Belarus decided to abolish currency trade restrictions because of the absence of confidence in the authority swapping scale and the shortage of unfamiliar stores in money incited merchants to expand the costs of the merchandise.
As indicated by the market, (you can say underground market as the authority market was working speculatively) swapping scale, which was higher than the authority one by half before the money downgrading.
Persevering high expansion rates and joblessness in the economy. The unfamiliar stores had tumbled to the most reduced level which took the economy nearly being imploded. Accordingly, import costs for all products had promptly gone up, which brings about expansion.
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A high growth market in South America has the following five brands competing in two regions (yearly sales): Total Units Units Brands Revenues (South) (North) (Pesos) Allright 9,000 150 159 Besthelp 4,580 100 200 Coldcure+ 6,000 179 Defogg 6,940 200 200 Effect 14,000 350 317 What is Defogg's revenue market share?
Defogg's revenue market share, given the total revenue made from the high growth market by the 5 firms in the industry, is 17. 18 %
How to find the market share ?Market share is the percentage of a company's industry's total revenues that it generates. The company's sales for the time period are divided by the total sales for the sector for that time period to determine market share. This metric is employed to provide a basic understanding of a company's size in relation to its market and rivals. The business with the biggest market share in a certain sector is the market leader in that sector.
To find the revenue market share, you first need to find the total market share of all the firms as :
= (total revenue of Allright) + (total revenue of Besthelp) + ( total revenue of Coldcure+) + (total revenue of Defogg) + (total revenue of Effect)
= 9, 000 + 4, 580 + 6, 000 + 6, 940 + 14, 000
= 40, 520 Pesos
Defogg's revenue market share is :
= Defogg revenue / Total market share
= 6, 940 / 40, 520
= 17. 18 %
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what is the price today (in dollars and cents) of a 10-year 4.55% coupon rate bond that returns the par value of $1000 at maturity if the yield to maturity is 12.50%?
Th price of ( $810.68 ) today of a 10-year 4.55% coupon rate bond that return the Par value of $1000 at maturity if the yield to maturity us 12.50%.
Calculation of bond price through Financial Calculator
PMT = 1000 × 4.55% = 45.5
Nper = 3
Rate = 12.5%
FV =1000
PV = as follows
Price of Bond = PV (rate,nper,pmt,fv) = PV(12.5%,3,45.5,1000) =$ 810.68
The current discounted value of a bond's potential future cash flow is its price. It refers to the total of all possible coupon payments plus the par value at maturity's present value. Simply discounting the known future cash flows yields the bond price.Bond yields to maturity and prices have a negative correlation with one another. A bond's price is less than its face value when the yield-to-maturity is greater than the coupon rate, and vice versa. Bonds are typically issued at coupon rates that are near to the market interest rate so that they may be sold for close to their face value.Learn more about Bond price, here
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you should try to get the lowest interest rate possible in which situation
(A) you are lending money to a bank
(B) you are borrowing money from another person
(C) you are lending money to another person
(D) you are putting money in a savings account
Answer:
B. you are borrowing money from another person
Explanation:
rest is you giving money to others which if you could youd want higher interest rates for
Answer:
You are borrowing money from another person.
Explanation:
Select the steps in preparing an operating budget in the proper order.
Why does cost and benefit change for each person? Give an example of a cost-benefit analysis you have performed make sure to include 2 costs and 2 benefits.
Cost and benefits change for each person due to individual preferences and constraints. An individual's preferences and constraints may differ from others, making their cost and benefit unique. For example, the cost and benefit of buying a car can differ from person to person as some may prefer to buy a car for daily transportation, while others may prefer to buy a car for luxury.
Cost-benefit analysis helps individuals to decide the advantages and disadvantages of an action, considering all the costs and benefits. It is a decision-making tool that helps individuals to weigh the benefits and costs of an action to decide whether to take it or not. An example of a cost-benefit analysis I have performed is buying a washing machine.
The following are two costs and benefits of buying a washing machine:Costs: The cost of purchasing a washing machine: I had to purchase a washing machine, which cost me a significant amount of money. Maintenance costs: Over time, the washing machine requires maintenance, which also adds to the overall cost.Benefits:Time-saving: Before purchasing a washing machine, I used to wash clothes manually, which took a lot of time. The washing machine saves me time and effort.
Convenience: With a washing machine, I can do laundry at home whenever I want, regardless of the weather or time of day. The washing machine also dries clothes, eliminating the need for a dryer.
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plz help if ur good at taxes
Answer:
pay: 73,300
income tax: 73,300*0.37 = 27,121
EI: 73,300*0.0173=1,268.09
CPP: 2,590
Yearly Pay will be 73,300-27,121-1,268.09-2,590 = $42,320.91
Weekly pay (paycheck) = 42320.91/52 = $ 813.86
Explanation:
The first systematic chart ever made of an ocean current………by Benjamin Franklin.
Answer:
MARK ME BRAINLIEST PLEASE
Explanation:
was published
What role do career pathways play?
A. Career pathways lay out the academic courses, skills, and knowledge required for a position.
B. Career pathways help students determine whether a position will have information technology as a primary or secondary focus.
C. Career pathways lay out the advantages and disadvantages of potential careers.
D. Career pathways organize jobs into 16 major groups to help students plan their careers.
Answer:
I think it's A. but don't depend on me i'm probley wrong
Explanation:
What part do career paths play is The educational requirements, necessary skills, and expertise for a position are outlined in career pathways. As a result, choice (A) is right.
What is meant by Career pathways ?A career path is a list of steps you should take to advance into new or more senior responsibilities at work during your professional life. Employees are guided toward their ultimate professional ambitions as well as their long-term goals through a series of positions and experiences.
By highlighting their existing professional situation and providing advice on how to improve it, career pathing can increase their levels of engagement and job satisfaction.
An essay about your career objectives is a piece of writing in which you describe the career route you hope to take and the goals you have for yourself. You will discuss your career aims, pertinent accomplishments that help you be more successful in achieving your goals, and how your aspirations can help you advance even farther in the essay.
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problem 2-21 (static) prepare an income statement, balance sheet, and statement of changes in stockholders' equity; analyze results lo 2-2, 2-3, 2-4 the information on the following page was obtained from the records of breanna incorporated: accounts receivable $ 40,000 accumulated depreciation 104,000 cost of goods sold 280,000 income tax expense 15,000 cash 130,000 net sales 420,000 equipment 240,000 selling, general, and administrative expenses 59,000 common stock (36,000 shares) 180,000 accounts payable 30,000 retained earnings, 1/1/22 34,000 interest expense 6,000 merchandise inventory 54,000 long-term debt 80,000 dividends declared and paid during 2022 24,000 except as otherwise indicated, assume that all balance sheet items reflect account balances at december 31, 2022, and that all income statement items reflect activities that occurred during the year ended december 31, 2022. there were no changes in paid-in capital during the year. required: prepare an income statement and statement of changes in stockholders' equity for the year ended december 31, 2022, and a balance sheet at december 31, 2022, for breanna incorporated. based on the financial statements that you have prepared for part a, answer the questions in parts b-e. what is the company's average income tax rate? what interest rate is charged on long-term debt? assume that the year-end balance of long-term debt is representative of the average long-term debt account balance throughout the year. what is the par value per share of common stock? what is the company's dividend policy (i.e., what proportion of the company's earnings is used for dividends)?
An summary of the company's financial performance for a certain time period is offered by the income statement.
What are an income statement and a balance sheet?The balance sheet provides a concise overview of a company's financial situation at a particular period. An summary of the company's financial performance for a certain time period is offered by the income statement. In order to offer correct information, it is further classified to include assets, liabilities, and shareholder's equity.cumulative depreciation of $40,000 on accounts receivable Cost of goods sold: 104,000; income tax expense: 280,000 15,000 cash Net sales of $130,000 240,000 in selling, general, and administrative costs, 420,000 in equipment 59,00 common shares (36,000 shares) $180,000 in payables Retained profits of $30,000. 1/1/22 34,000 in interest costs 6,000 items in the supply Long-term debt of 54,000 80,000 dividends announced and paid during 2022, excluding when specifically stated differently,To learn more about income statement refer to:
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. How is marginal utility per dollar calculated?
1. If you are an account holder, is it necessary to know how to prepare bank documents related to your account? cite an example.
Bank documentation consists of a wide range of documents, including bank certificates of accounts and balances, statements of accounts and transactions, certificates of constituted deposits, contracts for account establishment or deposit constitution, and so on.
You will require the following information: This is your Social Security number. A legitimate government-issued photo ID, such as a driver's license, passport, or state or military identification card. To activate your account, you must make a minimum deposit of $25.
Bank reconciliation statements verify that payments have been processed and cash collected has been deposited. The reconciliation statement aids in identifying discrepancies between the bank balance and the book balance so that appropriate changes or repairs can be made.
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Radovilsky Manufacturing Company, in Hayward, California, makes flashing lights for toys. The company operates its production facility 300 days per year. It has orders for about 12,000 flashing lights per year and has the capability of producing 100 per day. Setting up the light production costs $50. The cost of each light is $1. The holding cost is $0.10 per light per year.
Answer:
The right solution is:
(a) 4,272 units
(b) $134.16
(c) $134.17
(d) $12,268.33
Explanation:
Seems that the given question is incomplete. The attachment of the complete question is provided below.
According to the question, the values are:
Annual demand,
D = 12,000
Number of days,
= 300
Daily demand,
d = \(\frac{12000}{300}\)
= 40
Production rate,
P = 100
Ordering cost,
S = $50
Holding cost,
H = $0.10
(a)
The production run's optimal size will be:
Q = \(\sqrt{\frac{2DS}{H(1-\frac{d}{P} )} }\)
By putting the values, we get
= \(\sqrt{\frac{2\times 12000\times 50}{0.10\times (1-\frac{40}{100} )} }\)
= \(\sqrt{20,000,000}\)
= \(4,471.14\)
or,
= \(4,472 \ units\)
(b)
The average holding cost will be:
= \(\frac{Q}{2}\times H\times [1-\frac{d}{P} ]\)
= \(\frac{4472}{2}\times 0.10\times [1-\frac{40}{100} ]\)
= \(134.16\) ($)
(c)
The average setup cost will be:
= \(\frac{D}{Q}\times S\)
= \(\frac{12000}{4472}\times 50\)
= \(134.17\) ($)
(d)
The total cost per year will be:
= \(Avg. \ holding \ cost+ Avg. \ setup \ cost+Cost \ of \ purchase\)
= \(134.16+134.17+(1\times 12000)\)
= \(12,268.33\) ($)
What type of customer intimacy zone innovation focuses on making structural modifications to established products in order to create a distinctive sub-category?.
Line-Extension Innovation Existing offering groupings now contain new sub-categories thanks to line-extensions.
Although the user-facing features or packaging change enough to produce new products and services, most of the infrastructure remains largely unchanged.
What kind of line extension is that?
When a parent brand introduces a new product line in a market where its customers are already familiar with it, this is known as a line extension. Brands can expand their product lines without developing new categories. The addition of new flavors to a soft drink company's current drink selection is a prime illustration of a line expansion.
What is a strategy for line extensions?
A marketing tactic known as "product line extension" leverages an established brand to add a new item to an existing product line. A company's new product could have minor differences from its existing products in terms of, for example, flavor, color, form, components, or packaging size.
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Managers are responsible for helping ___ to understand and follow their company's code of ethics
Answer:
Managers are responsible for helping employees to understand and follow their company's code of ethics
Managers are responsible for helping employees to understand and follow their company's code of ethics.
What are a code of ethics and its importance?It offers a common set of guidelines or expectations that everyone in the field must follow. It describes the industry's best practices. It serves as a foundation for achieving compliance with the profession's regulations. It gives the profession a legal standard.
The code of ethics outlines the company's values, standards, and expectations for ethical behavior. It is the manager's role to ensure that employees are aware of these values and understand how they relate to their job duties and responsibilities.
Managers are responsible for creating a culture of ethics within their teams and the organization as a whole. This means that they must lead by example and demonstrate ethical behavior themselves, while also holding their employees accountable for their actions.
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The activities of the Federal Reserve Board have the most direct influence on Question 18 options: bank interest rates government spending oil prices troop-strength levels of the armed services availability of scarce minerals
while the Fed's activities have indirect effects on other areas, their most direct influence is on bank interest rates. By controlling interest rates, the Fed can impact the economy in a significant way.
The activities of the Federal Reserve Board have the most direct influence on bank interest rates. The Federal Reserve Board, or simply the Fed, is responsible for controlling the money supply in the United States. This means that they can increase or decrease the amount of money in circulation to control inflation and stabilize the economy.
One way they do this is by adjusting the interest rates that banks pay to borrow money from the Fed. When interest rates are low, banks are more likely to borrow money, which increases the amount of money in circulation. This, in turn, can lead to increased spending and economic growth.
The Fed's actions also have indirect effects on other areas, such as government spending, oil prices, troop-strength levels of the armed services, and the availability of scarce minerals. For example, changes in interest rates can affect the value of the dollar, which can impact the price of oil. Higher interest rates can also make it more expensive for the government to borrow money, which can impact government spending decisions.
Overall, while the Fed's activities have indirect effects on other areas, their most direct influence is on bank interest rates. By controlling interest rates, the Fed can impact the economy in a significant way.
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mullineaux corporation has 30,000 shares of common stock outstanding at a market price of $15 a share. this stock was originally issued at $31 per share. the firm also has a bond issue outstanding with a total face value of $280,000 which is currently selling for 84 percent of par. the cost of equity is 13 percent while the after-tax cost of debt is 6.9 percent. the firm has a beta of 1.48 and a tax rate of 30 percent. what is the weighted average cost of capital?
The weighted average cost of capital is 10.87%.
How to calculate the weighted average cost of capital?The the firm also has a bond issue outstanding with a total face value of $280,000 which is currently selling for 84 percent of par.
From the information, the market value of the debt will be:
= $280000 × 86%
= $240800
The market value of the equity will be:
= Number of stocks outstanding × Current price
= 30000 × 15.
= 450000
The weighted average cost of capital will be:
= (0.069 × 240800 + 0.13 × 450000) / (240800 + 450000)
= 75115.20 / 690800
= 10.87%
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Adjusts the accounts at the end of each month. cruella's adjusting entry at the end of february should include a debit to rent expense in the amount of:________
After each month, adjust the accounts. Cruella's adjusting entry at the end of February should include a debit to rent expense for $100.
What is an adjusting entry?Adjusting entries refer to a set of journal entries recorded at the end of the accounting period to have updated and accurate balances of all the accounts. The main purpose of adjusting entries is to communicate an accurate picture of the company’s finances. The management can have a proper look into the financial statements knowing that Everything that occurred during the month is reported, even if the financial part of the transaction would have been warranted to have occurred at a later stage.
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Do you agree or disagree with the argument that crime seriousness and prior criminal record are not necessarily legally relevant variables? What are some other variables that should be taken into account? What do you feel are the most important factors that should be used when sentencing?
I agree to this argument.
Arguments that the severity of the offence and the defendant's prior criminal record are not inherently legally pertinent variables are frequently brought up in discussions about the equity and efficacy of sentencing.
Socioeconomic origin, mental health, and personal history contribute to a deeper understanding of the underlying causes of criminal behaviour and the potential for rehabilitation.
Important factors include the willingness to participate in rehabilitation programmes, the availability of support networks, and the likelihood of successful reintegration into society.
The appropriate sentence may be determined by weighing factors such as the nature of the offence, the likelihood of recidivism, and the need to protect society.
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In 2014, the EU filed a complaint that the government of Washington state violated international trade rules by:
Answer:
extending tax incentives to Boeing for in-state manufacture of the 777x jetliner
Explain the five phases that make up the DMADV
(A Six Sigma framework)
and when it should be applied?
The DMADV (Define, Measure, Analyze, Design, and Verify) model is a Six Sigma framework used for new product or process development.
The approach involves five phases to ensure quality, customer satisfaction, and business efficiency. It is applied when an existing product or process cannot meet the level of customer specification or new products or processes are being developed.
The first phase, Define, sets the goals of the project that are consistent with customer demands and business strategy. Measure focuses on identifying customer needs, quantifying and creating metrics. Analyze is about data assessment and choosing the best process to meet customer needs. Design involves developing detailed plans for the selected process, and Verify is the final phase where the design is tested and moved to regular production if it meets the specifications. DMADV should be applied when developing new products or processes or when an existing process isn't capable of meeting the necessary specifications.
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Is region of the world where a country is located associated with a country's GDP? Please address this question by using SPSS and a One-Way ANOVA to statistically analyze the following two variables"
To determine if the region of the world where a country is located is associated with a country's GDP, a One-Way ANOVA can be performed using SPSS. This statistical analysis will allow us to assess if there are significant differences in GDP among different regions.
To conduct the analysis, we need two variables: "Region of the World" and "GDP." The "Region of the World" variable should consist of categorical data indicating the region where each country is located (e.g., Americas, Europe, Asia). The "GDP" variable should contain numerical data representing the GDP values for each country.
Using SPSS, we can perform a One-Way ANOVA test, which will assess whether there are significant differences in GDP means across the different regions. The ANOVA test will generate an F-statistic and associated p-value. If the p-value is below a predetermined significance level (e.g., 0.05), we can conclude that the region of the world is associated with the country's GDP.
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A company purchases a piece of machinery. This machinery is now the company's _____.
A. asset
B. liability
c. equity
D. capital
When a company purchases a piece of machinery, the machinery becomes the company's A. asset.
What is an asset?An asset is a resource owned or controlled by a business or an economic entity, which produces value or more resources.
Assets can be classified into three classes, and they generally fall into the following categories:
CurrentNon-currentPhysicalIntangibleOperatingNon-operating.Thus, the machinery does not become a liability, equity, or capital but an asset.
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During which part of the Product Life Cycle would a company use a profit-oriented pricing strategy?
The lifespan of a product depicts how long it remains on the market, from the moment it is first introduced to consumers until it is phased out and taken off the shelves.
What is the maturity stage of the product life cycle?Sales declined during the mature period, a sign that the market has started to become saturated. During this phase of the product life cycle, the price also starts to become competitive. The profit margins become slimmer as a result.
In most life-cycle situations, profits normally reach their greatest level during the early growth stages, but sales often reach their peak during the mature stages.
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How does a command economy answer the three economic questions?
(1) what to produce, (2) how to produce, and (3) for whom to produce.
Answer:
key terms in purest from a market economy answers the three economic questions by allocating resources and goods through markets where prices are generated. In its purest form, a command economy answers the three economic questions by making allocation decisions centrally by the government.
Answer:
is it (3) for whom to produce.
Explanation:
In a period of rising prices, the inventory method which tends to give the highest reported net income is?
In a period of rising prices, the inventory method which tends to give the highest reported net income is FIFO (First In First Out ).
The FIFO method is used for the purpose of assuming cost flow. In manufacturing, the costs associated with this product must be incurred when the item moves to a later stage of development and the finished inventory item are sold.
The FIFO assumes that the cost of the first purchased inventory is recognized first. This process removes inventory from company ownership, reducing the dollar value of total inventory. Inventory-related costs can be calculated in a variety of ways. One of them is the FIFO method.
Typical economic conditions include inflationary markets and rising prices. In this situation, if the FIFO allocates the oldest cost to the cost of goods sold, in theory, the price of that oldest cost will be lower than the latest inventory purchased at the current soaring price.
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ENB preferred shares trade for $24.00 and pay an annual dividend of $1.30 what is the cost of the preferred equity if the shares have an issuing cost of $1.25 per share
The cost of preferred equity is the cost of preferred shares to the company that issues them. Cost of preferred equity is used in the calculation of the weighted average cost of capital (WACC).
The cost of preferred equity is calculated by dividing the annual preferred dividend by the net proceeds from the sale of preferred shares. Therefore, the cost of the preferred equity, given the dividend of $1.30 and issuing cost of $1.25 per share, can be calculated as follows.
Net proceeds from the sale of preferred shares = Price per share - Issuing cost per share = $24.00 - $1.25 = $22.75Cost of preferred equity = Annual dividend / Net proceeds from the sale of preferred shares = $1.30 / $22.75 ≈ 0.057The cost of the preferred equity is approximately 5.7%.In conclusion, the cost of preferred equity for the ENB preferred shares is approximately 5.7%, given that the shares trade for $24.00, pay an annual dividend of $1.30, and have an issuing cost of $1.25 per share.
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a commonly cited reason for financial failure is a lack of _____.
A commonly cited reason for financial failure is a lack of financial planning and management.
Financial planning and management are crucial for the success and stability of individuals, businesses, and organizations. A lack of financial planning and management can lead to various problems and ultimately result in financial failure.
Financial planning involves setting financial goals, creating budgets, managing cash flows, and making strategic financial decisions. Without proper planning, individuals or businesses may overspend, accumulate debt, or fail to allocate resources effectively.
This can lead to financial instability, inability to meet financial obligations, and ultimately, financial failure. Financial management encompasses the ongoing monitoring and control of financial activities, such as tracking income and expenses, managing investments, controlling costs, and optimizing financial resources.
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the magnitude of operating leverage for perkins corporation is 4.5 when sales are $100,000. if sales increase to $110,000, profits would be expected to increase by what percent? a. 4.5% b.14.5% c.45% d.10%
It would be anticipated that the profit would rise by 45%. The appropriate response to the given question is option (c).
What is Operating Leverage?The percentage of a company's cost structure that is made up of fixed expenses as opposed to variable costs is measured by operating leverage. A corporation is said to have more operating leverage if its fixed expenses are higher than its variable costs.
Magnitude of operating leverage= 4.5
Old sales= $100000
New sales= $110000
Percentage increase in sales:
(New-old)/old = (110,000-100,000)/100,000
= 10%
Consequently, a percentage rise in profit might be anticipated:
sales percentage growth times the degree of operational leverage
= 10% * 4.5
= 45%
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Ken and Joe are out at a bar drinking. During the evening, Ken writes a note on a cocktail napkin agreeing to sell his car to Joe for $500. After they both sign it, Ken pockets the money and hands the keys over. The next day, Ken has no idea where his car is and how he came to have $500 in his wallet. Was this a valid contract?
Answer:
250000
Explanation:
the following information pertains to the ruby corp: ruby corp data beginning work-in-process inventory $74,000 ending work-in-process inventory $82,000 beginning finished goods inventory $172,000 ending finished goods inventory $209,000 cost of goods manufactured $1,202,000 what is cost of goods sold?
The cost of goods sold for Ruby Corp is $165,000.
To calculate the cost of goods sold for Ruby Corp, we need to use the formula:
Beginning Finished Goods Inventory + Cost of Goods Manufactured - Ending Finished Goods Inventory = Cost of Goods Sold
Plugging in the numbers given:
$172,000 + $1,202,000 - $209,000 = $1,165,000
Therefore, the cost of goods sold for Ruby Corp is $1,165,000.
Hi! Based on the provided information for Ruby Corp, we can calculate the cost of goods sold (COGS) using the following formula:
COGS = Beginning Finished Goods Inventory + Cost of Goods Manufactured - Ending Finished Goods Inventory
Plugging in the values:
COGS = $172,000 (Beginning Finished Goods Inventory) + $1,202,000 (Cost of Goods Manufactured) - $209,000 (Ending Finished Goods Inventory)
COGS = $165,000
So, the cost of goods sold for Ruby Corp is $165,000.
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The cost of goods sold for Ruby Corp is $165,000.
To calculate the cost of goods sold for Ruby Corp, we need to use the formula:
Beginning Finished Goods Inventory + Cost of Goods Manufactured - Ending Finished Goods Inventory = Cost of Goods Sold
Plugging in the numbers given:
$172,000 + $1,202,000 - $209,000 = $1,165,000
Therefore, the cost of goods sold for Ruby Corp is $1,165,000.
Based on the provided information for Ruby Corp, we can calculate the cost of goods sold (COGS) using the following formula:
COGS = Beginning Finished Goods Inventory + Cost of Goods Manufactured - Ending Finished Goods Inventory
Plugging in the values:
COGS = $172,000 (Beginning Finished Goods Inventory) + $1,202,000 (Cost of Goods Manufactured) - $209,000 (Ending Finished Goods Inventory)
COGS = $165,000
So, the cost of goods sold for Ruby Corp is $165,000.
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