can u help me make a graph based off the oligopoly of the market on baby formula like during these recent times where the 3 main companies are flunking leaving little to no baby formula and hard for people to find

Answers

Answer 1

Graphical representation can vary depending on the specific market conditions and data available.

In an oligopoly market, where a few dominant firms have significant control over the market, the graph would typically depict the market demand and the supply of baby formula. The market demand curve would slope downward, representing the relationship between price and quantity demanded.

The supply curve would show the combined quantity supplied by the few main companies in the industry. During a time when the main companies are struggling, the supply curve would shift to the left, indicating a decrease in the quantity supplied. This shift would result in a shortage of baby formula in the market, leading to higher prices and limited availability.

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Can U Help Me Make A Graph Based Off The Oligopoly Of The Market On Baby Formula Like During These Recent

Related Questions

REINFORCEMENT ACTIVITY 1-PART B Proprietorship: End-of-Fiscal-Period Work An Accounting Cycle for a The general ledger prepared in Reinforcement Activity 1-Part A is needed to complete Reinforcement A

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Reinforcement activity 1-Part B Proprietorship: End-of-Fiscal-Period Work An Accounting Cycle for a The general ledger prepared in Reinforcement Activity 1-Part A is needed to complete Reinforcement Activity 1-Part B.

This part deals with journalizing and posting adjusting entries and preparing financial statements for the 12-month accounting period ending December 31. In this section, we will use the general ledger data to create an unadjusted trial balance, record and post the adjusting entries, and create a post-closing trial balance. To prepare the financial statements, we'll use the adjusted trial balance. The income statement, statement of owner's equity, and balance sheet will be generated. Finally, we'll create a post-closing trial balance. A partnership, a proprietorship, and a corporation are the three types of business entities. The owner is the company in a proprietorship. A single person or a married couple could own it. In a partnership, two or more people own a company, while in a corporation, one or more persons own it. There are numerous advantages and disadvantages to each business entity. The process of recording financial transactions and generating financial statements is known as the accounting cycle. The general ledger, as previously stated, serves as the foundation for the accounting cycle. The financial statements are generated after the adjusting and closing entries are made.The accounting cycle is a series of procedures that businesses use to record financial transactions and produce financial statements. The accounting cycle starts with the preparation of source documents, which are used to record transactions. These documents are then used to record transactions in a journal. Posting is the process of transferring journal entries to a general ledger. An unadjusted trial balance is generated from the general ledger, which is then used to make adjusting entries. After that, an adjusted trial balance is created, and financial statements are prepared from it. The income statement, statement of owner's equity, and balance sheet are examples of financial statements. The post-closing trial balance is the last step in the accounting cycle. It's crucial to ensure that all accounts have a zero balance. The post-closing trial balance serves as a basis for the next fiscal period's accounting cycle.The accounting cycle's five stages include transactions, journal entries, posting, unadjusted trial balance, and adjusted trial balance, financial statements, and closing the books. The proprietorship has a single owner, while the partnership has multiple owners. The proprietorship, unlike other business forms, does not have a separate legal entity. Instead, the proprietorship and the owner are one and the same. The main disadvantage of a proprietorship is that it has unlimited liability, which means that the owner is personally liable for any debts or obligations of the business.

A proprietorship is one of the three primary types of business entities. To complete the Reinforcement Activity 1-Part B, the general ledger produced in Reinforcement Activity 1-Part A is necessary. The accounting cycle is used to record financial transactions and create financial statements. The general ledger is the basis for the accounting cycle. The accounting cycle consists of five steps. The proprietorship has advantages and disadvantages, with the main disadvantage being unlimited liability. The accounting cycle is completed by generating post-closing trial balance.

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When managers practice Management By Waking Around'- which is a term used to describe a manager being out in the work area, interacting directly with employees while the employees are conducting their work-, they are using the ____________ type of operational control.

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The operational control used in Management By Walking Around (MBWA) is "behavioral."

How to improve memory retention skills?

When managers practice Management By Walking Around (MBWA), they are using the "behavioral" type of operational control. MBWA focuses on direct interaction and observation of employees while they are performing their work. It involves managers physically being present in the work area, engaging with employees, asking questions, providing feedback, and gaining firsthand knowledge of the operations and employee performance.

This approach allows managers to better understand the work processes, identify potential issues or improvements, and build relationships with employees. By being actively involved in the work area, managers can monitor operations, assess employee productivity, and address any concerns or obstacles in real-time. MBWA promotes open communication, employee engagement, and continuous improvement, making it an effective method of operational control in many organizations.

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For each of the following situations, how would your base stock level for teddy bears change? a. Mean demand increases, standard deviation decreases it decreases b. Mean demand increases, standard deviation increases it increases

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(a) When mean demand increases and standard deviation decreases, the base stock level for teddy bears decreases due to more predictable and consistent demand.

(b) When mean demand increases and standard deviation increases, the base stock level increases to address the higher average demand and the greater uncertainty in demand fluctuations.

(a) Teddy bear demand is thought to be growing more predictable and steady over time when the mean demand rises and the standard deviation falls. The merchant can use the higher mean demand in this case to make a more precise prediction of future demand. A lower standard deviation means less volatility or variability in demand, which lowers the danger of stockouts. Because there is more confidence that the demand can be met with less safety stock, the store can lower the base stock level.

(b) The demand for teddy bears is growing more erratic and uncertain, on the other hand, if both the mean demand and the standard deviation rise. The retailer in this case must take into account both the higher mean demand and the higher variability in demand. A higher standard deviation increases the possibility of unexpected demand spikes or declines, which raises the danger of stockouts. The shop would need to raise the base stock level, including more safety stock, to satisfy the greater average demand and take into account the increased variability in order to reduce this risk.

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Question 59 3 points Your firm is a Swiss exporter of bicycles. You have sold an order to a French firm for €2,000,000 worth of bicycles. Payment from the French firm (in euro) is due in 12 months.

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To analyze the foreign exchange risk associated with the payment due in 12 months, we need to consider the potential impact of exchange rate fluctuations on the value of the payment in Swiss francs (CHF). Since your firm is a Swiss exporter, any changes in the exchange rate between the euro (EUR) and the Swiss franc (CHF) can affect the amount of CHF you will receive from the French firm.

Assuming the current exchange rate is 1 EUR = 1.10 CHF (for illustrative purposes), let's calculate the potential CHF value of the payment:

Value of payment in CHF = Value of payment in EUR * Exchange rate

Value of payment in CHF = €2,000,000 * 1.10 CHF/EUR

Value of payment in CHF = 2,200,000 CHF

Based on the assumption of a 1 EUR = 1.10 CHF exchange rate, the value of the payment in Swiss francs would be 2,200,000 CHF.

However, it's important to note that exchange rates are subject to fluctuations and can change over time. The actual CHF value of the payment will depend on the exchange rate prevailing at the time of payment.

To mitigate the exchange rate risk, your firm may consider using hedging strategies such as forward contracts or currency options to lock in a favorable exchange rate or reduce the impact of adverse exchange rate movements. Consulting with a financial advisor or foreign exchange specialist can provide valuable insights and guidance in managing the foreign exchange risk associated with your export transactions.

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Suppose the government mandates higher interest rates for checking accounts. Claim: The Central Bank can stabilize output in the short run and in the long run by cutting the money supply. (Hint 1: Checking accounts are part of the money stock. So, consider what a higher interest rate on checking does to the desire to hold money. Hint 2: First graph what happens in the short run and the long run as a result of the higher interest rate on checking accounts. Then consider how the Central Bank can stabilize.)

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The claim is false because the Central Bank cannot stabilize output in the short and long run by cutting the money supply in response to higher interest rates on checking accounts.

When the government mandates higher interest rates for checking accounts, it reduces the demand for money because holding money becomes relatively less attractive compared to earning interest. As a result, individuals and businesses will reduce their money holdings, leading to a decrease in the money supply. In the short run, the reduction in the money supply can have a contractionary effect on the economy. It can lead to a decrease in spending, investment, and overall economic activity, potentially causing a recessionary impact on output.

In the long run, the Central Bank's ability to stabilize output solely through cutting the money supply is limited. Monetary policy primarily affects aggregate demand in the short run and cannot address underlying structural issues or supply-side factors that may be influencing output. Long-term output stabilization requires a comprehensive approach that includes fiscal policies, structural reforms, and addressing productivity and labor market dynamics, the claim is false.

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The complete question is:

Please state whether the claim is true or false and explain why

Suppose the government mandates higher interest rates for checking accounts.

Claim: The Central Bank can stabilize output in the short run and in the long run by cutting the money supply. (Hint 1: Checking accounts are part of the money stock. So, consider what a higher interest rate on checking does to the desire to hold money. Hint 2: First graph what happens in the short run and the long run as a result of the higher interest rate on checking accounts. Then consider how the Central Bank can stabilize.)

Apple products (iPads, iPhones, iPods) use the term APP STORE. Amazon.com launched an Appstore for viewing and downloading applications to Android devices (such as the Kindle Fire). Apple claimed that Amazon’s use of the word "Appstore" constituted false advertising and trademark infringement—that Amazon’s use of "Appstore" misled the public into thinking that Amazon’s Appstore is affiliated with Apple and offers the same content.

A federal district court determined that consumers were not deceived by the two vendors’ use of the same term. There was no evidence that consumers understood "app store" to include specific qualities, characteristics, or attributes or were otherwise misled by the use of the term.

1. What is required to establish that an ad, or the use of a certain term, as in this case, constitutes false advertising?

2. Amazon filed a motion for summary judgment. Summary judgment is appropriate when there is no genuine dispute as to any material fact. What is a material fact? What indicates that a dispute over a material fact is genuine?

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1. In order to establish that an ad or the use of a certain term constitutes false advertising, the elements that generally need to be shown  Misrepresentation or misleading statement, Connection to commercial advertising or promotion and Impact on purchasing decisions.

2. A material fact is a fact that is relevant and significant to the case at hand. If the parties present different factual accounts that could affect the outcome of the case, the dispute over that material fact is considered genuine.

1.     To establish that an ad or the use of a certain term constitutes false advertising, the following elements generally need to be shown:

a) Misrepresentation or misleading statement: It must be demonstrated that the ad or the use of the term contains false or misleading information that has the potential to deceive consumers.

b) Connection to commercial advertising or promotion: The false statement or misleading information must be made in the context of commercial advertising or promotion, typically with the intention to promote the sale of goods or services.

c) Impact on purchasing decisions: It should be shown that the false statement or misleading information is likely to influence consumers' purchasing decisions. This means that consumers are likely to be deceived or misled by the statement or information and make choices they would not have made otherwise.

2. A material fact is one that is crucial to the outcome of the case. It is a factual matter that is essential to the claim. Summary judgment is appropriate when there is no genuine dispute as to any material fact. A genuine dispute is one that involves a dispute over a material fact that would affect the outcome of the case.

To determine if there is a genuine dispute over a material fact, the court considers whether there is sufficient evidence presented by the parties to support different versions or interpretations of the facts. If there is conflicting evidence or reasonable disagreement about a material fact, it indicates that a genuine dispute exists.

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The cost of successfully defending a patent in an infringement suit should be a. charged to Legal Expenses. b. deducted from the book value of the patent. c. added to the patents account. d. recognized as a loss in the current period.

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The cost of successfully defending a patent in an infringement suit should be charged to Legal Expenses.

When a company incurs costs for successfully defending a patent in an infringement suit, it is appropriate to classify these costs as Legal Expenses. These expenses are considered a normal part of the legal activities undertaken to protect and enforce the rights associated with the patent.

They are not directly related to the book value of the patent itself, but rather to the legal defense process. By charging these costs to Legal Expenses, the company accurately reflects the nature of the expenses and their association with legal activities. This treatment ensures that the financial statements provide a clear and accurate representation of the company's financial position and performance.

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Finance, which is a primary activity of an organization's value
chain, sources components and builds products for an
organization.
True of False

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The statement "Finance, which is a primary activity of an organization's value chain, sources components and builds products for an organization" is false because finance is not involved in sourcing components and building products.

Finance is responsible for managing an organization's financial resources and ensuring that they are being used effectively and efficiently. Finance involves activities such as financial planning, budgeting, accounting, and financial reporting. It is a critical function in any organization as it ensures that the organization has the resources it needs to operate and grow.

However, sourcing components and building products are part of the operations and production activities of an organization's value chain. Finance plays a role in providing funding for these activities, but it is not directly involved in them.

Instead, finance works with other departments such as operations and marketing to ensure that the organization is making sound financial decisions and allocating resources in a way that supports the organization's overall goals and objectives.

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assume you fit a new model to predict whether the sale was lost or not. using the 3 predictor variables (quote, time to delivery, part type), the rmse is 0.4832 and the bic is 749.07, call this model

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The new model, based on the three predictor variables (quote, time to delivery, part type), has an RMSE (Root Mean Squared Error) of 0.4832 and a BIC (Bayesian Information Criterion) of 749.07. The RMSE measures the average difference between the predicted values and the actual values, with lower values indicating better predictive performance. The BIC is a criterion used for model selection, where lower values indicate a better balance between model fit and complexity.

This model provides a good fit to the data, as indicated by the relatively low RMSE. The BIC value of 749.07 suggests that the model is reasonably parsimonious, considering both model fit and complexity.

Please note that the specific interpretation of the predictor variables and the model's performance may require additional context and understanding of the problem domain.

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discuss porsche’s and mercedes general strategies in entering the battery-electric-vehicle (bev) market, especially compared to their main competitor tesla.

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In summary, Porsche and Mercedes have adopted different strategies in entering the battery-electric vehicle (BEV) market compared to their main competitor, Tesla.

Porsche focuses on high-performance luxury BEVs, leveraging its brand image and motorsport heritage. Mercedes, on the other hand, adopts a broader approach, targeting a wider range of customers with a mix of luxury, performance, and mainstream BEV models.

In more detail, Porsche's strategy centers around creating high-performance luxury BEVs that offer a unique driving experience. They have introduced the Taycan, an all-electric sports car, emphasizing speed, handling, and design. Porsche leverages its strong brand reputation and expertise in motorsports to attract performance-oriented consumers looking for an electrified driving experience.

Mercedes, on the other hand, has taken a more diverse approach. They offer a range of BEV models across different segments, including luxury sedans, SUVs, and even compact cars. Mercedes aims to capture a broader market by appealing to customers seeking luxury, performance, and mainstream electric vehicles. They emphasize technology, comfort, and a seamless transition to electric mobility.

In contrast, Tesla's strategy revolves around being an electric vehicle pioneer and disruptor. They focus solely on producing and advancing electric vehicles, prioritizing innovation, range, and sustainability. Tesla has built a strong brand around its commitment to EVs, establishing a loyal customer base and a robust charging infrastructure.

Overall, Porsche and Mercedes differentiate themselves from Tesla by leveraging their brand image and offering a variety of luxury and high-performance BEVs, catering to different customer segments. Tesla, on the other hand, maintains its position as a dedicated electric vehicle manufacturer and innovator.

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The balance of payments account of Turkey DOES NOT show:

What European companies produce in Turkey

What Turkish consumers buy from other countries

What Turkish Banks borrow from other countries

What Turkish companies invest in other countries

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The Balance of payments (BoP) account of Turkey does not show what European companies produce in Turkey, option a.

Balance of payments (BoP) is the record of all financial transactions made between the individuals, firms, and the government of one country with the rest of the world. It is a statement that shows the flow of goods, services, and capital between two countries. The BoP consists of two accounts: Current account and Capital account.

Current Account: It records the trade in goods and services (exports and imports), income receipts from other countries (rent, dividends, interest, etc.), and unilateral transfers (donations, gifts, remittances, etc.).Capital Account: It records the transactions of long-term capital flows like FDI, loans, securities, etc. and short-term capital flows like the purchase of assets, borrowing, lending, etc.

The Balance of payments account of Turkey shows what Turkish consumers buy from other countries, what Turkish banks borrow from other countries, and what Turkish companies invest in other countries but does not show what European companies produce in Turkey.

Therefore, the correct option a. What European companies produce in Turkey.

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Trixie Maye started her own consulting firm, Matrix Consulting on May 1, 2017.

The following transactions occurred during the month of May:

1- Trixie invested $7,000 cash in the business.

2- Paid $900 for office rent for the month.

3-Purchased $600 of supplies on account.

4- Received $4,000 cash for services performed.

5- Withdrew $1,000 in cash for personal use.

6-Performed $5,400 of services on account.

7-Paid $2,500 for employee salaries expense.

8-Purchase $4000 of supplies and paid $1500 Cash and the remaining balance on account.

9- Trixie performed services for $ 6000 and received cash for $ 3500 and $ 2500 on account.

Instructions

(a) Show the effect of the previous transactions on the accounting equation.

Answers

The accounting equation is the basic accounting principle. the total assets are equal to $11,600, total liabilities are equal to $5,400 and owner's equity is equal to $6,200.

The accounting equation is: Assets = Liabilities + Owner's Equity. It shows that the total assets of the business are equal to the sum of its liabilities and equity, which is the owner's investment in the business.

The effect of the given transactions on the accounting equation is as follows:

Effect on Accounting Equation Transaction Assets = Liabilities + Owner's Equity(1) Trixie invested $7,000 cash in the business.

Cash +7000 = 0 +7000(2) Paid $900 for office rent for the month.

Cash +6100 = 0 +6100(3) Purchased $600 of supplies on account. Cash +6100 = +600 A = +6700(4) Received $4,000 cash for services performed.

Cash +10,100 = +4000 A +6700(5) Withdrew $1,000 in cash for personal use.

Cash +9100 = +4000 A +5100(6) Performed $5,400 of services on account.

Cash +9100 = +5400 R +3700(7) Paid $2,500 for employee salaries expense.

Cash +6600 = +5400 R +1200(8) Purchase $4000 of supplies and paid $1500 Cash and the remaining balance on account. Cash +5100 = +5400 R +600 A(9) Trixie performed services for $ 6000 and received cash for $ 3500 and $ 2500 on account.

Cash +11,600 = +5400 R +8200 A

Thus, the total assets are equal to $11,600, total liabilities are equal to $5,400 and owner's equity is equal to $6,200.

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How would you use the concept of the time value of money to
determine the value of the business? (explain deeply)

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The concept of the time value of money is used to determine the value of a business. Time value of money is a financial concept that refers to the fact that money received today is worth more than the same amount received in the future.

This is because of the potential to earn interest or other returns on the money over time. In other words, money has a time value.The value of a business can be determined using the concept of the time value of money by calculating the present value of its expected future cash flows.

This involves discounting the future cash flows back to their present value, using a discount rate that takes into account the time value of money.The discount rate used will depend on a number of factors, such as the riskiness of the business, the prevailing interest rates, and the availability of alternative investment opportunities.

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A company considers all of the following factors when setting its dividend, except O future earnings growth. O par value per share. O future cash needs. sustainability of dividends once initiated

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A company considers all of the following factors when setting its dividend, except par value per share. The given statement is a very simple and straightforward statement of facts related to dividends. What is a Dividend? A dividend is a reward paid by a corporation to its shareholders when it earns a profit.

The correct option is c .

A dividend is a distribution of a corporation's earnings or profits. Corporations can either pay dividends in cash or in the form of additional shares of stock. Why Dividends are important? Dividends have always been a favorite form of income for investors. It helps the investors by providing a steady source of income and by signaling the company’s financial strength, stability, and profitability.

A company that pays dividends is considered more trustworthy, reliable, and stable than a company that does not pay dividends. A company considers all of the following factors when setting its dividend, except O future earnings growth. O par value per share. Why Dividends are important? Dividends have always been a favorite form of income for investors. It helps the investors by providing a steady source of income and by signaling the company’s financial strength, stability, and profitability.

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The five main Economic goals are growth, efficiency, equity,
security, and freedom. Which do you think is the easiest to achieve
and which one is the most difficult to achieve and why?

Answers

The five primary economic goals are growth, efficiency, equity, security, and freedom. Security and growth are the easiest objectives to achieve, while equity and freedom are the most difficult to achieve.

Economic growth refers to an increase in the production of goods and services in an economy over time.

Economic growth is a less complicated economic goal to achieve because it is easier to quantify and measure. Efficiency, on the other hand, is the capacity of an economy to use its resources optimally to achieve maximum production and meet the needs of its citizens. Efficiency is a more difficult economic goal to achieve since it requires strategic planning, cooperation, and innovation among governments, private businesses, and consumers.

Equity, the third economic goal, is the principle of fairness in the distribution of wealth and opportunity among people in an economy. It is a difficult goal to achieve since it necessitates the elimination of income inequality and poverty in a nation. Furthermore, it requires long-term planning and the development of social programs to address the needs of the poor and underprivileged.

Security, the fourth economic goal, is the principle of protecting citizens' rights to life, property, and other basic needs. Security is a comparatively simple objective to achieve since it necessitates the development of effective legal systems and law enforcement agencies to guarantee that citizens are protected.

Finally, freedom, the fifth economic goal, is the principle of providing citizens with the freedom to choose how they will use their resources. It is the most challenging goal to achieve because it necessitates the development of political and economic institutions that respect the rule of law, protect citizens' rights, and promote democratic governance.

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a digital marketing manager has upgraded their keywords to broad match. which behavior should they build into their regular cadence of optimization to guide machine learning? create additional phrase and exact match keywords to improve reach. remove negative keywords that may block relevant traffic. add customer match lists with data older than 90 days. dismiss recommendations to add relevant new keywords.

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The behavior the digital marketing manager should build into their regular cadence of optimization to guide machine learning is to remove negative keywords that may block relevant traffic.

Upgrading keywords to broad match expands the reach of the campaign by allowing ads to be triggered by a wider range of search queries. However, it also increases the likelihood of irrelevant or low-quality traffic. To guide machine learning and improve the effectiveness of the campaign, regularly reviewing and refining negative keywords is crucial.

By identifying and excluding irrelevant search terms through negative keywords, the digital marketing manager can ensure that the campaign focuses on attracting the most relevant and valuable traffic. This optimization step helps to improve the campaign's performance, increase click-through rates, and enhance the overall return on investment (ROI).

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What is one reason a firm may lose some of its monopoly power? Multiple Choice Antitrust laws Vertical or horizontal splits Pressure from consumers All of these are reasons a firm may lose some of its monopoly power

Answers

All of these are reasons a firm may lose some of its monopoly power.

A firm may lose its monopoly power for several reasons. It is because monopolies restrict competition, raising prices and reducing supply, preventing markets from reaching equilibrium.

Monopoly power arises when a single company dominates the production of a good or service.Antitrust laws: Antitrust laws are used to reduce the abuse of monopolies and promote competition.

These laws are enacted to prevent monopolies from reducing competition, resulting in higher prices, fewer products, and lower-quality goods.

As a result, a company with monopoly power may lose some of its influence if it is broken into smaller firms.Vertical or horizontal splits: A firm may lose its monopoly power by breaking it into smaller firms. When it breaks into smaller companies, it is said to have vertical or horizontal separation.

Vertical split occurs when a company divides itself into separate companies based on the stages of production, and horizontal separation occurs when a company divides itself based on its geographic location.Pressure from consumers: Consumers have the power to put pressure on a company with monopoly power. If a company's prices are too high, consumers may decide to buy from a different company or simply stop using the product. As a result, the company loses revenue, and the market share decreases, and the company may lose its monopoly power.

So, All of these are reasons a firm may lose some of its monopoly power.

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Alpha Bank is considering the following 3-year interest rate swap contract with a face value of $5 million: Fixed rate 10% BUYER SELLER 90-day bank bill swap rate Alpha Bank is currently funding $5 million of 3-year variable-rate mortgage loans with 3-year fixed-rate bonds. To hedge its risk, should Alpha Bank enter the swap above as a buyer or seller? Explain your answer.

Answers

To determine whether Alpha Bank should enter the swap as a buyer or seller, we need to consider the bank's exposure to interest rate risk and its desired risk management strategy.

In this case, Alpha Bank has $5 million of 3-year variable-rate mortgage loans funded by 3-year fixed-rate bonds. This means that the bank's interest income from the mortgage loans will fluctuate with changes in interest rates, while the interest expense on the fixed-rate bonds will remain constant.

If Alpha Bank expects interest rates to increase over the next three years, it would be beneficial for the bank to enter the swap as a buyer. By doing so, Alpha Bank would receive a fixed rate of 10% on the notional amount of $5 million, which would help offset the potential increase in interest expenses from the variable-rate mortgage loans.

On the other hand, if Alpha Bank expects interest rates to decrease, it would be more advantageous for the bank to enter the swap as a seller. In this case, the bank would pay the counterparty the fixed rate of 10% and receive the 90-day bank bill swap rate, which is expected to be lower. This would help mitigate the potential decrease in interest income from the variable-rate mortgage loans.

Ultimately, the decision of whether to enter the swap as a buyer or seller depends on Alpha Bank's assessment of future interest rate movements and its risk management objectives.

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urrggent
Question 1 Northern Star sells several products. Information of average revenue and costs is as follows: Selling price per unit $25 Variable costa per unit Directmaterial $6 Direct manufacturing labor

Answers

Northern Star's contribution margin ratio is 44%.

Based on the given data, the selling price per unit for Northern Star's several products is $25.

The average variable costs per unit include direct material and direct manufacturing labor which are $6 and $8 respectively.

Therefore, the total average variable cost per unit will be $6 + $8

= $14.

Thus, the contribution margin per unit will be:

Selling price per unit – Average variable costs per unit

= $25 - $14

= $11

So, the contribution margin ratio will be:

Contribution margin per unit / Selling price per unit= $11 / $25

= 0.44 or 44%

Therefore, Northern Star's contribution margin ratio is 44%.

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When a franchisor seeks to terminate a franchise that is owned by a franchisee, the law generally emphasizes O a. the right of the franchisee to continue its business. O b. the importance of good faith and fair dealing between the franchisor and franchisee. O c. the fact that the franchisee voluntarily contracted with the franchisor. O d. the right of the franchisor to conduct its business.

Answers

When a franchisor seeks to terminate a franchise that is owned by a franchisee, the law generally emphasizes B) the importance of good faith and fair dealing between the franchisor and franchisee.

Franchise agreement is a contract between a franchisor and a franchisee that specifies the terms and conditions of the franchise relationship. This agreement is signed by the two parties before the franchisee begins to operate the franchisor's company model and use its trademark. The franchise agreement protects both the franchisor and the franchisee's interests and outlines the conditions under which the franchisee will operate the business and the obligations of the franchisor..

A franchisor is the party that licenses its trademark, company model, and intellectual property to franchisees in a franchise relationship. The franchisor must provide a detailed company plan, training, and ongoing support to the franchisee. The franchisor also benefits from the franchise relationship because the franchisee pays an initial fee and ongoing royalties on sales.

A franchisee is the person or organization that is granted a license to use a franchisor's trademark, company model, and intellectual property. In exchange for the right to use the franchisor's brand and company model, the franchisee typically pays an initial franchise fee and ongoing royalties on sales. The franchisee must operate the franchisor's business model, adhere to its standards and procedures, and follow its policies and regulations.

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Imagine that the mythical solid gold falcon, initially intended as a tribute by the Knights of Malta to the King of Spain in appreciation for his gift of the island of Malta to the order in 1530, has recently been recovered. The falcon is 14 inches high and solid gold, weighing approximately 48 pounds. Assume that gold prices have risen to $440/ounce, primarily as a result of increasing political tensions. The falcon is currently held by a private investor in Istanbul, who is actively negotiating with the Maltese government on its purchase and prospective return to its island home. The sale and payment are to take place one year from now, and the parties are negotiating over the price and currency of payment. The investor has decided, in a show of goodwill, to base the sales price only on the falcon's specie value-its gold value. The current spot exchange rate is 0.3900 Maltese lira (ML) per 1.00 U.S. dollar. Maltese inflation is expected to be about 8.5% for the coming year, while U.S. inflation, on the heels of a double-dip recession, is expected to come in at only 1.5%. If the investor bases value in the U.S. dollar, would he be better off receiving Maltese lira in one year (assuming purchasing power parity), or receiving a guaranteed dollar payment (assuming a gold price of $420 per ounce one year from now)?

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The investor would be better off receiving Maltese lira in one year (assuming purchasing power parity).

The purchasing power parity (PPP) theory suggests that in the long run, the exchange rate between two currencies should adjust to equalize the prices of a basket of goods in both countries. In this case, the investor is considering receiving either Maltese lira or a guaranteed dollar payment. Since the investor is pricing the falcon based on its specie value, which is its gold value, the choice of currency becomes important.

Given that Maltese inflation is expected to be 8.5% and U.S. inflation is expected to be 1.5%, the purchasing power of the Maltese lira is likely to decrease more rapidly compared to the U.S. dollar. Therefore, if the investor receives Maltese lira in one year, their purchasing power may be eroded due to higher inflation in Malta. On the other hand, if they receive a guaranteed dollar payment, they can benefit from the lower inflation rate in the United States.

Considering the purchasing power parity principle and the expected inflation rates, receiving a guaranteed dollar payment would likely be a better option for the investor in this scenario.

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1. Describe the value proposition of Alibaba and explain how
Alibaba provide the value to small medium business (SME) in
business world today? (5 Marks)

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Alibaba's value proposition involves offering an online platform that connects small and medium-sized businesses (SMEs) with global consumers.

As a result, SMEs gain access to a vast and growing customer base, which they can leverage to expand their operations and increase revenues. Alibaba accomplishes this through a number of value-added services, such as cloud computing, logistics, and payment processing. Furthermore, Alibaba has established itself as a trusted source of quality goods, thereby helping SMEs to build and maintain their brand reputations.

Overall, Alibaba provides SMEs with a comprehensive and scalable platform for conducting business in the global marketplace, thereby enhancing their competitiveness and profitability.

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Question 2 (34 Marks) i. Using a named PROJECT enterprise identify four (4) broad categories of risk (4 marks) ii. For each of the broad categories identified in (i) list two (2) potential risks that pose a threat to the objectives of the PROJECT. (8 marks) iii. (12 marks) Develop a Risk Register for the broad and sub-categories of risk. Prepare a Risk Impact Matrix from the information in (iii) above. iv. (10 marks)

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A Risk Register is a document that captures and categorizes all identified risks, their potential impact, and corresponding mitigation strategies. The Risk Impact Matrix assesses the likelihood and consequences of each risk event to prioritize their management.

Using a named PROJECT enterprise, four broad categories of risk could be:

Financial Risk: This includes risks related to the project's budget, funding, and financial stability. It involves the potential for cost overruns, inadequate funding, or financial constraints that may impact the project's progress and success.

Operational Risk: This category encompasses risks associated with the day-to-day operations of the project. It involves risks such as technological failures, process inefficiencies, resource constraints, or supply chain disruptions that can hinder the project's execution and delivery.

Schedule Risk: This category relates to risks that may affect the project's timeline and ability to meet deadlines. It includes risks such as delays in obtaining necessary approvals, unforeseen dependencies, or unexpected events that can cause schedule slippages and impact project completion.

Stakeholder Risk: This category involves risks associated with project stakeholders and their expectations. It includes risks related to stakeholder resistance, conflicting interests, or inadequate communication and engagement, which can affect the project's support, collaboration, and ultimate success.

ii. Potential risks within each broad category:

Financial Risk:

a) Fluctuations in exchange rates that can impact project costs and profitability.

b) Insufficient cash flow to meet project expenses and obligations.

Operational Risk:

a) Equipment breakdowns or technical failures that disrupt project operations.

b) Inadequate skill levels or workforce shortages that affect productivity and quality.

Schedule Risk:

a) Unforeseen weather conditions that delay outdoor construction activities.

b) Delays in receiving critical materials or supplies from suppliers.

Stakeholder Risk:

a) Opposition from local communities or environmental groups that hinder project approvals.

b) Misalignment of stakeholder expectations leading to conflicts and delays in decision-making.

iii. Risk Register and Risk Impact Matrix:

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what kind of policy should apply if the
economy shrinks 10%.

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If the economy shrinks by 10%, a combination of expansionary fiscal and monetary policies should be implemented to stimulate economic growth.

Expansionary fiscal policy involves increasing government spending and/or reducing taxes to boost aggregate demand. In this case, the government could increase infrastructure spending, provide tax incentives for businesses, and implement social welfare programs to stimulate consumer spending. These measures would inject money into the economy, encouraging businesses to invest and consumers to spend, thereby helping to revive economic activity.

Simultaneously, expansionary monetary policy can be implemented by the central bank. This involves reducing interest rates to encourage borrowing and investment. Lower interest rates make it cheaper for businesses and individuals to borrow, leading to increased spending and investment. Additionally, the central bank could engage in open market operations, purchasing government securities to inject liquidity into the financial system.

By implementing expansionary fiscal and monetary policies, the government can effectively address the economic shrinkage of 10%. The combination of increased government spending, tax incentives, and social welfare programs, along with reduced interest rates and increased liquidity, would work together to stimulate economic growth. However, it's important to carefully monitor the impact of these policies to ensure that they don't lead to excessive inflation or other adverse effects on the economy.

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TRUE/FALSE. Selling and administrative expenses are treated as period costs
under both variable costing and absorption costing.

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True, Selling and administrative expenses are treated as period costs under both variable costing and absorption costing.

In both variable costing and absorption costing, selling, and administrative expenses are considered period costs. These costs are expensed in the period in which they are incurred and are not allocated to the inventory or cost of goods sold. They are not included in the product costs. Instead, they are recognized as expenses in the period they are associated with, such as salaries, advertising expenses, rent, utilities, and other administrative costs.

Both variable costing and absorption costing differentiate between period costs (selling and administrative expenses) and product costs (direct materials, direct labor, and manufacturing overhead).

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Normal profit is best described as:
Select one:
A. an implicit cost that is the average return to entrepreneurship activity. O an explicit cost that is the average return to entrepreneurship activity.
B. the revenue remaining after all money (explicit) costs have been paid.
C. the expected profit in a typical year.
D. the profit a firm always makes each year.

Answers

Normal profit is best described as: an implicit cost that is the average return to entrepreneurship activity (A).

What is normal profit?

Normal profit is the minimum amount of profit necessary to keep a firm operating. It is a company's long-term average profit, which is just enough to keep it operational and in business. Normal profit is the minimum amount of profit required for a business to continue operations in the long run.

It is the implicit cost that is the average return to entrepreneurship activity, and it is included in the opportunity cost of the company's resources (capital and labor).

Therefore, the correct option is A. an implicit cost that is the average return to entrepreneurship activity.

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As with most bonds, consider a bond with a face value of $1,000. The bond's maturity is 27 years, the coupon rate is 9% paid semiannually, and the discount rate is 14%. What is the estimated value of this bond today?

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The required estimated value of the given bond today is approximately $642.63.

The estimated value of the given bond today can be calculated by using the present value formula, which is given as:

Present value = Coupon payment x Present value factor of an annuity + Face value x Present value factor of a single sum

Where:Face value = $1,000Coupon rate = 9%Coupon payment = (Coupon rate / 2) x Face value = (9 / 2) x 1000 = $45

Number of periods = 27 years x 2 semi-annual periods per year = 54 periods

Discount rate = 14% per annum / 2 semi-annual periods per year = 7% per period

Present value factor of an annuity = [(1 - (1 + r) to the power -n) / r] where r is the discount rate and n is the number of periods.

Present value factor of a single sum = (1 / (1 + r) to the power n) where r is the discount rate and n is the number of periods.

Substituting the given values in the present value formula, we get:Present value = $45 x [(1 - (1 + 0.07)-⁵⁴) / 0.07] + $1,000 x (1 / (1 + 0.07)⁵⁴)≈ $642.63

Therefore, the estimated value of the given bond today is approximately $642.63

.Answer: The estimated value of the given bond today is approximately $642.63.

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Foto Color is a Des Moines supplier of chemicals and equipment used by some photographic stores to process 35mm film. One product that Foto Color supplies is BC-6. Brad Meyer, president of Foto Color,

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Foto Color is a Des Moines supplier of chemicals and equipment used by some photographic stores to process 35mm film. One product that Foto Color supplies is BC-6. Brad Meyer, president of Foto Color, started a major advertising campaign to promote BC-6, which Meyer claims produces higher quality prints than other similar products.

What is BC-6?

BC-6 is a product supplied by Foto Color, a Des Moines supplier of chemicals and equipment used by some photographic stores to process 35mm film. BC-6 is promoted by Brad Meyer, the president of Foto Color, through a major advertising campaign. According to Meyer, BC-6 produces higher quality prints than other similar products.

BC-6 is a type of photographic developer that is used to develop black and white photographic film. It is considered to be a high contrast developer, meaning that it produces a high level of contrast in the final print. This can result in a very striking image with bold blacks and bright whites. However, it can also result in loss of detail in the highlights and shadows of the image, so it may not be appropriate for all types of photographs.

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17. all change requests are recorded in _____. a. project workbook b. post-it notes c. access database d. project scope log e. change request log

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all change requests are recorded in _____.  e. change request log

All change requests are typically recorded and tracked in a change request log. This log serves as a centralized document or system where all change requests for a project are documented, including details such as the nature of the change, the reason for the change, the impact on the project, and any associated approvals or actions taken. The change request log helps project teams maintain visibility and control over requested changes, ensuring that they are properly reviewed, evaluated, and managed.

It allows project stakeholders to track the status of change requests, monitor their impact on project scope, schedule, and budget, and make informed decisions regarding their approval or rejection. While other tools or documents such as project workbooks, post-it notes, access databases, or project scope logs may be used in project management, the dedicated change request log is specifically designed to capture and manage change requests throughout the project lifecycle.

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Suppose the production function is q = 29L0.3 K0.3. Determine the long-run capital-to-labor ratio (K/L) if the cost a unit of capital (r) is 4 times the cost of a unit of labor (w).

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The long-run capital-to-labor ratio (K/L) when the cost of a unit of capital (r) is 4 times the cost of a unit of labor (w) is 1/4.

To determine the long-run capital-to-labor ratio (K/L), we need to find the ratio of capital (K) to labor (L) that minimizes the cost of production. Given that the cost of a unit of capital (r) is 4 times the cost of a unit of labor (w), we can set up the cost minimization equation as follows:

r * K + w * L = C

Where C represents the cost of production. In this case, we can rewrite the equation as:

4w * K + w * L = C

To simplify the calculation, let's assume that the cost of production (C) is equal to 1. This means we can rewrite the equation as:

4w * K + w * L = 1

Now, we need to express the production function q = 29L^0.3 * K^0.3 in terms of K and L:

q = 29 * L^0.3 * K^0.3

To find the optimal capital-to-labor ratio, we need to maximize the production function with respect to K and L. This involves taking partial derivatives with respect to K and L and setting them equal to zero.

∂q/∂K = 0.3 * 29 * L^0.3 * K^(-0.7) = 0

∂q/∂L = 0.3 * 29 * L^(-0.7) * K^0.3 = 0

Simplifying these equations, we have:

0.3 * L^0.3 * K^(-0.7) = 0

0.3 * L^(-0.7) * K^0.3 = 0

Since the production function does not depend on L or K being zero, we can assume that L and K are positive. Therefore, we can divide both equations by 0.3 to obtain:

L^0.3 * K^(-0.7) = 0

L^(-0.7) * K^0.3 = 0

Simplifying further, we get:

L^0.3 / K^0.7 = 0

L^(-0.7) / K^0.3 = 0

Since any number raised to the power of 0 is equal to 1, we have:

L^0.3 / K^0.7 = 1

L^(-0.7) / K^0.3 = 1

Now, let's solve for the capital-to-labor ratio (K/L) using these equations:

L^0.3 / K^0.7 = 1

L^(-0.7) / K^0.3 = 1

Taking the reciprocal of both sides of the second equation, we have:

K^0.3 / L^(-0.7) = 1

Now, let's multiply the two equations together:

(L^0.3 / K^0.7) * (K^0.3 / L^(-0.7)) = 1 * 1

Simplifying, we get:

(L^0.3 * K^0.3) / (K^0.7 * L^(-0.7)) = 1

Since L^(-0.7) is the same as 1/L^0.7, we can rewrite the equation as:

(L^0.3 * K^0.3) / (K^0.7 * 1/L^0.7) = 1

Simplifying further, we have:

(L^0.3 * K^0.3) * (L^0.7 / K^0.7) = 1

Canceling out the common terms, we get:

L^(0.3 + 0.7) * K^(0.3 - 0.7) = 1

Simplifying, we have:

L * K^(-0.4) = 1

Multiplying both sides by K^0.4, we get:

L = K^0.4

Now, let's substitute the cost relationship given in the problem: r = 4w.

Since r = 4w, we can rewrite it as:

4w = r

Now, let's express the cost of capital (r) and labor (w) in terms of K and L:

r = (1/K)

w = (1/4) * (1/L)

Substituting these values into the equation L = K^0.4, we have:

(1/4) * (1/L) = (1/K)^0.4

Simplifying further, we get:

(1/4L) = K^(-0.4)

Multiplying both sides by 4L, we have:

1 = 4LK^(-0.4)

Rearranging the equation, we have:

4LK^(-0.4) = 1

Dividing both sides by 4K^(-0.4), we get:

L/K^0.4 = 1/4

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