kitchen aid produces and sells kitchenware. last year it produced 7000 can openers and sold each one for 6$. to produce the 7000 can openers the companies total costs are 45000. if kitchen aid average fix costs are 2.25 how much are its average variable costs? round your answer to decimal places

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Answer 1

The average variable costs of each kitchen aid for producing 7,000 kitchenware is 29,250.

Define the term average variable costs?An expense that fluctuates in relation to total production or sales is referred to as a variable cost. Variable costs rise in response to rising production or sales, and fall in response to falling output or sales. A production expense known as a variable cost can go up or down in response to shifts in a corporation's manufacturing activities.

For the given question,

Total cost of producing kitchen aid = $45,000.

kitchen aid average fix costs for each = $2.25.

Total number of kitchen ware produced = 7,000.

Total fixed cost = 7,000×2.25

Total fixed cost = 15,750.

Average variable costs = Total cost - Total fixed cost

Average variable costs = $45,000 -  15,750

Average variable costs = 29,250.

Thus, the average variable costs for the production of the kitchen aid products is 29,250.

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Related Questions

specter company combines cash and cash equivalents on the balance sheet. using the following information, determine the amount reported on the year-end balance sheet for cash and cash equivalents.

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The amount of cash and cash equivalents are shown on the year-end balance sheet is $31,100.

What does cash equivalent mean?

For short-term investing, cash equivalents are high-liquidity investment vehicles with good credit quality. Cash equivalents, sometimes known as "cash and equivalents," are one of the three main asset classes in financial investing, along with stocks and bonds.

These securities have very low risk and return characteristics. Cash equivalents include items like US Treasury notes, bank CDs, bankers' acceptances, corporate CPs, and other money market products. These financial products all typically have low risks, short maturities, and an extremely liquid market.

What Justifies the Use of Cash Equivalents?

The objectives of cash equivalents are to strike a balance between liquidity, risk, and investment. If a company needs to sell its cash equivalents right away, it can easily access cash thanks to cash equivalents.

Additionally, cash equivalents give businesses the chance to make a little bit of interest while they strategize how they will use their liquidity in the long run.

Calculation:

Cash deposit in checking account = $16,000

Bond investment: $46,000 with a 20-year maturity

One-month US Treasury bill equals $11,500

3-year loan to an employee = $850

Currency and coins = $3,600

Accounts receivable  $1,150

Cash and Cash Equivalents:

Cash deposit in checking account $16,000

US Treasury debt 11,500 due in 1 month

Currency and coins                             3,600

Total cash and cash equivalents =  $31,100

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Correct Question:

Specter Co. combines cash and cash equivalents on the balance sheet. Using the following information, determine the amount reported on the year-end balance sheet for cash and cash equivalents. $16,000 cash deposit in checking account. $46,000 bond investment is due in 20 years. $11,500 U.S. Treasury bill due in 1 month. $850, 3-year loan to an employee. $3,600 of currency and coins. $1,150 of accounts receivable.

when the percent change in price is than the percent change in quantity demanded, demand is . please choose the correct answer from the following choices, and then select the submit answer button. answer choices smaller; inelastic smaller; either elastic or inelastic larger; elastic smaller; elastic

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When the percent change in price is smaller than the percent change in quantity demanded, demand is inelastic smaller. Hence, option A 'smaller; inelastic smaller' is the correct choice.

When demand stays constant regardless of changes in price, it is called inelasticity. Demand inelasticity is evident when demand for a product or service is static when changes in its price or other factors occur.

Inelastic products or services are usually necessities without any acceptable substitutes. The most common products with inelastic demand are prescription drugs, utilities, and tobacco products. Businesses that offer such products keep greater flexibility with prices because demand stays constant even if prices increase or decrease.

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what is the present value of $12,150 to be received 2 years from today if the discount rate is 6 percent?

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$10,813.46 is the value at the moment.

The value of a sum of money today is known as its present value.

What is present value?The ability for investors to compare values across time makes present value crucial. PV can assist investors in evaluating the potential financial gains from present assets or liabilities. utilized in fields such as financial modeling and stock valuation,PV = FV/(1 + I n, where PV = present value, FV = future value, I = decimalized interest rate, and n = number of periods, is the formula for calculating present value.When substituting values in an equation, PV = FV/(1 + I n FV = $12150 I = 6 n = 2 and the present value is $10,813.46.Future value is the value of the future cash flow after a specific amount of time has passed in the future, whereas Present value is the current worth of the future cash flow. Inflation is considered when determining present value.

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what job function is least likely to be handled by union workers in unionized performing facilities?

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An organization of a company's workers into a labor union, which will serve as a middleman between the workers and corporate management, is the process of creating a unionized workplace.

What is a Unionized Workplace?

An organization of a company's workers into a labor union, which will serve as a middleman between the workers and corporate management, is the process of creating a unionized workplace. The majority of workers must vote in order to authorize a union in most circumstances. The company is said to be unionized if a union is formed.

The workplace is more secure when it is unionized. Employees who belong to a union often have better job security than nonunion employees, and they frequently get richer pay and more comprehensive benefit packages. As a result, union employees might be less inclined to leave the company in order to pursue other opportunities, particularly if they would have to work in a nonunion setting. Less turnover for employers and lower costs for recruiting and training new employees result from greater stability.

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Which of the following would be an example of a referendum?

a. A vote on who will serve on the Los Angeles city council.
b. A vote on whether recreational marijuana usage should be legalized in the state of California.
c. A vote on whether the governor of the state of Wisconsin should be recalled from office.
d. A vote on whether to overturn a law passed by the New York state legislature and signed by the governor of New York that imposes higher taxes on wealthy residents

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The example of a referendum is , A vote on whether to overturn a law passed by the New York state legislature and signed by the governor of New York that imposes higher taxes on wealthy residents

A referendum is a direct vote by the electorate on a proposal, law, or political problem (PL: referendums or referenda). This is in contrast to a representative voting on a matter Anything that has been put up for a vote by the General Assembly, a local government, or a voter petition in accordance with the law is referred to a referendum. Bond issues and constitutional amendments are both subject to referendums. Referendum refers to a vote in which citizens of a state or nation support or oppose a law that addresses a particular issue.

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the greenwood corporation had a net decrease in cash of $10,000 for the current year. net cash used in investing activities was $52,000 and net cash used in financing activities was $38,000. what amount of cash was provided (used) in operating activities?

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80000 amount of cash was provided (used) in operating activities .

What is operating activities ?

All of a company's continuing marketing efforts for its goods and services are referred to as operating activities. Non-operating activities are one-time occurrences that might have an impact on the company's regular, core business but also on revenues, costs, or cash flow.

Net changes in cash = cash from operating activity +  cash from interesting activity +  cash from financing activity

  10000  = x + 52000 + 38000

          x = 80000

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an insured is covered under a group long terrm disability policy. under this type of policy, the definition of disability based on any occupation typically applies

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An insured is covered under a group long-term disability policy. under this type of policy, the definition of disability based on any occupation typically applies after two years of disability.

Disability is the experience of any situation that makes it extra tough for someone to do sure sports or have equitable access inside a given society. Disabilities can be cognitive, developmental, intellectual, mental, physical, sensory, or a combination of a couple of factors. Disabilities may be present from birth or can be received throughout someone's lifetime. Traditionally, disabilities have only been recognized based on a narrow set of standards—however, disabilities aren't binary and can be gift particular traits relying at the man or woman.[1] A disability can be simply visible, or invisible in nature.

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Have you ever bought online during Black Friday?

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Yes, I frequently purchase online on Black Friday. For those who are not excellent at battling for products in a crowd, purchasing items online is a great alternative.

What is Black Friday?

In the United States, the day following Thanksgiving Day is known colloquially as Black Friday. It is a state holiday in more than 20 states and marks the start of the Christmas shopping season in the United States. Black Friday is among the most popular shopping days in the United States. There are two common explanations for why the day following Thanksgiving is known as Black Friday. According to one source, the wheels of automobiles in heavy traffic the day following Thanksgiving Day produced numerous black imprints on the road surface. This gave rise to the phrase "Black Friday".

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three years ago, you invested $2,600. today, it is worth $3,400. what rate of interest did you earn?

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Invested $2,600 and, it is worth $3,400.The interest rate is 6.7%.

What is the rate of interest ?

invested $2,600 and, it is worth $3,400.

Potential Value =  PV(1+R)^3

3,400 = 2600(1+R)^3

=3400/2600=(1+r)^3

=[tex]3\sqrt\frac{3400}{2600}[/tex]= [tex]3\sqrt({1+r)} ^3[/tex]

r = 0.067

r = 6.7%

Check:

3400 = 2600

3400 = 3400

The amount that the lender charges the borrower over and beyond the principal amount is referred to as the interest rate. A person who deposits money in a bank or other financial institution also earns additional income in terms of the recipient, known as interest, taking into account the time value of money.

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suppose that the expected value of the interest rate for year 3 remains at 8% but that the liquidity premium for that year is also 1%. what would be the yield to maturity on three-year zeros? what would this imply about the slope of the yield curve?

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Three-year zero yield to maturity is equal to 8% plus 1%, or 9%. Since investors would want a larger rate of return for bonds with longer tenors, the slope would be upward.

YTM takes into account effective yield. Efficacious Yield: An effective measure of an equity holder's return is the effective yield, which is a yearly rate of return at a periodic interest rate. Unlike the nominal yield method, the effective yield method takes compounding into account.

The expected annual rate of return on a bond, assuming the debt security is held until maturity, is represented by the Yield to Maturity (YTM). Yield to maturity (YTM) is the overall rate of return that a bond will have earned once all interest payments are made and the principal is repaid.

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research evidence suggests that which of the following bases of power is the most effective in terms of its impact upon follower commitment, motivation, performance, satisfaction, and group effectiveness?

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As per research, being reasonable has the greatest influence on followers' commitment, motivation, performance, satisfaction, and group effectiveness. Reward and legitimate power, or using one's position to influence others, lead to erratic outcomes.

What is research on power?

Generally, According to research, rationality is the most successful strategy for exerting influence in terms of its effects on the commitment and motivation of followers, as well as on performance, satisfaction, and the overall effectiveness of groups.

In conclusion, Inconsistent outcomes are produced when reward and genuine power (that is, depending on one's position to influence others) are used in decision-making.

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A curve that shows the quantity of a good or service supplied at various prices after all long-run adjustments to a price change have been completed is a long-run _______curve.

a. marginal revenue
b. production
c. industry supply
d. marginal cost

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A curve that shows the quantity of a good or service supplied at various prices after all long-run adjustments to a price change have been completed is a long-run industry supply curve.

Which curve is known as the marginal cost curve as well?

The change in total cost divided by the change in energy output is the definition of the marginal cost (MC) curve.The firm's supply curve and the MC curve are identical in markets with perfect competition.

How does the long-term supply curve work?

Information regarding an industry's size as well as the nature of costs in that industry can be obtained from the long-run supply (LS) curve. Depending on how long-term costs behave when new businesses enter an industry in response to increased demand, costs in industries can be either constant, increasing, or decreasing.

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which of the following best describes aggregate supply? a schedule showing the relationship between inputs and outputs a schedule indicating the level of real output that will be purchased at each possible price level a schedule showing the trade-off between inflation and unemployment a schedule indicating the level of real output that will be produced at each possible price level. the amount buyers plan to spend on output

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Aggregate Supply is the total extent of all items and services produced in an financial system at all feasible rate ranges at a given time.

The aggregate grant curve shows real output provided at every charge level. This capability it suggests the level of real output that will be produced at every viable rate level.

What is an instance of combination supply?

For example, a new technological improvement in automation may additionally enable a association to produce greater of a true or provider by way of lowering the cost of labor. Conversely, an enlarge in minimum wage should enlarge the value of labor and, as a result, whole manufacturing prices for some suppliers decreasing mixture supply.

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acme wants to locate a warehouse to serve their major customers that are shown in the table. what is the location that will minimize the transportation costs for their family of products?

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The location that will minimize the transportation costs for their family of products is Near (4,5).

Transportation costs are all the costs associated with the transportation of uncooked substances, completed products, and employees. it is the cash behind ensuring all moving elements get wherein they want to be so your clients get their products or services on time.

Transportation is an economic issue of manufacturing of products and services, implying that it's far fundamental of their era, even supposing it bills for a small proportion of input costs. because of this no matter the fee, an hobby can not take area without the transportation thing and the mobility it gives.

Majorly the factors Influencing the value of Transportation Are call for and deliver.

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One way of measuring the advantage of financial leverage to the owners of the company is​ ________.

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One way of measuring the advantage of financial leverage to the owners of the company is​ to examine the earnings per share​ (EPS) of a company before and after borrowing from debt lenders

What does EPS tell about a company?Earnings per share, or EPS, is a financial metric that informs investors about a company's profitability.To calculate EPS, take a company's net income and divide it by the number of outstanding stock shares.When making investing decisions, savvy investors analyze a company's earnings per share. A way to measure the advantage of financial leverage to owners is to examine EPS before borrowing additional funds. If a firm borrows at​ 6% and earns​ 8% on the borrowed​ funds, then adding debt would benefit shareholders.Earnings per share refers to the part of a company's income that is available to shareholders and is assigned to each outstanding share of common stock.EPS is calculated by dividing net income by preferred dividends by the average number of outstanding common shares.

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if the rate of job finding falls, the natural rate of unemployment will a) remain constant. b) increase. c) decrease. d) rise or decline, depending on the rate of job separation.

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The natural rate of unemployment will (B) rise if the rate of job creation declines.

What is unemployment?According to the OECD, unemployment refers to people over a certain age who are currently seeking employment but are not employed or self-employed. The unemployment rate, which is used to determine the level of unemployment, is calculated using the number of unemployed people as a percentage of the labor force.The natural rate of unemployment will rise if the rate of job creation declines.A nation can affect unemployment and the state of the economy, for instance, through its fiscal policy. Furthermore, a nation's central bank or other monetary authority can affect the cost and availability of money by enacting monetary policy.

As a result, the natural rate of unemployment will (B) rise if the rate of job creation declines.

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a firm has a debt-to-equity ratio of .5. its cost of equity is 22%, and its cost of debt is 16%. if the corporate tax rate is .40, what would its cost of equity be if the debt-to-equity ratio were 0?

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Its cost of equity would be 20.62% if the debt-to-equity ratio were 0.

What is Cost of equity?

The return needed by either a business or an individual to justify an investment in equity is known as the cost of equity. Either the CAPM or the dividend capitalization model is used to calculate the cost of equity. The return a company theoretically gives to its equity investors, or shareholders, to make up for the risk they assume by investing their money, is known in finance as the cost of equity. For a business to function and expand, it needs funding from other sources. The equation is CoE = (next year's dividends per share / current stock market value) + dividend growth rate.

Hence,  Its cost of equity would be 20.62% if the debt-to-equity ratio were 0.

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Why is it possible that you may get less money than the loan amount you have borrowed?.

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We might get less money than the loan amount that we have borrowed because a fee can be subtracted from a loan.

A loan is a debt that is taken by a borrower and he is entitled to pay the borrowed money in a specified amount of time.

If a loan is being taken from sources such as a bank, it often happens that a person gets a lesser amount of money than he had asked for in the loan.

This is because a specific fee is often deducted when a loan is passed. Each bank has its own rules for giving a loan and the deductible amount may vary from bank to bank.

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you find a zero coupon bond with a par value of $10,000 and 13 years to maturity. if the yield to maturity on this bond is 4.5 percent, what is the dollar price of the bond? assume semiannual compounding periods. (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)

Answers

You find a zero coupon bond with a par value of $10,000 and 13 years to maturity. if the yield to maturity on this bond is 4.5%, then $5,607.29965 is the dollar price of the bond.

It is given that:

Number of years to maturity = 13 years

Since the compounding is semi-annual, the time period will be:

Time period=Number of years to maturity×2

=13years×2

=26

Par value = $10,000

Yield to maturity = 4.5%

Semi - annual yield=Yield to maturity/2

=4.5%/2=2.25%

Using the semi-annual yield as the discount rate for a period of time period of 26, the price of the bond is computed.

Price of zero-coupon bond =Par value/ (1+Semi-annual yield)^Number of periods= $10,000/ (1+2.25%)^26

= $10,000/1.78338962

= $5,607.29965

Thus, the price of the zero-coupon bond is $5,607.29965.

What is zero coupon bond?

A zero coupon bond is a bond that pays no interest during the life of the bond. Instead, an investor buys a zero-coupon bond at a steep discount to its face value.

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a commitment fee is calculated based on the undisbursed loan amount and is usually paid .

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Usually, the commitment fee is paid following the conclusion of the credit agreement. However, if the amount is levied on the undistributed loan, it may be collected on a periodic basis.

A cost imposed by a lender onto a borrower as compensation for the lender's promise to lend is known in the financial sector as a commitment fee. Usually, commitment costs are connected to idle lines of credit or outstanding loans.

Because it has reserved the money for the client and is therefore unable to charge interest, the lender is paid for giving access to a possible loan through a commitment fee. Typically, a commitment fee is characterized as a fixed amount or a fixed proportion of the outstanding loan amount. Lender receives payment in the form of a commitment fee for guaranteeing a credit at a date in the future or for maintaining an open credit line.

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ictoria's closet, a manufacturer of bohemian-style clothing and accessories, sells its products through its online website, a catalogue, and specialty boutiques that target women. which kind of channel arrangement does victoria's closet employ to distribute its products?

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Distribution system with many channels. When referring to a sales and marketing distribution strategy, "multichannel" means using more than one channel or store to contact customers and boost sales.

A multichannel distribution system is what?When referring to a sales and marketing distribution strategy, "multichannel" means using more than one channel or store to contact customers and boost sales.To serve one or more consumer segments, a single organization may set up two or more sales and marketing channels. This is known as a multichannel distribution system.For businesses operating in broad, intricate marketplaces, multichannel distribution systems have many benefits. The corporation obtains possibilities to personalize its products and services to the unique needs of various consumer segments with each additional channel, increasing its sales and market reach.  

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true or false: the imf no longer has the financial leverage to act aggressively in times of global financial crisis.

Answers

This is false that the IMF no longer has the financial leverage to act aggressively in times of global financial crisis.

The IMF has three detracting responsibilities: furthering worldwide financial cooperation, bright the growth of work and economic progress, and upsetting policies that would harm affluence. The IMF helps appendage nations facing a financial catastrophe by offering loans, mechanics help, and surveillance of financial policies.

A financial crisis is one of a broad variety of positions at which point some monetary property unexpectedly loses an abundant constituent of its nominal value. In the 19th and early 20th a period of time, many economic disasters were associated with investment panics, and many recessions coexisted with these panics.

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Breanna completed her lease term, and decided to turn the car in instead of purchasing it. Upon inspection, the dealership noted that the windshield was cracked. What fee will breanna be required to pay as a result?.

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Lease penalty  will be Breanna be required to pay as a result.

Lease penalty :When you return your car at the conclusion of your lease, you may be assessed a penalty known as a lease penalty. This may be due to excessive mileage (going above the established annual mileage cap) or damage to the car's exterior or interior. This means that Breanna will be charged a cost as a result of the windshield damage, which is a lease penalty. There are several situations when you can avoid paying your lease penalty, however they are uncommon. These contain:

a medical need

Active duty or military deployment

motives pertaining to personal protection

Failure of the owner to fulfil their obligations.

The simplest way to avoid paying a lease penalty is to simply finish the entire.

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Review each of the investment opportunities provided by Earll Investments and Pima Financial Trading. In a three paragraph essay (a minimum of 4-5 sentences), write an analysis of these opportunities that answers the following questions.

Based on the evidence available to you, which investment opportunity is more likely to be fraudulent? What are the true risks of investment with this company, and does the company accurately describe these risks? What are the potential returns on an investment, and does the company accurately describe these returns?

Answers

Every investment has associated risks and hazards. There is always some element of risk involved with undertaking any venture, whether it be with regard to real estate, stocks, goods, joint assets, or anything else.

CDs, high-yield savings accounts, money market accounts, government bonds, and Treasury bills are typical examples of short-term investments. Although returns on short-term investments are frequently lower, they are relatively liquid and give investors the flexibility to quickly withdraw money if necessary.

Additionally, they do indicate the risk element while marking the agreement of speculation, which is frequently ignored by the financial specialist at the time of marking the agreement.

Company risk, market risk, liquidity risk, volatility risk, and opportunity cost are the main risks associated with investing.

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in order to offset interest rate increases as a result of government borrowing, the federal reserve would . a.) sell bonds to the public b.) increase the fed funds rate c.) lower the reserve requirement d.) decrease the money supply

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In order to offset interest rate increases as a result of government borrowing, the federal reserve would option B: increase the fed funds rate.

When individuals discuss the Fed raising interest rates, they typically refer to the federal funds rate, also referred to as the federal funds target rate. The Fed wants to increase the cost of borrowing generally when it raises the federal funds target rate. Since higher interest rates make loans more expensive for both businesses and consumers, everyone ends up paying more in interest. This implies that option B is the correct answer.

Those who cannot or do not want to pay the higher installments delay projects that require financing. In order to receive higher interest payments, it simultaneously encourages people to save money. The amount of money in circulation is decreased as a result, which tends to reduce inflation and moderate economic activity, or "cool off" the economy.

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What are the seven traditional steps of selling? Discuss them briefly.

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Tradtional Selling is the interaction between sellers and buyers. There different steps of traditional selling and they are:

Prospecting.Preparation.Approach.Presentation.Handling objections.Closing.Follow-up.

Prospecting is the process of creating list of buyers.

Preparation is the research carried on the wants, needs and other background information of the targeted customers.

Approach is when the sellers makes the first contact or impression with the buyers, it can be done through call or done physically.

Presentation is when the seller shows the benefits of product and how they can satisfy the customers' needs or the problem that they want to solve.

Handling Objections it is one of the process by which seller pay attention to prospect's concerns and asking additional questions to better identify and understand their objections. The seller might tries to explain better on how the product can be helpful.

Closing: this is where the seller actually have to ask if the potential customer is convinced and willing to make the purchase. If your customer has been convinced your product or service will meet their needs, you close the sale by agreeing on the terms of the sale and finishing up the transaction.

Follow up this is the final step of selling after the sale has been made and all left to be done is retaining the customers and trying to get more customers

The above are the steps in traditional selling.

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__________ theory assumes that people are motivated to work toward a goal when they want to achieve the outcome and also think they have the ability and means to achieve it.

Answers

Answer:

Extrinsic motivation

Explanation :

What is extrinsic motivation?

Extrinsic motivation is when they are drived by something like a award. Example: Mya has a test due today, If she finishes it she could go out to see her friends.

which event triggers a deferrred annuity to start making a benefit payments to the annuitant

Answers

When the contract is annuitized it triggers a deferred annuity to start making a benefit payments to the annuitant.

With a deferred annuity, an insurance provider agrees to pay the owner a regular income or a lump payment at a later time. Deferred annuities are frequently used by investors to supplement their Social Security benefits and other retirement income.

The most typical illustration of a deferred annuity is a retirement account for an investor who isn't quite ready to retire. The withdrawals (payments) are postponed till retirement. The fund makes interest while this is happening. Even when the investor takes money out of the fund, it still earns interest.

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the three main types of facility layouts are: group of answer choices product, process, and fixed-position process, product, and service intermittent, process, and customized fixed-position, variable, and product product, service, and process

Answers

Product, process, and fixed-position process are the three main types of facility layouts.

What do you mean by facilities layout?

Simply said, facility layout refers to how a facility is set up to maximize procedures that are both effective and efficient in achieving the ultimate organizational purpose. Process, product, and fixed position layouts are the three basic categories.

Workflow is organized around the production process in the process layout. All employees completing comparable duties are gathered in one group. In order to meet the demands of employees and maximize the efficacy of the manufacturing process, facility layout and design are crucial elements of a company's overall operations.

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The amount of money the insurance company agrees to pay for an incident is called.

Answers

The amount of money the insurance company agrees to pay for an incident is called deductible.

A deductible is the quantity you pay for out-of-pocket expenses in your included fitness care earlier than your plan starts to pay. A deductible is distinctive than a premium.

A top class is the quantity you pay, usually each month, to have medical health insurance. Now, deductibles may be low or excessive, depending on the plan you select.

In an insurance coverage, the deductible is the amount paid out of pocket by means of the coverage holder before an insurance company pays any costs. In trendy utilization, the term deductible may be used to describe one of numerous forms of clauses which might be used by insurance corporations as a threshold for coverage bills.

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Wi-Fi Protected Access (WPA) fixes critical vulnerabilities in the earlier wired equivalent privacy (WEP) standard. Understanding that WPA uses a combination of an RC4 stream cipher and Temporal Key Integrity Protocol (TKIP), this makes a wireless access point NOT vulnerable to which of the following attacks when related to encrypted wireless packets? how does kernel interacts with hardware components what is the answer to b Which would be an example of secondary deviance?Oa father-to-be who runs a stop sign, while taking his pregnant wife to thehospitala usually honest businessman who does not report one large transaction on histaxesOa teenager who steals his father's car one afternoon for a joyrideOa drug dealer who learns to sell illegal weapons an art teacher is setting up her elementary school classroom which includes seating for various age levels, art tools, drying racks, and bulletin board space. which of the following examples would create a hazard in the elementary school art room? How did Wegener use the shapes of the continents as evidence that the continents had moved? Why are seismologists interested in the possibility of the two faults being connected together?. Explain how the model shows selective permeability of the membrane to specific ions. What does a postlaunch review help determine? An immediate effect of the American Revolution on France was?A. the rebuilding of the extensive colonial French Empire.B. deficit spending by the French government.C. the establishment of French naval supremacy on the seas.D. a growing fear of American economic superiority. management accountants rarely interact with employees from other business functions such as marketing and customer service This is part B to my last question Create an energy transformation for playing the piano. EX: Thermal to Electrical which elements are common to all organisms? Check all that apply.sodiumoxygensulfurhydrogenironphosphorus Kenya went to the convenience store to buy some snacks. She spent a total of $12. 00 on soda and candy. The soda cost $3. 00 and each candy bar cost $1. 50. If kenya bought one soda, how many candy bars did kenya buy?. Does y vary directly with x? If it does, what is an equation for the direct variation? < GRADES / 2022 RATIOS AND PROPORTIONS UNIT TEST Q2121What percent represents the shaded part of the hundredths grid shown? A motorboat travels 74 kilometers in 2 hours going upstream. It travels 110 kilometers going downstream in the same amount of time. What is the rate of the boat in still water and what is the rate of the current? Find the equation of the parabola with the given x-intercepts and point on the graph. Use y = a(x-p)(x-q).1. x-int: (-2,0) , (5,0) P (3,6) According to the document, what happened after Indians signed peace treaties?