method to account for its investment in S. What consolidating entry would be necessary to adjust P’s retained earnings balance if we were preparing consolidated financial statements as of 12/31/23?
Assume Company P uses the partial equity method to account for its investment in S. What consolidating entry would be necessary to adjust P’s retained earnings balance if we were preparing consolidated financial statements as of 12/31/23?

Answers

If Company P uses the initial value method to account for its investment in Company S, no consolidating entry would be necessary to adjust P's retained earnings balance as of 12/31/23. The initial value method recognizes the investment at its initial cost and does not adjust for subsequent changes in the investee's retained earnings. Therefore, P's retained earnings balance would remain unaffected.

If Company P uses the partial equity method to account for its investment in Company S, a consolidating entry would be necessary to adjust P's retained earnings balance as of 12/31/23. The partial equity method recognizes P's share of S's net income or loss in P's income statement. Based on the given information, P's share of S's net income would be $10,500 ($35,000 - $10,000 loss = $25,000 net income for 2021 and 2023 combined). This amount would need to be added to P's retained earnings to reflect the increase in value resulting from its ownership in S.

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These are short multiple choice questions- please answer all
Which of the following items produces a temporary book-tax
difference?
Addition to bad debt allowance.
Federal income tax paid.
Municipal b

Answers

Addition to bad debt allowance produces a temporary book-tax difference. Tax-exempt interest produces a permanent book-tax difference.

The temporary book-tax difference is a difference that arises from different timing in recognizing transactions between book and tax records. These temporary differences result in deferred tax assets or liabilities that will eventually be realized on future tax returns or financial statements.

Here are the answers to the multiple-choice questions:

1. Which of the following items produces a temporary book-tax difference? - Addition to bad debt allowance.

2. Which of the following items produces a permanent book-tax difference? - Tax-exempt interest.

3. Which of the following is an example of a deferred tax liability? - Income is reported for tax purposes in year 1 but reported in financial statements in year 2.4.

Which of the following is an example of a deferred tax asset? - Expenses are reported for tax purposes in year 2 but reported in financial statements in year 1.5.

Which of the following is the formula to calculate deferred tax assets or liabilities? - (Temporary book-tax difference) x (Future tax rate).

An example of a deferred tax liability is when income is reported for tax purposes in year 1 but reported in financial statements in year 2. An example of a deferred tax asset is when expenses are reported for tax purposes in year 2 but reported in financial statements in year 1. The formula to calculate deferred tax assets or liabilities is (Temporary book-tax difference) x (Future tax rate).

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A basket of goods was priced 100$ in 2010 and 104$ in 2011. What was the inflation rate between 2010 and 2011? (Provide an answer in percentage between 0 and 100)

Answers

The inflation rate between 2010 and 2011 is 4%.

What is the inflation rate between 2010 and 2011 if a basket of goods was priced $100 in 2010 and $104 in 2011?

To calculate the inflation rate between 2010 and 2011, we can use the following formula:

Inflation Rate = ((Final Price - Initial Price) / Initial Price) * 100

Given that the basket of goods was priced $100 in 2010 (Initial Price) and $104 in 2011 (Final Price), we can substitute these values into the formula:

Inflation Rate = (($104 - $100) / $100) * 100

Inflation Rate = ($4 / $100) * 100

Inflation Rate = 0.04 * 100

Inflation Rate = 4%

Therefore, the inflation rate between 2010 and 2011 is 4%.

This means that the price level of the basket of goods increased by 4% from 2010 to 2011.

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In the figure to the right the movement from point A to point B in the money market would be caused by___. a) an open market sale of Treasury securities by the Federal Reserve. b) a decrease in the required reserve ratio by the Federal Reserve. c) a decrease in real GDP. d) an increase in the price level.

Answers

Option a is correct. In the figure to the right the movement from point A to point B in the money market would be caused an open market sale of Treasury securities by the Federal Reserve.

The Federal Reserve essentially sells Treasury securities to commercial banks and other financial institutions when it performs an open market sale. The amount of money accessible in the economy is decreased as a result of this activity, which causes these institutions' reserves to decline.

Interest rates thus frequently increase. In the money market, a change from point A to point B corresponds to an increase in interest rates. This is explained by the decreased money supply brought on by the open market sale.

Interest rates rise because borrowing money becomes more expensive for people and businesses, which results in less investment and spending. The shift from point A to point B, however, is less likely to occur with the other possibilities.

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Read the questions carefully, and answer the following questions. Write your answers in your activity notebook. 1. What is the importance of having a target market for a product or a service? 2. In your own opinion, what are some of the reasons why positioning is an important tool for competitive advantage? 3. How can a brand be successfully positioned for consumers of several target markets? Explain your answer.

Answers

1) The importance of having a target market for a product or a service is that it helps the company to focus on specific consumer needs. This results in a better understanding of the customer's needs, which leads to the creation of effective marketing strategies.

2)In my opinion, positioning is an important tool for competitive advantage because it differentiates a company's products or services from their competitors.

3)A brand can be successfully positioned for consumers of several target markets by using a segmentation strategy.

1. Additionally, it also helps companies to increase the efficiency of their marketing efforts. By targeting a specific audience, companies can avoid spending resources on reaching uninterested people, thus saving time and money.

2. By positioning the company as a leader in a specific area, it can create a unique image and reputation that stands out among the competition. This enables companies to charge higher prices and still attract customers. Positioning can also be used to create a perception of value or quality that sets a company apart from its competitors.

3. This involves dividing the overall market into smaller subgroups based on similar characteristics, such as demographics or psychographics. Each segment is then targeted with specific marketing strategies that appeal to their unique needs. By tailoring the brand message and marketing efforts to each target market, companies can successfully position their brand for consumers across multiple markets.

Additionally, companies can use different channels of communication and adjust their messaging to better resonate with each target market.

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_________ type of flexible work schedule allows employees to work four 10-hour days a week.

Answers

The type of flexible work schedule that allows employees to work four 10-hour days a week is known as "compressed workweek. "What is a compressed workweek?

A compressed workweek is a type of flexible schedule in which employees work longer hours over fewer days per week. This implies that, instead of working for five days per week, employees can work for four days of more than 10 hours per day. For example, an employee may work four 10-hour days a week, which adds up to 40 hours of work per week. Compressed workweeks have many benefits. They help to save time on commuting costs since workers will have one additional day off.

The compressed workweek is also beneficial for employees who prefer longer weekends, especially if they have family obligations. They also help in increasing employee morale and productivity.

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The lag problem associated with fiscal policy is due mostly to a. the time it takes for changes in government spending or taxes to affect the interest rate. b. All of the above are correct. c. the fact that business firms make investment plans far in advance. d. the political system of checks and balances that slows down the process of implementing fiscal policy.

Answers

The lag problem associated with fiscal policy is due mostly to d. the political system of checks and balances that slows down the process of implementing fiscal policy.

The lag problem refers to the delay or time gap between the implementation of fiscal policy measures and their actual impact on the economy. It can be caused by various factors, but the primary reason for the lag problem is the political system of checks and balances.

In a democratic political system, fiscal policy decisions typically involve multiple branches of government and require the approval of various legislative bodies. This process of negotiation, debate, and compromise can be time-consuming, leading to delays in implementing fiscal policy measures.

The checks and balances inherent in democratic systems ensure that policies are carefully considered and avoid hasty decision-making. However, this can also result in longer time lags between the recognition of an economic problem, the formulation of fiscal policy responses, and their actual implementation.

Therefore, the lag problem associated with fiscal policy is mostly attributed to the political system of checks and balances, as it can slow down the process of implementing fiscal policy measures.

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TRUE / FALSE. "Smith's value theory suggests that value is a perception only and need not be a reality--that its value is subjective and only in the consumer's mind. O True O False
Adam Smith opposes mercantilism a"

Answers

True,According to Smith, the value of a good or service is determined by its utility or usefulness to consumers, rather than its inherent qualities or production costs.

Smith's value theory, as described in his work "The Wealth of Nations," proposes that value is subjective and based on the perception of individuals.

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Required information Skip to question Last year, Walsh Company
manufactured 25,000 units and sold 22,000 units. Production costs
were as follows: Direct materials $100,000 Direct labour 75,000
Variabl

Answers

The operating income to Walsh Company, given the production expenses would be $ 21, 000

How to find the operating income ?

Using absorption costing, first find the production cost to be:

= Direct materials + Direct labor + Variable manufacturing overhead + Fixed manufacturing overhead

= 100, 000 + 75, 000 + 50, 000 + 75, 000

= $ 300, 000

This allows us to find the operating income to be:

= Sales - Cost of goods sold -  Variable selling and administrative expenses -  Fixed selling and administrative expenses

= 440, 000 - ( 300, 000 x 22, 000 / 25, 000 )  - 110, 000 - 45, 000

= $ 21, 000

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The full question is:

Required information Skip to question Last year, Walsh Company manufactured 25,000 units and sold 22,000 units. Production costs were as follows: Direct materials $100,000 Direct labour 75,000 Variable manufacturing overhead 50,000 Fixed manufacturing overhead 75,000 Total sales were $440,000, total variable selling and administrative expenses were $110,000, and total fixed selling and administrative expenses were $45,000. There was no beginning inventory. Assume that direct labour is a variable cost.

What was the operating income under absorption costing?

Singapore Airlines’ share has a standard deviation on its stock’s return over last five yearly periods whose details are below:

1 st year -7% , 2nd year 13% , 3 rd year 0%, 4 th year 14% , 5 th year 20%

a. 5.48% b. 6.21% c. 9.62 % d. 10.37 %

Answers

The standard deviation of Singapore Airlines' stock return over the last five yearly periods is 10.37%. (Option D)

To calculate the standard deviation, we first need to find the average return over the five-year period. Adding up the returns for each year and dividing by 5, we get an average return of 8%.

Next, we subtract the average return from each individual year's return, square the differences, and calculate the sum of the squared differences. Dividing the sum by 5 (the number of years) gives us the variance.

Finally, taking the square root of the variance gives us the standard deviation, which in this case is approximately 10.37%.

Therefore, option D is the correct answer.

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Discuss the roles of Human Resource in recruiting and selection
of Operation and Technical Staff at a Pro rail Traffic Control
company and justify.

Answers

At Pro Rail Traffic Control, the function of Human Resources (HR) in Operation and Technical Staff is essential for ensuring the hiring of suitable and experienced people.

To determine the skills, credentials, and competencies necessary for Operation and Technical Staff jobs, HR plays a crucial role in performing job analyses. They create thorough job descriptions that include the particular obligations, obligations, and requirements for each post. To draw a pool of competent applicants for employment with the Operation and Technical Staff, they create and put into action a recruiting plan. This might entail posting job opportunities online, using job portals online, collaborating with educational institutions, going to job fairs, or using professional networks.

Human resources also conducts interviews to determine a candidate's technical proficiency and fitness for a certain position. Technical interviews, and behavioral interviews may be used to assess candidates' capacity for managing stressful conditions and performing well in a traffic control context. They collaborate closely with operational teams and hiring managers to comprehend their unique requirements, match recruiting efforts with corporate objectives, and receive input on applicant fit. To make sure the best applicants are chosen, they work together during the decision-making process.

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Which of the following changes in working capital represents a cash inflow? An increase in accounts payable An increase in inventories An increase in accounts receivable A decrease in notes payable

Answers

A positive net working capital means that a company has sufficient short-term assets to pay off its short-term debts. Similarly, a negative working capital implies a company's inability to meet its short-term obligations.Working capital is a sign of a company's liquidity and financial health.

As a result, changes in working capital reflect cash inflows or outflows from a company. Changes in working capital occur due to several reasons, such as the company's operations, acquisition of assets, or borrowing.What is cash inflow?Cash inflow is the amount of cash that flows into an organization over a specified period. Cash inflow occurs when an organization receives cash or checks from its operations, sales, financing, or investments. It's a crucial aspect of a company's finances since it represents the money coming in to meet short-term obligations like salaries, bills, and debts. As a result, cash inflows are closely monitored and managed by firms to maintain their liquidity.The working capital changes that represent a cash inflow are when there is a decrease in notes payable. Since notes payable refers to the money a company owes to its creditors, when it's paid off, it represents cash going out of the company.

Thus, when there's a decrease in notes payable, it indicates that the company is receiving cash inflows, which improves its financial health. Therefore, a decrease in notes payable represents a cash inflow.

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Discuss how a company such as Bomaid should respond to the
digital age that is currently affecting all organisations

Answers

As the world advances, it is essential that all organisations adjust to the digital age. Organizations that cannot keep up with the technology shift face a risk of becoming outdated and being left behind.

1. Develop a robust digital marketing strategy: Bomaid should invest in digital marketing strategies such as social media marketing and search engine optimization (SEO). This will help the company to reach a broader audience and improve its online presence. The organization should consider using marketing automation software to streamline its marketing processes.

2. Embrace digital technologies: Bomaid should adopt digital technologies such as customer relationship management software, cloud computing, and enterprise resource planning software. These digital technologies will improve the organization's efficiency and effectiveness. The adoption of cloud computing, for example, will allow employees to access data remotely, which will enable remote working.

3. Invest in data analytics: Data analytics is a critical aspect of the digital age. Bomaid should invest in data analytics software that will enable it to collect and analyze data effectively. The data collected will help the organization make informed decisions and develop personalized marketing campaigns.

4. Train employees: Bomaid should provide its employees with training on digital technologies to improve their digital literacy. This will ensure that the staff can use the technologies effectively. Training employees on data analytics, for example, will enable them to collect and analyze data effectively, which will improve the organization's decision-making process.

5. Enhance customer experience: Bomaid should prioritize customer experience in the digital age. The company should develop a user-friendly website and mobile application to improve the customer experience. The organization should also consider using chatbots to provide real-time customer support.

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As the world advances, it is essential that all organisations adjust to the digital age. Organizations that cannot keep up with the technology shift face a risk of becoming outdated and being left behind.

1. Develop a robust digital marketing strategy: Bomaid should invest in digital marketing strategies such as social media marketing and search engine optimization (SEO). This will help the company to reach a broader audience and improve its online presence. The organization should consider using marketing automation software to streamline its marketing processes.

2. Embrace digital technologies: Bomaid should adopt digital technologies such as customer relationship management software, cloud computing, and enterprise resource planning software. These digital technologies will improve the organization's efficiency and effectiveness. The adoption of cloud computing, for example, will allow employees to access data remotely, which will enable remote working.

3. Invest in data analytics: Data analytics is a critical aspect of the digital age. Bomaid should invest in data analytics software that will enable it to collect and analyze data effectively. The data collected will help the organization make informed decisions and develop personalized marketing campaigns.

4. Train employees: Bomaid should provide its employees with training on digital technologies to improve their digital literacy. This will ensure that the staff can use the technologies effectively. Training employees on data analytics, for example, will enable them to collect and analyze data effectively, which will improve the organization's decision-making process.

5. Enhance customer experience: Bomaid should prioritize customer experience in the digital age. The company should develop a user-friendly website and mobile application to improve the customer experience. The organization should also consider using chatbots to provide real-time customer support.

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(a) With the aid of appropriate examples, explain the advantages and [10] disadvantages of the following pricing strategies: Full cost pricing ii Penetration pricing [10] (b) Using appropriate example

Answers

Full cost pricing focuses on cost recovery and simplicity but may ignore market demand and limit competitiveness. On the other hand, penetration pricing aims to gain market share and create product awareness but may pose profit challenges and impact perceived value.

Full cost pricing:

Advantages:

Ensures cost recovery: Full cost pricing takes into account all costs associated with producing a product or service, including both direct and indirect costs. This helps ensure that the price covers all expenses and enables the business to recover its costs.

Provides profit margin: By including a profit margin in the pricing calculation, full cost pricing allows businesses to generate profit on each unit sold.

Simplicity: Full cost pricing is a straightforward method that considers all costs, making it easy to calculate and implement.

Disadvantages:

Ignores market demand: Full cost pricing does not consider market demand or customer willingness to pay. As a result, it may lead to pricing a product or service higher than what customers are willing to pay, potentially reducing sales volume.

May lead to lower competitiveness: If competitors adopt alternative pricing strategies, such as penetration pricing, the use of full cost pricing can make a business less competitive in the market.

Limited flexibility: Full cost pricing relies heavily on accurate cost estimation. Changes in costs or market conditions may make it difficult to adjust prices accordingly.

Penetration pricing:

Advantages:

Market penetration: Penetration pricing sets a low initial price to attract customers and gain market share quickly. This strategy can help a business enter new markets or expand its customer base.

Creates product awareness: Lower prices attract customers' attention and encourage them to try a new product. This can lead to increased product awareness and word-of-mouth marketing.

Discourages competition: Aggressively low prices can discourage competitors from entering or staying in the market, creating a barrier to entry.

Disadvantages:

Profit challenges: Initially setting prices below cost may result in reduced profitability in the short term. It may take time to recover costs and achieve desired profit margins.

Perceived low value: Continuous use of penetration pricing can create a perception of low product quality or value among customers, making it challenging to increase prices in the future.

Price sensitivity: Customers may become price-sensitive and develop a habit of waiting for discounted prices. This can hinder the business's ability to increase prices once the introductory period is over.

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Complete question:

(a) With the aid of appropriate examples, explain the advantages and [10] disadvantages of the following pricing strategies: Full cost pricing ii Penetration pricing [10]

The efficient market hypothesis says, except one:

A.
No one can ever beat the market over a ten-year period

B.
Investors might hold different portfolios

C.
Insider trading should be unethical, but it exists in real market situations

D.
Even a skillful analyst cannot beat the market systematically

Answers

The efficient market hypothesis says Even a skillful analyst cannot beat the market systematically. The correct option is option D.

The Efficient Market Hypothesis

This is a theory that states that financial markets are efficient and that it is impossible to consistently achieve returns that exceed the average market return on a risk-adjusted basis. Individuals who have great expertise and skills cannot outperform the market by careful making investment decision. The prices of assets is deeply reflected by the information accrued according to the Efficient Market Hypothesis.

Furthermore, all available information is already incorporated into asset prices, making it difficult to find undervalued or overvalued securities on a consistent basis.

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Much of the re-imaging of future work and workspaces is based on
the use of flexible working practices. Critically discuss the
tensions that flexible work can create for workers and
businesses?

Answers

Much of the re-imaging of future work and workspaces is based on the use of flexible working practices. Critically discuss the tensions that flexible work can create for workers and businesses.

Flexible working is the ability to work when and where employees choose, without restriction. Workspaces are reimagined in accordance with such flexible working practices.

However, even though flexible working has several benefits, it may also cause stress to both employers and employees. These tensions may include Problems with management: Managing teams and monitoring work progress when employees are working remotely can be challenging. Not every worker may be equipped with the appropriate technological tools, or they may lack access to them. Because of time zone differences and a lack of communication, some employees may feel neglected or not heard, which can result in them feeling less valued by their employer.

As a result, businesses may find it hard to meet deadlines. Additionally, employees may miss out on team collaboration opportunities and, as a result, become isolated.

Individualism can be isolating: Flexibility can be isolating, and not everyone is cut out for it. It can lead to a lack of sociability in the workplace, as well as difficulties in establishing a sense of community.

People who work remotely or from home have a higher chance of being lonely than those who work in an office.

Work-life balance: Flexible working hours may result in a lack of boundaries between work and personal life. Many people who work from home may experience burnout, particularly when they work longer hours without taking enough breaks.

The fact that employees can work from anywhere means they might be expected to work even when on vacation, adding to their stress.

Final thoughts: It is important to recognize that flexible working may cause stress and anxiety in both employers and employees. Employers should consider implementing additional policies and providing appropriate tools and technology to assist employees in meeting their work deadlines and remaining productive.

In addition, workers should establish personal boundaries and routines, even when working from home, in order to maintain a healthy work-life balance.

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a project manager misappropriated funds they were entrusted for contingency reserves for their own person use. this best describes:

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The scenario you described, where a project manager misappropriates funds entrusted for contingency reserves for personal use, can be described as embezzlement.

Embezzlement refers to the act of dishonestly appropriating or misusing funds or assets entrusted to one's care, typically for personal gain or unauthorized purposes. In this case, the project manager breached their fiduciary duty by diverting the contingency reserves for personal use, which is a serious breach of trust and a form of financial fraud. It is important to address such misconduct promptly and take appropriate legal and disciplinary actions to ensure accountability and protect the organization's financial integrity.

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Assume that the real risk-free rate, r*, is 2% and that inflation is expected to be 9% in Year 1, 6% in Year 2, and 3% thereafter. Assume also that all Treasury securities are highly liquid and free of default risk. If 2-year and 5-year Treasury notes both yield 10%, what is the difference in the maturity risk premiums (MRPs) on the two notes; that is, what is MRP5 minus MRP2? Round your answer to one decimal place.

Answers

The difference in the maturity risk premiums on the two notes is 3%.

How to find the difference in the maturity risk premiums on the two notes

To calculate the difference in the maturity risk premiums (MRPs) on the two notes, we first need to calculate the nominal risk-free rate and the expected inflation rates for Year 1, Year 2, and thereafter.

Nominal risk-free rate (r): r = r* + Inflation

Year 1: r1 = 2% + 9% = 11%

Year 2: r2 = 2% + 6% = 8%

Year 3 and thereafter: r3 = 2% + 3% = 5%

Next, we calculate the maturity risk premiums (MRPs) for the 2-year and 5-year Treasury notes using the formula:

MRP = Nominal Yield - Risk-Free Rate

MRP2 = 10% - 8% = 2%

MRP5 = 10% - 5% = 5%

Finally, we calculate the difference in the maturity risk premiums:

Difference = MRP5 - MRP2 = 5% - 2% = 3%

Therefore, the difference in the maturity risk premiums on the two notes is 3%.

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A company is considering a project with an initial cost of $1,500,000 incurred at the outset of the project. In addition, annual expense payable at the beginning of each year is $400,000 per annum for the first two years, and increases to $440,000 per annum for the next two years. The revenue payable continuously from the venture is expected to be $800,000 per annum for the first year. Thereafter, the net revenue is expected to grow at 5% per annum. Four years after the outset of the project, the revenue and costs stop and the project has no further value. It is known that the discounted payback period of the venture at an effective rate of interest of 4% per annum is somewhere in the 4th year. Find the discounted payback period.

Answers

To find the discounted payback period of the project, we need to calculate the present value of the cash flows and determine when the cumulative present value equals or exceeds the initial cost of $1,500,000.

The cash flows for the project can be summarized as follows:

Year 1: Net revenue = $800,000

Year 2: Net revenue = $800,000

Year 3: Net revenue = $800,000 * (1 + 0.05) = $840,000

Year 4: Net revenue = $840,000 * (1 + 0.05) = $882,000

The present value of each cash flow can be calculated by discounting it back to the present using an effective rate of interest of 4% per annum. The present value factor for each year can be calculated using the formula: [tex]PV factor = 1 / (1 + r)^n[/tex], where r is the interest rate and n is the number of years.

Using the present value factors, we can calculate the present value of each cash flow:

Present value at Year 1 = $[tex]800,000 * (1 / (1 + 0.04)^1) = $769,230.77[/tex]

Present value at Year 2 = $[tex]800,000 * (1 / (1 + 0.04)^2) = $740,740.74[/tex]

Present value at Year 3 = $[tex]840,000 * (1 / (1 + 0.04)^3) = $774,193.55[/tex]

Present value at Year 4 = $[tex]882,000 * (1 / (1 + 0.04)^4) = $806,451.61[/tex]

We can now calculate the cumulative present value at each year:

Year 1: Cumulative present value = $[tex]769,230.77[/tex]

Year 2: Cumulative present value =

$[tex]769,230.77 + $740,740.74 = $1,509,971.51[/tex]

Year 3: Cumulative present value =

$[tex]1,509,971.51 + $774,193.55 = $2,284,165.06[/tex]

Year 4: Cumulative present value =

$[tex]2,284,165.06 + $806,451.61 = $3,090,616.67[/tex]

The discounted payback period is the point at which the cumulative present value exceeds the initial cost. In this case, it occurs in the 4th year.

Therefore, the discounted payback period for the project is 4 years.

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Equivalent units is computed using which of the following formulas? Select one: O a. Equivalent units = Number of partially completed units x (100% Percentage completion O b. Equivalent units = Number of partially completed units x Percentage completion O c. Equivalent units = Number of completed units X Percentage completion o d. Equivalent units = Number of completed units(100% - Percentage completion) ח

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Equivalent units is computed using the following formula:

Equivalent units = Number of partially completed units x Percentage completion This formula shows how to find equivalent units.

The equivalent units refer to the number of completed units that could have been obtained if all partially completed units were completed.

In accounting, equivalent units refer to the number of fully completed units that can be obtained from partially completed units by combining the work done on them.

Equivalent units are used in accounting to calculate the cost of goods sold and inventory costs. By calculating equivalent units, it is possible to evaluate the effectiveness of the production process.

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3. X-person has committed to a payment that needs to pay BD 80,000 every year at the end of each next eleven years. What will be the future amount of Ahmed if it were to instead settle the claim immediately with a single payment, with an interest rate of 6%?solve the problem showing cash flow, and final answer using a suitable formula. (10 POINTS)

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The future amount of Ahmed if it were to instead settle the claim immediately with a single payment with an interest rate of 6% is $143,347.20.

Given the present value of the annuity is 80,000 and the periodic interest rate is 6%. We need to determine the future amount of the payment if the claim is settled immediately with a single payment.

We can use the formula of the future value of a lump-sum payment to find the future amount of the payment.

Calculation of the Future Value of the Payment:

Present Value of the Annuity = $80,000

Periodic Interest Rate (r) = 6%

Time Period (n) = 11 years

Number of Payments (m) = 1

Future Value of the Payment = FV

Factor for Future Value of an Ordinary Annuity:

FV Factor = (1 + r/m)^(m*n)

FV Factor = (1 + 0.06/1)^(1*11)

FV Factor = 1.06^11

FV Factor = 1.79184

Calculation of Future Value of the Annuity:

Future Value of the Payment = FV of the Present Value of the Annuity

FV = $80,000 x FV Factor

FV = $80,000 x 1.79184

FV = $143,347.20

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Which one of the following is NOT a nonfinancial performance measure of customer satisfaction on a commercial airline?
A) number of lost bag reports
B) number of flights cancelled
C) number of employees with advanced degrees
D) number of flights on time

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Number of employees with advanced degrees is NOT a nonfinancial performance measure of customer satisfaction on a commercial airline. The correct option is C.

Non-financial performance measures are benchmarks for performance that don't depend on monetary results. Examples of nonfinancial performance measures for customer satisfaction in the context of a commercial airline could include the quantity of reported lost bags and the quantity of canceled flights.

These metrics demonstrate the efficiency of the baggage handling procedures and the dependability of the airline in maintaining regular operations. Another non financial metric that assesses the punctuality of the airline's services is the proportion of on time flights.

Monitoring and enhancing these procedures can help increase customer satisfaction, draw in more travelers and uphold a solid reputation in the cutthroat airline business. The correct option is C.

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Delta provides ancillary services for which it charges extra fees, including baggage, seat assignments, priority boarding and food. Prior to ASC606, Delta included the revenues from these services in "other revenues." Is this treatment still appropriate under the new revenue recognition standard? If not, what should Delta do instead?

Group of answer choices

A) They should recognize all revenues on the date of the flight, with the baggage fees and food in other revenues and the seat assignments and priority boarding in ticket revenues.

B) They should include the full amount in ticket revenue on the day of the flight because the baggage services are not distinct performance obligations

C) No answer text provided.

D) They should recognize the revenue for baggage ancillary services immediately in other revenues as they are non-refundable.

Answers

Delta should no longer include the revenues from ancillary services in "other revenues" under the new revenue recognition standard. Instead, Delta should recognize the revenue for baggage ancillary services immediately in other revenues, as they are non-refundable.

Under the new revenue recognition standard, known as ASC 606, companies are required to recognize revenue when control of the goods or services is transferred to the customer. In the case of Delta's ancillary services, such as baggage, seat assignments, priority boarding, and food, these services are distinct performance obligations that are separately identifiable from the airline ticket itself.

Baggage fees, for example, are typically non-refundable and are charged separately from the ticket price. Therefore, Delta should recognize the revenue for baggage ancillary services immediately in other revenues when the fees are collected, as control of the service is transferred to the customer at that point. This is in line with the core principle of ASC 606, which is to recognize revenue when the customer obtains control of the promised goods or services.

However, for seat assignments, priority boarding, and food, the appropriate treatment may differ depending on the specific terms and conditions associated with these services. If these services are considered distinct performance obligations and are charged separately from the ticket price, Delta should recognize the revenue for these services on the date of the flight, likely within ticket revenues.

In summary, Delta should no longer include ancillary service revenues in "other revenues" under the new revenue recognition standard. Instead, the revenue for baggage ancillary services should be recognized immediately in other revenues, while the revenue for other ancillary services should be recognized within ticket revenues on the date of the flight.

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Which characteristics are most likely associated with effective teams and effective team leaders? (Choose all that apply) Teams have low levels of communication. c Leaders work to secure the necessary equipment. Teams have a clear mission and high performance standards. Teams concern with striving for unanimity than appraising different courses of action. Leaders spend time planning and organizing to make optimal use of resources.

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The characteristics most likely associated with effective teams and effective team leaders are clear mission and high-performance standards, and effective leaders spend time planning and organizing to make optimal use of resources.

The characteristics most likely associated with effective teams and effective team leaders are:

Teams have a clear mission and high-performance standards: Effective teams have a shared understanding of their purpose and goals. They are aligned with the organization's mission and have high performance standards. This clarity helps team members stay focused, motivated, and work towards a common objective.

Leaders spend time planning and organizing to make optimal use of resources: Effective team leaders recognize the importance of planning and organizing. They allocate resources efficiently, establish clear roles and responsibilities, and create a supportive environment for team members to thrive. By effectively managing resources, leaders can enhance productivity and ensure that team goals are achieved.

Leaders work to secure the necessary equipment: Effective team leaders understand the importance of providing their teams with the necessary tools and equipment to perform their tasks effectively. They identify and address resource gaps, advocate for needed resources, and ensure that the team has access to the equipment required to carry out their work efficiently.

In contrast, low levels of communication within teams and a focus on unanimity rather than appraising different courses of action are not associated with effective teams and leaders. Effective teams thrive on open communication channels that foster collaboration, idea-sharing, and constructive feedback. Furthermore, effective leaders encourage diverse perspectives, value dissenting opinions, and promote a culture of open dialogue to arrive at the best possible solutions.

In summary, effective teams have a clear mission and high performance standards, while effective leaders spend time planning and organizing to optimize resource utilization. Additionally, effective leaders work to secure necessary equipment for their teams. These characteristics contribute to the success and effectiveness of teams and their leaders.

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Which of the following is not a dimension of intellectual ability?
A) number aptitude
B) perceptual speed
C) spatial visualization
D) dynamic flexibility
E) social aptitude

Answers

social aptitude is not a dimension of intellectual ability. The correct option is E.

A person's cognitive capacity can be measured in a variety of ways that make up intellectual ability. These characteristics include dynamic flexibility, perceptual speed, spatial visualization and number aptitude. Social aptitude is not regarded as a component of intellectual ability, though. Social aptitude is a term used to describe non cognitive skills and abilities such as emotional intelligence, effective communication and social interaction.

Cognitive skills like problem solving, logical reasoning, and information processing are at the core of intellectual ability. While social aptitude is significant in and of itself, it is not considered to be an aspect of intellectual ability when referring to specific cognitive abilities and cognitive tasks. The correct option is E.

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1. explain business intelligence in three to four paragraphs. focus upon what it is, its architecture and purpose.

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In conclusion, Business Intelligence is a critical component of any successful business. It provides businesses with the tools and insights necessary to make informed decisions, optimize operations, and drive growth.

Business intelligence (BI) is the process of collecting, analyzing, and transforming business data into meaningful information to help businesses make informed decisions. The data collected through BI comes from various sources, including internal and external data sources. BI is essential for any business because it provides the tools necessary to understand and interpret data, which in turn helps businesses make informed decisions to drive growth.Architecture of Business Intelligence:Business Intelligence has a three-tier architecture that includes Data Warehouses, ETL (Extract, Transform, and Load), and Business Intelligence Tools. The Data Warehouse is the core component of the BI system. It is a central repository that stores all the data required by the BI system. ETL (Extract, Transform, and Load) is the process that extracts data from various sources, transforms it into a usable format, and loads it into the Data Warehouse.Purpose of Business Intelligence:The primary purpose of Business Intelligence is to help businesses make informed decisions. BI provides businesses with a better understanding of their data, which in turn helps businesses to make informed decisions. BI tools also allow businesses to monitor key performance indicators (KPIs), which can be used to measure the success of business strategies.Business Intelligence helps businesses in several ways, including:
1. Analyzing data to identify trends and patterns that can help businesses make better decisions.
2. Providing insights into customer behavior to help businesses improve customer experience.
3. Optimizing operations to improve efficiency and reduce costs.
4. Improving forecasting accuracy to help businesses plan for the future.
In conclusion, Business Intelligence is a critical component of any successful business. It provides businesses with the tools and insights necessary to make informed decisions, optimize operations, and drive growth.

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