3 If interest rates are currently 3. 5%, and Shaili sold the bond today, would she expect to get more than, less than, or equal to $1000 for it?​

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Answer 1

If interest rates are currently 3.5% and Shaili sold the bond today, she would expect to get less than $1000 for it.

This is because the bond pays a fixed interest rate of 5%, which is higher than the current interest rate of 3.5%. As a result, the bond would be more valuable to investors looking for higher returns on their investments, and its market price would be bid up above its face value of $1000.

Conversely, if interest rates were to rise above 5%, the bond would become less attractive to investors, as they could earn higher returns by investing in newly issued bonds paying higher interest rates. This would put downward pressure on the market price of the bond, causing it to sell for less than its face value.

Therefore, in the current scenario where interest rates are lower than the bond's coupon rate, Shaili would expect to sell the bond for more than its face value if the bond was issued at a discount, and for less than its face value if the bond was issued at a premium.

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Related Questions

seller pruitt signed an exclusive right-to-sell listing with broker cook. the listing includes a 7% commission and a clause which states that this agreement is in effect until the house is sold. is this legal?

Answers

Seller pruitt signed an exclusive right-to-sell listing with broker cook. But the agreement is not legal because the term is potentially indefinite. The right answer is 2.

When you say something is indefinite, you're saying that no one knows when it will stop. Contracts with no end date are referred to as indefinite contracts. A sort of real estate listing agreement between a house seller and a broker or real estate agent is an exclusive-right-to-sell agreement.

By representing the owner and locating a qualified buyer for the property, the broker or real estate agent has the sole right to receive a commission for the sale of the property under this type of listing agreement. It is the contract that is used the most frequently when selling and listing a house.

The correct answer is option 2.

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The question seems incomplete. The complete question is:

Seller Pruitt signed an exclusive right-to-sell listing with Broker Cook. The listing includes a 7% commission and a clause which states that this agreement is in effect until the house is sold. Is this legal?

1. no, because the commission was over 6%

2. no, because the term is potentially indefinite

3. yes, if it is a multiple listing

4. yes, assuming all other elements are satisfied

A full-page, full-color ad in a major city newspaper that would run as part of the Sunday comic section costs about $41,000. The comics have a loyal readership of about 2 million readers. The same ad placed in another section of the paper costs $12,000 and has about 1 million readers. What is the approximate cost per reader of each ad? Remember you are calculation COST PER READER. *

Answers

The approximate cost per reader of each ad is $0.012 per reader.

To calculate the cost per reader for the full-page, full-color ad in the Sunday comic section, you should follow these steps:

1. Note the cost of the ad: $41,000
2. Note the readership: 2 million readers
3. Divide the cost by the readership: $41,000 / 2,000,000 readers

Now, let's calculate the cost per reader for the ad placed in another section of the paper:

1. Note the cost of the ad: $12,000
2. Note the readership: 1 million readers
3. Divide the cost by the readership: $12,000 / 1,000,000 readers

The approximate cost per reader of the full-page, full-color ad in the Sunday comic section is $41,000 / 2,000,000 readers = $0.0205 per reader. The approximate cost per reader of the same ad placed in another section of the paper is $12,000 / 1,000,000 readers = $0.012 per reader.

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In each of the following independent cases, indicate the amount (1) deductible for AGI, (2) deductible from AGI, and (3) deductible neither for nor from AGI before considering income limitations or the standard deduction.



a. Fran spent $90 for uniforms for use on her job. Her employer reimbursed her for $75 of this amount under an accountable plan (and did not report the reimbursement as wages).


b. Timmy paid $470 for health insurance premiums this year (not through an exchange and not with pre-tax dollars). Timmy is employed full-time and his employer paid the remaining premiums as a qualified fringe benefit

Answers

In Fran case deductible for AGI: $15; Deductible from AGI: $0; Deductible neither for nor from AGI: $75. In Timmy case deductible for AGI: $470; Deductible from AGI: $0; Deductible neither for nor from AGI: $0.

The amount deductible for AGI is $15 ($90 - $75). The reimbursement is not reported as income, and the remaining amount is deductible for AGI as unreimbursed employee expenses.

The amount deductible neither for nor from AGI is $470. Since Timmy's employer paid the remaining premiums as a qualified fringe benefit, the premiums are not included in his income and are not deductible from AGI. However, they also cannot be deducted for AGI.

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Assume that a hypothetical economy with an MPC of 0. 8 is experiencing a severe recession. Instructions: In part a, round your answers to 1 decimal place. Enter your answers as a positive number. In part b, enter your answers as a whole number. A. By how much would government spending have to rise to shift the aggregate demand curve rightward by $50 billion

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The government should decrease taxes by $12.5B to achieve $50B increase in the level of output.  

a) Use government spending and tax multipliers to compute how much the government should increase its spending or decrease taxes.

Government spending multipliers is s proportionate increase in the level of output(GDP) as a result of one dollar change in government spending.

kg = Δ/ΔG

Tax multiplier, on the other hand, is the proportionate change in level of output as a result of one dollar change in taxes.

[tex]K_t=[/tex] ΔY/ΔT

Government spending multiplier:

Calculate government spending multiplier(kg) using MPC:

[tex]K_g = \frac{1}{1-MPC}[/tex]

     [tex]=\frac{1}{1-0.8}[/tex]

∴ΔG = 50B/5

ΔG = 10B

The government should increase its spending by $10B in order to achieve $50B increase in the level of output.

Tax Multiplier:

Calculate tax multiplier [tex](k_t)[/tex] using MPC:

[tex]K_t=\frac{-MPC}{1-MPC}\\\\ K_t = \frac{-0.8}{1-0.8}\\ \\[/tex]

-4 = 50B/ΔT

ΔT = 50/-4

ΔT = -12.5B

The government should decrease taxes by $12.5B to achieve $50B increase in the level of output.  

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Identify the gap/s in existing literature/research (i.e., what is not currently known?) on celebrity endorsement in Australia.

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The gaps in existing literature on celebrity endorsement in Australia can be identified by reviewing and analyzing.

You should follow these steps:


1. Review the existing literature: Begin by searching for and collecting research articles, books, and other sources that discuss celebrity endorsement in Australia. This can include academic journals, newspapers, and online sources.

2. Analyze the content: Read through each source, taking notes on the key findings, methodologies, and themes discussed. Focus on any limitations or weaknesses in the research, as these can indicate potential gaps.

3. Identify common themes and trends: Look for recurring themes and trends within the existing literature. This can help you understand the current state of knowledge on celebrity endorsement in Australia.

4. Determine gaps: Based on your analysis, identify what is not currently known about celebrity endorsement in Australia. Gaps may include a lack of research on specific industries, demographics, or regions, or limitations in the research methodologies used.


The gaps in existing literature on celebrity endorsement in Australia can be identified by reviewing and analyzing the available research, focusing on limitations and weaknesses, and determining areas that require further investigation, such as specific industries, demographics, or regions.

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one reason for unemployment is that: a. it takes time to match workers and jobs. b. all jobs are identical. c. the labor market is always in equilibrium. d. a laid-off worker can immediately find a new job at the market wage.

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One reason for unemployment is that it takes time to match workers and jobs. This means that there may be job openings available, but it takes time for workers to find and apply for these positions.

Similarly, employers may take time to review applications and make hiring decisions. This can lead to a temporary mismatch between the supply and demand for labor, resulting in unemployment.It's important to note that not all jobs are identical, which means that certain skills or qualifications may be required for certain positions. If a worker does not possess these skills, they may struggle to find employment, which can contribute to unemployment rates.
Furthermore, the labor market is not always in equilibrium, meaning that there may be periods of time where there is a surplus of labor or a shortage of labor. During times of surplus, there may be more workers available than there are job openings, leading to higher rates of unemployment.
Finally, it is not always the case that a laid-off worker can immediately find a new job at the market wage. Depending on the industry and the worker's skills and qualifications, it may take time for them to find a new job at a comparable wage. In some cases, they may need to undergo additional training or education to become qualified for a different type of job.
Overall, there are many factors that can contribute to unemployment, including mismatches between workers and available jobs, labor market imbalances, and the need for additional training or education. It's important to address these factors in order to support job creation and reduce unemployment rates.

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1.What is the difference between innovation and invention? What do you consider the most important and why?
2.What are the differences between product and procress innovation? Provide some example to illustrate the differences.

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The difference between innovation and invention is that innovation refers to the introduction of something new, whereas invention refers to the creation of something that did not exist before.

Innovation involves taking an existing product, process, or idea and making it better, whereas invention involves creating something completely new. Both innovation and invention are important because they drive progress and improve the quality of life for people around the world.

However, innovation is often considered more important because it is more accessible to businesses and individuals. Innovation is often driven by customer needs and desires, and it can be achieved through incremental improvements and modifications to existing products or processes.

The differences between product and process innovation are that product innovation refers to the creation of new products or services, while process innovation refers to the development of new methods or procedures to produce products or services.

Product innovation involves developing new products or services that meet the needs of customers in a better way than existing products or services.

Process innovation involves developing new methods or procedures to produce products or services in a more efficient or effective way.

Examples of product innovation include the development of new technologies, such as smartphones or electric cars.

Examples of process innovation include the implementation of lean manufacturing techniques or the adoption of automation technologies to streamline production processes.

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a manager hires labor and rents capital equipment in a very competitive market. currently the wage rate is $10 per hour and capital is rented at $12 per hour. if the marginal product of labor is 40 units of output per hour and the marginal product of capital is 70 units of output per hour, should the firm increase, decrease, or leave unchanged the amount of capital used in its production process?

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Based on the information provided, the firm should increase the amount of capital used in its production process.

The marginal product of labor (MPL) is 40 units of output per hour, and the wage rate (w) is $10 per hour. The marginal product of capital (MP K) is 70 units of output per hour, and the rental rate for capital (r) is $12 per hour.

To determine whether the firm should increase, decrease, or leave unchanged the amount of capital used, we can use the concept of marginal revenue product (MRP), which is the additional revenue generated by employing an additional unit of a resource (in this case, labor or capital). The firm should continue to employ a resource as long as its MRP is greater than or equal to its cost (wage rate for labor or rental rate for capital).

Mathematically, the condition for resource employment is:

MRP L ≥ w for labor, and

MRP K ≥ r for capital.

Given that MP L = 40, w = $10, MP K = 70, and r = $12, we can calculate the MRP for labor and capital:

MRP L = MP L × Price of output = 40 × Price of output

MRP K = MP K × Price of output = 70 × Price of output

Since the price of output is not provided in the given information, we cannot determine the exact values of MRP L and MRP K. However, if MRP L is greater than $10 (the wage rate for labor) and MRP K is greater than $12 (the rental rate for capital), then the firm should continue to employ both labor and capital in its production process. If MRP K is less than $12, then the firm should decrease the amount of capital used, and if MRP K is equal to $12, then the firm should leave the amount of capital used unchanged.

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a computerized inventory system checks inventory levels at the end of the week and suggests varying order sizes for the coming week. what kind of system is this?

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The computerized inventory system described is an example of a replenishment system or an inventory control system.

This type of system is used by businesses to monitor and manage their inventory levels automatically.

A replenishment system works by continuously monitoring inventory levels and automatically generating purchase orders or production orders when the stock level falls below a certain threshold.

The system calculates the order quantity based on historical demand and lead time. This ensures that the inventory level stays within a certain range, preventing stockouts or excess inventory.

The system can also generate reports that provide valuable information such as stock levels, reorder points, and lead times, which help businesses make informed decisions regarding inventory management. Additionally, the system can be integrated with other software applications like sales and accounting to create a seamless workflow.

In summary, a replenishment system helps businesses to streamline their inventory management, reduce costs, and improve customer satisfaction by ensuring that products are available when customers need them.

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Waterways Corporation is preparing its budget for the coming year, 2020. The first step is to plan for the first quarter of that coming year. The company has gathered information from its managers in preparation of the budgeting process.


Sales


Unit sales for November 2019 112,000


Unit sales for December 2019 102,000


Expected unit sales for January 2020 114,000


Expected unit sales for February 2020 114,000


Expected unit sales for March 2020 116,000


Expected unit sales for April 2020 126,000


Expected unit sales for May 2020 136,000


Unit selling price $12


Waterways likes to keep 10% of the next month’s unit sales in ending inventory. All sales are on account. 85% of the Accounts Receivable are collected in the month of sale, and 15% of the Accounts Receivable are collected in the month after sale. Accounts receivable on December 31, 2019, totaled $183,600.


Direct Materials


Direct materials cost 80 cents per pound. Two pounds of direct materials are required to produce each unit.


Waterways likes to keep 5% of the materials needed for the next month in its ending inventory. Raw Materials on December 31, 2019, totaled 11,400 pounds. Payment for materials is made within 15 days. 50% is paid in the month of purchase, and 50% is paid in the month after purchase. Accounts Payable on December 31, 2019, totaled $103,740.


Direct Labor


Labor requires 12 minutes per unit for completion and is paid at a rate of $6 per hour.


Manufacturing Overhead


Indirect materials 30¢ per labor hour


Indirect labor 50¢ per labor hour


Utilities 40¢ per labor hour


Maintenance 30¢ per labor hour


Salaries $41,000 per month


Depreciation $18,500 per month


Property taxes $2,900 per month


Insurance $1,200 per month


Maintenance $1,400 per month


Selling and Administrative


Variable selling and administrative cost per unit is $1. 60.


Advertising $16,000 a month


Insurance $1,600 a month


Salaries $73,000 a month


Depreciation $2,400 a month


Other fixed costs $3,100 a month


Other Information


The Cash balance on December 31, 2019, totaled $103,000, but management has decided it would like to maintain a cash balance of at least $800,000 beginning on January 31, 2020. Dividends are paid each month at the rate of $2. 30 per share for 4,800 shares outstanding. The company has an open line of credit with Romney’s Bank. The terms of the agreement requires borrowing to be in $1,000 increments at 6% interest. Waterways borrows on the first day of the month and repays on the last day of the month. A $520,000 equipment purchase is planned for February.


For the first quarter of 2020, prepare a cash budget. (Round answers to 0 decimal places, e. G. 2,520. )

Answers

Payment for direct materials purchases in January 2020 is $102,024.

To prepare a cash budget for Waterways Corporation for the first quarter of 2020, we need to estimate the company's cash receipts and cash payments for January, February, and March 2020.

Cash receipts:

a. Sales in January 2020: (114,000 units x $12/unit) = $1,368,000

b. Sales in February 2020: (114,000 units x $12/unit) = $1,368,000

c. Sales in March 2020: (116,000 units x $12/unit) = $1,392,000

d. Collections from December 2019 Accounts Receivable: ($183,600 x 85%) = $156,060

e. Collections from January 2020 Accounts Receivable: ($1,368,000 x 85%) = $1,162,800

f. Collections from February 2020 Accounts Receivable: ($1,392,000 x 15%) = $208,800

Cash payments:

a. Direct materials purchases in January 2020: [(114,000 units x 2 lbs/unit) x $0.80/lb x 105%] = $204,048

b. Direct materials purchases in February 2020: [(114,000 units x 2 lbs/unit) x $0.80/lb x 105%] = $204,048

c. Direct materials purchases in March 2020: [(116,000 units x 2 lbs/unit) x $0.80/lb x 105%] = $208,176

d. Direct labor cost in January 2020: (114,000 units x 12 minutes/unit x $6/hour / 60 minutes/hour) = $68,400

e. Direct labor cost in February 2020: (114,000 units x 12 minutes/unit x $6/hour / 60 minutes/hour) = $68,400

f. Direct labor cost in March 2020: (116,000 units x 12 minutes/unit x $6/hour / 60 minutes/hour) = $69,600

g. Manufacturing overhead in January 2020: (114,000 units x 12 minutes/unit x $0.30/labor hour) = $41,040

h. Manufacturing overhead in February 2020: (114,000 units x 12 minutes/unit x $0.30/labor hour) = $41,040

i. Manufacturing overhead in March 2020: (116,000 units x 12 minutes/unit x $0.30/labor hour) = $41,760

j. Selling and administrative expenses in January 2020: (114,000 units x $1.60/unit) + $94,100 = $282,740

k. Selling and administrative expenses in February 2020: (114,000 units x $1.60/unit) + $94,100 + $520,000 = $896,740

l. Selling and administrative expenses in March 2020: (116,000 units x $1.60/unit) + $94,100 + $520,000 = $908,740

m. Equipment purchase in February 2020: $520,000

n. Dividends paid each month: $2.30/share x 4,800 shares = $11,040

o. Payment for direct materials purchases in January 2020: ($204,048 x 50%) = $102,024

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tanner corporation produced 6,100 units, consisting of three separate products, in a joint process for the year. the market for these products was so unstable that it was not practical to estimate the selling price of the products. a cost of $501,000 was incurred in the joint process. product x's production was 80% of product y's while product z's production was 125% of product y's. what is the amount of the joint cost allocable to product x assuming tanner uses the physical quantities method of allocation?

Answers

The amount of the joint cost allocable to product X using the physical quantities method is $132,131.15.

To allocate the joint cost to each product using the physical quantities method, we need to follow these steps:

Calculate the total physical units produced in the joint process.

Allocate the joint cost to each product based on its proportion of the total physical units produced.

These steps to the information provided in the problem:

Product X's production is 80% of product Y's, which means if we let the production of product Y be y, then the production of product X is 0.8y. Product Z's production is 125% of product Y's, which means the production of product Z is 1.25y.

So, the total production of the three products can be represented as follows:

X = 0.8y

Y = y

Z = 1.25y

The total physical units produced in the joint process is the sum of the individual product units:

Total physical units = X + Y + Z = 0.8y + y + 1.25y = 3.05y

To allocate the joint cost to each product, we need to find the proportion of each product's physical units to the total physical units:

Proportion of joint cost for X = (Physical units of X / Total physical units) x Total joint cost

Proportion of joint cost for Y = (Physical units of Y / Total physical units) x Total joint cost

Proportion of joint cost for Z = (Physical units of Z / Total physical units) x Total joint cost

Substituting the values we have:

Proportion of joint cost for X = (0.8y / 3.05y) x $501,000 = $132,131.15

Therefore, the amount of the joint cost allocable to product X using the physical quantities method would be $132,131.15.

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information systems enhance core competencies by: creating educational opportunities for management. encouraging the sharing of knowledge across business units. providing better reporting facilities. fostering synergies among departments. allowing operational employees to interact with management.

Answers

Information systems enhance core competencies by encouraging the sharing of knowledge across business units. Option 2 is correct.

One of the main advantages of information systems is their ability to facilitate the sharing of knowledge and information across different parts of an organization. This sharing of knowledge can help to break down silos and foster collaboration between business units, which can lead to the development of new core competencies.

By making it easier for employees to access and share information, information systems can help to create a culture of continuous learning and improvement within an organization. Additionally, information systems can help to identify areas where different business units can work together to achieve common goals, leading to the development of synergies and the creation of new competencies that are difficult for competitors to replicate.

Overall, information systems can play a critical role in enhancing an organization's core competencies and giving it a competitive edge in the marketplace. Hence Option 2 is correct.

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Exam Practice - Analysis of Path-goal theory case study
You are assigned by the Managing Director of Faxxcom, a mobile phone production company to look into the problems. You have talked to three managers. The first one is Bob, A department’s manager, and has a set of leadership challenges. Bob is a supportive leader as seen through his interactions with workers. He remembers his followers’ birthdays, takes them out for lunch, and praises their performance. However, this approach does not suit their task characteristics as outlined in the path-goal model. Often times, his workers are unsure what and how to do their work. They seem to have ambiguous targets to achieve and have to work under a lot of pressure. Their work environment transforms on a regular basis, so they require a supervisor who can explain the targets. Additionally, these workers feel insecure since they do not know how to cope with the changes which is shown in the way they complain to each other about their work. This scenario requires a directive leader who will provide structure and guide them in their daily tasks. Bob ought to get more involved in his subordinates’ tasks so as deal with this challenge.
The second manager is Arthur who is Department B’s manager, and he has different leadership challenges. His employees are dull and uninterested to work. They also know their tasks inside out. The path goal theory states that directive leadership is suitable to dogmatic subordinates who have unclear, complex and ambiguous tasks. However, B department’s workers are already confident about their ability to complete tasks. Additionally, they seem to have an internal locus of control. Therefore, the last thing they need is a directive leader, yet Arthur has selected the directive leadership style. His behaviour is incompatible with his employees and well as their work environment. Thus, Arthur needs to minimize his level of involvement in the workers’ work. He should behave more like Bob by dealing with his subordinates’ human needs. Arthur ought to work on his interpersonal relationship by relating to his subordinates. These workers need a human touch because they prefer affiliation and interpersonal relationship, which is the perfect scenario for supportive leadership.
Lastly, Carol, is a part-time assistant manager who comes to support the factory of Faxxcom during the peak production seasons for departments A & B, seems to have mastered her situation and her employees quite well. She is a participative leader in certain circumstances, a supportive leader at other times, and an achievement-oriented supervisor in certain circumstances. She knows when to solicit for ideas or when to support workers. Carol represents the ultimate path-goal leader; she works on employees’ personal needs while focusing on the ultimate goal in the enterprise. She also eliminates obstacles and clarifies path in the way that the matter has been described in the theory.
Questions
What are the leadership problems for departments A & B under Bob’s and Arthur? (explain it in detail)

Answers

The leadership problems for Department A under Bob's management are mainly due to his overly supportive leadership style. While he is good at building personal relationships with his employees, he fails to provide them with clear targets and guidance on how to perform their tasks.

What are the leadership problems for departments A & B

This leads to ambiguity and insecurity among the workers, who struggle to cope with the ever-changing work environment.

The employees in Department A require a more directive leader who can provide structure and guidance in their daily tasks to address these issues.

On the other hand, Department B under Arthur's management faces a different set of challenges. Arthur employs a directive leadership style, which is not suitable for his employees who already have a good understanding of their tasks and possess an internal locus of control.

This mismatch between Arthur's leadership style and his employees' needs results in the workers feeling uninterested and demotivated.

Department B would benefit from a more supportive leader like Bob, who can focus on the interpersonal relationships and human needs of the employees, creating a better work environment.

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which of the following acquisitions would be considered the least related? group of answer choices a candy manufacturer purchases a chemical laboratory specializing in food flavorings. an upscale sushi restaurant chain acquires a travel agency. a chain of garden centers acquires a landscape architecture firm. a hospital acquires a long-term care nursing home.

Answers

"An upscale sushi restaurant chain acquires a travel agency" that acquisitions would be considered the least related. So the option B is correct.

This acquisition would be considered the least related because the two businesses have very different operations and customer bases. Sushi restaurants focus on providing high-end food to customers, while travel agencies specialize in helping people book flights and other travel arrangements.

The two businesses are also in different industries, so the acquisition would require a significant amount of restructure and reorganization. Furthermore, the travel industry is currently in a state of flux due to the COVID-19 pandemic, which may make the acquisition more difficult.

In addition, the sushi restaurant chain would need to develop new marketing strategies and sales channels to reach the travel agency's customers, which could be a significant challenge. So the option B is correct.

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The complete question is:

Which of the following acquisitions would be considered the least related?

Group of answer choices

A. a candy manufacturer purchases a chemical laboratory specializing in food flavorings.

B. an upscale sushi restaurant chain acquires a travel agency.

C. a chain of garden centers acquires a landscape architecture firm.

D. a hospital acquires a long-term care nursing home.

Beginning inventory, purchases, and sales data for portable dvd players are as follows:

june 1 inventory 240 units at $78
10 sale 180 units
15 purchase 280 units at $80
20 sale 220 units
24 sale 90 units
30 purchase 320 units at $86

the business maintains a perpetual inventory system, costing by the last-in, first-out method. determine the cost of merchandise sold for each sale and the inventory balance after each sale.

Answers

Using the Last-In, First-Out (LIFO) inventory costing method, the cost of merchandise sold and inventory balance

Inventory balance after each sale can be calculated as follows:

June 1 inventory: 240 units at $78 = $18,720

June 10 sale: 180 units at $80 (last purchase cost) = $14,400

Inventory balance: 60 units at $78 (beginning inventory cost) = $4,680

June 15 purchase: 280 units at $80 = $22,400

Inventory balance: 340 units at $80 = $27,120

June 20 sale: 220 units at $80 (last purchase cost) = $17,600

Inventory balance: 120 units at $80 = $9,600

June 24 sale: 90 units at $80 (last purchase cost) = $7,200

Inventory balance: 30 units at $80 = $2,400

June 30 purchase: 320 units at $86 = $27,520

Inventory balance: 350 units at $80 (LIFO cost for remaining units) = $28,000

To determine the cost of merchandise sold, we use the LIFO method to assign the cost of the most recent purchases to the units sold first. The inventory balance is the cost assigned to the remaining units still in stock. By the end of June, the cost of merchandise sold is $39,200, and the inventory balance is $28,000.

It's important to note that the LIFO method assumes that the most recent costs are the first to be sold, and this can lead to fluctuations in the cost of goods sold and inventory balance depending on the cost of recent purchases.

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7. The most important part of the letter is B. Date A. The heading 8. Telephonic conversation is a C. Post script D. Body of the letter​

Answers

Answer:

D. Body of the Letter

Explanation:

The body of the Letter or main text is premier and paramount part of a letter containing the essential information and message being illustrated by the author.

ajax has just discovered that the marginal revenue product generated by the last worker hired was $125 while the marginal factor cost was $85. what should ajax do?

Answers

Ajax should continue to hire more workers until the marginal revenue product equals the marginal factor cost, as each new worker hired increases profits as long as their contribution exceeds their cost.

Ajax should hire more workers as long as the marginal revenue product (MRP) of each additional worker is greater than the marginal factor cost (MFC).

In this case, the MRP of the last worker hired is $125 and the MFC is $85, which means that the firm is earning $40 ($125 - $85) in additional revenue for each additional worker. Therefore, it is profitable for Ajax to hire more workers as long as the MRP of each additional worker is greater than the MFC.

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A _____ is a particular kind of the divisional structure where products are grouped into separate divisions according to the needs of the different geographical regions the company serves

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A Geographic Divisional Structure is a particular kind of divisional structure where products are grouped into separate divisions according to the needs of the different geographical regions the company serves.

In this structure, a company is divided into geographic regions, such as countries or states, and each region operates as a separate division, with its own set of functions and responsibilities. This structure is often used by multinational companies that operate in different regions and need to tailor their products and services to meet the unique needs of each region.

A Geographic Divisional Structure is a type of organizational structure in which a company is divided into separate divisions based on different geographical regions. In this structure, each division is responsible for managing its own operations and resources within a specific geographic area or region, such as a country, state, or city.

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if profits are on the y-axis and output is on the x axis and a manager's preferences depend solely on output, their indifference curves will be

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If a manager's preferences depend solely on output and not on profits, then their indifference curves will be linear and parallel to the x-axis. This is because the manager will be indifferent between any combination of output and profits, as long as the output remains constant.

In other words, the manager's preferences will be solely based on maximizing output, and they will be indifferent to changes in profits. Therefore, their indifference curves will be horizontal lines, which represent all the combinations of profits and output that yield the same level of satisfaction for the manager.

If profits are on the y-axis and output is on the x-axis and a manager's preferences depend solely on output, their indifference curves will be straight lines since their preferences are not affected by changes in profits. This is because the manager is solely concerned with maximizing output and is indifferent to the level of profits. Therefore, any combination of output and profits that yield the same level of output will be equally preferred by the manager, resulting in straight-line indifference curves.

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"Summarize the concept of the balanced scorecard. What are its mainadvantages? Explain in 200 words

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The balanced scorecard (BSC) is a strategic management tool that assists organizations in monitoring and evaluating their performance across four key perspectives: financial, customer, internal business processes, and learning and growth.

Understanding balanced scorecard (BSC)

It was developed by Drs. Robert Kaplan and David Norton in the early 1990s to help businesses translate their vision and strategy into actionable objectives and performance measures.

The main advantages of the balanced scorecard include:

1. Holistic approach: BSC provides a comprehensive view of an organization's performance by considering multiple perspectives, ensuring that all key aspects are covered and aligned with the overall strategy.

2. Strategy execution: BSC helps organizations translate their strategic goals into measurable objectives, thereby enabling better strategy execution and monitoring.

3. Enhanced communication: By clearly outlining the organization's strategic goals and performance measures, BSC facilitates better communication and understanding of the strategy among employees, leading to improved organizational alignment.

4. Continuous improvement: The BSC framework promotes regular monitoring and review of performance data, allowing organizations to identify areas for improvement and make necessary adjustments in a timely manner.

In summary, the balanced scorecard is a valuable management tool that enables organizations to effectively monitor and manage their performance across various perspectives, ensuring a comprehensive and aligned approach to strategy execution and continuous improvement

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Alternating periods of economic growth and contraction in real gdp define.

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Alternating periods of economic growth and contraction in real GDP define business cycles.

Business cycles are characterized by the expansion and contraction of economic activity over time.

During the expansion phase of a business cycle, economic growth and employment rates increase, while inflation and interest rates remain low. In contrast, during the contraction phase, economic growth slows down, unemployment rates increase, and inflation and interest rates rise.

Business cycles can be affected by a variety of factors, including changes in government policies, technological advances, natural disasters, and global economic conditions.

Understanding business cycles can help individuals and businesses make informed decisions about investments, employment, and other economic activities.

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You work for rev, incorporated, and have misplaced your phone. according to the frequently asked questions presented, rev can use rdm to:

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Rev, Incorporated can use RDM to locate your misplaced phone, protect sensitive data, and restore the device if needed. Remember to report the issue to your company's IT department to initiate the process.

How Rev, Incorporated can use RDM to assist you with your misplaced phone. Here's a step-by-step explanation:

1. First, RDM stands for Remote Device Management. It is a system that allows companies like Rev, Incorporated to manage and control devices, such as smartphones, remotely.

2. In the case of a misplaced phone, the first thing you should do is report the issue to your company's IT department or responsible personnel.

3. Once reported, Rev's IT team can utilize the RDM system to locate your misplaced phone. This is done by accessing the device's GPS data, which will provide an approximate location of the phone.

4. If the phone is nearby or within the company premises, the IT team can use RDM to make the phone emit a sound or vibration to help you find it more easily.

5. In case the phone cannot be located or is suspected to be stolen, RDM allows Rev's IT team to remotely lock the device and protect sensitive company information stored on it.

6. If necessary, the IT team can also use RDM to remotely wipe the device's data, ensuring that important company data is not compromised.

7. Once the phone is found or replaced, the IT team can utilize RDM to restore any necessary company data and applications onto the device.

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Organizations use ________ to help them understand processes, products, customers, finances and markets;

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Organizations use various analytical tools and techniques to help them understand their business operations and make informed decisions. These tools provide valuable insights into different aspects of the organization, such as processes, products, customers, finances, and markets.

One of the most commonly used analytical tools is data analytics. Data analytics involves collecting, analyzing, and interpreting data to identify patterns and trends that can inform business decisions. By using data analytics, organizations can gain a better understanding of their customers' needs and preferences, optimize their operations, and develop effective marketing strategies.

Another tool that organizations use is financial analysis. Financial analysis involves examining financial statements, ratios, and other financial metrics to assess the organization's financial performance and health. By using financial analysis, organizations can identify areas of inefficiency, make informed investment decisions, and forecast future financial performance.

Market research is also a common analytical tool used by organizations. Market research involves gathering and analyzing data on the market, competitors, and customers to gain insights into market trends and customer behavior. By using market research, organizations can develop effective marketing strategies, launch new products, and expand into new markets.

In conclusion, organizations use various analytical tools and techniques to gain insights into different aspects of their business operations. By using these tools, organizations can make informed decisions and stay competitive in today's fast-paced business environment.

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According to Dunphy and Stace, the disadvantage of the tell and sell change management style is that it: _______

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According to Dunphy and Stace, the disadvantage of the tell and sell change management style is that it can lead to employee resistance and lack of commitment. This approach involves management informing employees about the need for change and then persuading them to accept it. While this method can be effective in situations where quick decision-making is necessary, it may not be the best choice for fostering long-term employee engagement and buy-in.

The tell and sell approach can result in employees feeling excluded from the decision-making process, which may lead to frustration and a lack of trust in management. This, in turn, can hinder the successful implementation of the change initiative, as employees may be less inclined to support or participate in the change process. In addition, relying solely on persuasion can be ineffective if employees do not see a clear benefit for themselves in the proposed changes.

To overcome these disadvantages, organizations may consider adopting a more collaborative change management style, such as the involve and negotiate approach. This style encourages open communication and consultation between management and employees, promoting a sense of shared ownership in the change process. By involving employees in decision-making and addressing their concerns, organizations can foster a more positive work environment, increase employee commitment, and ultimately achieve more successful change outcomes.

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Explain in 100 words how communication through social networking websites varies from one-on-one communication?

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Social networking websites facilitate communication in ways that are unique from one-on-one communicationin the terms of audience,  collective feedback, and communication speed.

Audience: In one-on-one communication, there is typically only one receiver. In contrast, social networking sites allow for communication with a wide range of people who are on one's friend list. A person's updates and messages can be seen by hundreds or thousands of people at once, and the response can also be seen by a wide range of individuals.

Collective feedback: People who post updates or messages on social networking sites receive feedback from a range of individuals, not just one person. Although one person may provide feedback that is more in-depth, the collective feedback can provide a wider range of perspectives.

Communication speed: Communication on social networking sites is faster than one-on-one communication, because a message can be sent out to many people at once. In contrast, one-on-one communication often has a time delay because the person is not available to receive the message at that moment. Social networking sites also provide the option of real-time communication, which is not always possible in one-on-one communication.

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Total Liabilities & Equity
$ 229,200 $248,000
Task 1: Liquidity Analysis
Calculate the following ratios in 2021 for Gerup Garments Inc. Write 100 words describing
the company's liquidity condition:
current ratio
• quick ratio

accounts receivable turnover
days sales outstanding
inventory turnover
average days to sell inventory

Type your response here:

Answers

Answer:

Here are the calculations for the liquidity ratios for Gerup Garments Inc. in 2021:

**Current Ratio**

Current Ratio = Current Assets / Current Liabilities

= $108,000 / $229,200

= 0.47

**Quick Ratio**

Quick Ratio = (Current Assets - Inventory) / Current Liabilities

= $108,000 - $48,000 / $229,200

= 0.36

**Accounts Receivable Turnover**

Accounts Receivable Turnover = Net Sales / Average Accounts Receivable

= $1,200,000 / ($60,000 + $54,000) / 2

= 10.5

**Days Sales Outstanding**

Days Sales Outstanding = 365 / Accounts Receivable Turnover

= 365 / 10.5

= 34.8 days

**Inventory Turnover**

Inventory Turnover = Cost of Goods Sold / Average Inventory

= $800,000 / ($48,000 + $54,000) / 2

= 12.5

**Average Days to Sell Inventory**

Average Days to Sell Inventory = 365 / Inventory Turnover

= 365 / 12.5

= 29.2 days

**Analysis**

Gerup Garments Inc.'s liquidity condition is weak. The current ratio is below 1, which means that the company's current assets are not enough to cover its current liabilities. The quick ratio is even lower, which means that the company's liquid assets are not enough to cover its current liabilities. The accounts receivable turnover is low, which means that the company is taking too long to collect its receivables. The days sales outstanding is high, which means that the company is taking too long to collect its receivables. The inventory turnover is low, which means that the company is holding too much inventory. The average days to sell inventory is high, which means that the company is holding too much inventory.

The company should take steps to improve its liquidity condition. It should try to collect its receivables more quickly. It should also try to reduce its inventory levels. If the company does not take steps to improve its liquidity condition, it may have difficulty meeting its financial obligations.

Final answer:

To understand the liquidity of a business, various ratios are calculated, including Current Ratio, Quick Ratio, Accounts Receivable Turnover, Days Sales Outstanding, Inventory Turnover, and Average Days to Sell Inventory. These calculations require specific figures such as Current Assets, Quick Assets, Accounts Receivables, Sales, Inventory, and Cost of Goods Sold. Without these values, it's impossible to calculate the specific ratios for Gerup Garments Inc.

Explanation:

To assess the liquidity of Gerup Garments Inc., we need a few key data points which include Current Assets, Quick Assets, Accounts Receivables, Sales, Inventory, and Cost of Goods Sold (COGS). These figures are not provided in your question. However, I can explain how to use these figures to calculate the ratios.

The Current Ratio is calculated by dividing Current Assets by Current Liabilities. A number greater than 1 indicates good short-term financial health. The Quick Ratio is similar but it excludes inventory from your assets, as these can be less liquid than other assets. This is calculated by subtracting Inventory from Current Assets, then divided by Current Liabilities.

Accounts Receivable Turnover is calculated by dividing Net Credit Sales by Average Accounts Receivable, this assesses the effectiveness of the company's credit policies. Days Sales Outstanding shows the average number of days that receivables remain outstanding, calculated by dividing Accounts Receivable by Total Credit Sales and then multiply by 365.

Finally, Inventory Turnover is calculated by dividing COGS by Average Inventory. It measures how many times a company's inventory is sold and replaced over a period. Average Days to Sell Inventory is the reciprocal of Inventory Turnover ratio multiplied by 365, this shows the average length of time items are in inventory before they are sold.

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A European car company is trying to decide if they should manufacture their vehicles for the US market in Europe, or in the United States. Please do the calculations that will help this company come to a decision.Sale price of vehicle in the United States - $35,500Cost to manufacture the car in Europe, deliver and import to US: 20,000 EurosCost to import the vehicle into the United States $4,500Cost to manufacture the vehicles in the United States - $28,500Suppose the exchange rate is near 1 Euro = $1.30. What would be the profit for the European car company (in Euros) if they manufactured their car in Europe? Remember, they have to pay the import tax.

Answers

The profit for the European car company if they manufacture their car in Europe would be $7,000.

If the European car company decides to manufacture their vehicles in Europe and import them to the US, they will need to pay 20,000 Euros for manufacturing and delivery costs.

At an exchange rate of 1 Euro = $1.30, this is equivalent to $26,000. They will also need to pay $4,500 for import taxes.

So, the total cost of manufacturing and importing the car to the US from Europe would be $35,500 ($26,000 + $4,500). This is the same as the sale price of the vehicle in the US.

Therefore, if the European car company decides to manufacture their vehicles in Europe and import them to the US, they will break even but will not make a profit.

On the other hand, if they manufacture the vehicles in the United States, the cost to manufacture the car will be $28,500, which is cheaper than the cost to manufacture the car in Europe and import it to the US.

This means that the European car company will make a profit of $7,000 ($35,500 - $28,500) per vehicle sold in the US.

Therefore, based on these calculations, it would be more profitable for the European car company to manufacture their vehicles in the United States rather than in Europe and import them to the US.

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The painted parlor paid an annual dividend of $1. 64 per share last year and just announced that future dividends will increase by 1. 3 percent annually. what is the amount of the expected dividend in year 4?

Answers

The amount of the expected dividend in year 4 is $1.7281 per share.

To calculate the expected dividend in year 4, we need to use the dividend growth formula, which is;

[tex]D_{n}[/tex] = [tex]D_{0}[/tex] x [tex](1+g)^{n}[/tex]

Where;

[tex]D_{n}[/tex] = the expected dividend in year n

[tex]D_{0}[/tex] = the dividend in the base year (last year)

g = the annual dividend growth rate

n = the number of years in the future

We are given that the dividend in the base year was $1.64 per share, and the annual dividend growth rate is 1.3 percent. Therefore;

[tex]D_{0}[/tex] = $1.64

g = 1.3% = 0.013

n = 4 (since we want to calculate the expected dividend in year 4)

Plugging in these values, we get:

[tex]D_{4}[/tex] = $1.64 x (1+0.013)⁴

[tex]D_{4}[/tex] = $1.64 x 1.0533

[tex]D_{4}[/tex] = $1.7281

Therefore, the expected dividend in 4 year is $1.7281.

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in the keynesian model, how does a temporary increase in government purchases affect the following? your answers should be relative to the original long-run equilibrium levels of each variable. assume there is no change in labor supply.

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In the Keynesian model, a temporary increase in government purchases would increase aggregate demand and shift the AD curve to the right. This would lead to an increase in both output and price levels in the short run.

In the short run, the increase in government purchases would lead to an increase in aggregate demand, which would cause firms to increase output to meet the increased demand. This would lead to an increase in employment, income, and output. However, since the increase in government purchases is temporary, the AD curve would shift back to its original position in the long run.

In the long run, the increase in government purchases would have no effect on the level of output or employment. However, the increase in aggregate demand would lead to an increase in the price level. This is because, in the long run, output is fixed, and any increase in demand would lead to an increase in prices rather than output. Therefore, in the long run, the economy would return to its original equilibrium level of output and employment but with a higher price level.

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which of the following statements regarding technical and fundamental analysis is true? a. fundamental analysis is based on supply and demand. b. in fundamental analysis, future cash flows are projected by analyzing a firm's financial statements. c. technical analysis values securities based on expected future cash flows d. technical analysis requires an evaluation of macroeconomic conditions.

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In fundamental analysis, future cash flows are projected by analyzing a firm's financial statements is true regarding technical and fundamental analysis. The correct statement is (b)

Fundamental analysis is a method of evaluating the intrinsic value of an asset by analyzing a variety of factors, such as financial and economic data, industry conditions, and management quality.

This analysis is focused on the company's underlying financial and economic factors, including sales, earnings, assets, liabilities, and growth prospects. The primary goal of fundamental analysis is to determine the value of a security or asset, and then compare that value to the current market price.

On the other hand, technical analysis is a method of evaluating securities by analyzing statistics generated by market activity, such as past prices and volume.

Technical analysts believe that historical price movements can be used to identify patterns and trends, which can then be used to make future predictions. Technical analysis does not rely on fundamental data or financial statements, but rather focuses on charts and other technical indicators to evaluate the market.

In summary, fundamental analysis focuses on financial statements and economic factors to determine the value of an asset, while technical analysis uses market data to identify trends and patterns.

The correct statement is (b).

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Other Questions
if the volume of a rectangular prism is 26,214 m3 and it has a height of 17 m what is the value of b , the area of the base ? A. 13,062 m2 B. 13,062 m3 C.1,542 m2 D. 1,542 m3 Translate the following statement into a mathematical equation:Five times a number, minus three, is twelve. Shrieves Casting Company is considering adding a new line to its product mix, and the capital budgeting analysis is being conducted by Sidney Johnson, a recently graduated MBA. The production line would be set up in unused space in Shrieves main plant. The machinerys invoice price would be approximately $200,000, another $10,000 in shipping charges would be required, and it would cost an additional $30,000 to install the equipment. The machinery has an economic life of 4 years, and Shrieves has obtained a special tax ruling that places the equipment in the MACRS 3year class. The machinery is expected to have a salvage value of $25,000 after 4 years of use. The new line would generate incremental sales of 1,250 units per year for 4 years at an incremental cost of $100 per unit in the first year, excluding depreciation. Each unit can be sold for $200 in the first year. The sales price and cost are both expected to increase by 3% per year due to inflation. Further, to handle the new line, the firms net working capital would have to increase by an amount equal to 12% of sales revenues. The firms tax rate is 40%, and its overall weighted average cost of capital is 10%. A. Define "incremental cash flow"- the difference between the cash flows the firm will have if it implements the project versus the cash flows it will have if it rejects the project. (1) Should you subtract interest expense or dividends when calculating project cash flow? Yes (2) Suppose the firm spent $100,000 last year to rehabilitate the production line site. Should this be included in the analysis? Explain. Yes, because the amount is part of the capital expenditure. (3) Now assume the plant space could be leased out to another firm at $25,000 per year. Should this be included in the analysis? If so, how? Yes, because it should be subtracted out of the annual revenue. (4) Finally, assume that the new product line is expected to decrease sales of the firms other lines by $50,000 per year. Should this be considered in the analysis? If so, how? Yes, it should also be subtracted out of the annual revenue. B. Disregard the assumptions in part a. What is Shrieves depreciable basis? What are the annual depreciation expenses? c. Calculate the annual sales revenues and costs (other than depreciation). Why is it important to include inflation when estimating cash flows? d. Construct annual incremental operating cash flow statements. E. Estimate the required net working capital for each year and the cash flow due to investments in net working capital. F. Calculate the aftertax salvage cash flow. G. Calculate the net cash flows for each year. Based on these cash flows, what are the projects NPV, IRR, MIRR, PI, payback, and discounted pay back? Do these indicators suggest that the proj ect should be undertaken? According to the producer price index database maintained by the Bureau of Labor Statistics, the average cost of computer equipment fell 3. 8 percent between January and December 2016. Required:1. Conduct a horizontal analysis by calculating the year-over-year changes in each line item, expressed in dollars and in percentages for the income statement of Computer Tycoon Inc. For the year ended December 31, 2016. 2-a. Conduct a vertical analysis by expressing each line as a percentage of total revenues. 2-b. 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The ecosystem's carrying capacity is lower, so fewer rabbits haveimmigrated and more have died.B. The ecosystem's carrying capacity is higher, so fewer rabbits havebeen born and more have emigrated.C. The ecosystem's carrying capacity is lower, so more rabbits haveemigrated and fewer have been born.D. The ecosystem's carrying capacity is higher, so more rabbits havebeen born and fewer have died. Note: This section is a continuation from Parts A and B of the comprehensive problem. Be sure you have completed Parts A and B before attempting Part C. You may have to refer back to data presented in Parts A and B as well as use answers from those parts when completing this section. Genuine Spice Inc. Began operations on January 1 of the current year. The company produces 8-ounce bottles of hand and body lotion called Eternal Beauty. The lotion is sold wholesale in 12-bottle cases for $100 per case. There is a selling commission of $20 per case. 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