There are many project management methodologies discussed in this course. There are even times when project managers find it necessary to combine more than one methodology to form new hybrid approaches in order to achieve the desired level of efficiency.
a. Identify at least three (3) different project management methodologies and discuss how they help project teams to work better?
b. What makes one methodology better than another?
2. Preparing for a specific international project requires serious pre-project homework. Understanding the motivation of the firm in selecting the project and its site provides important insights.
a. How would you explain to your Project Director about the basic political, geographic, economic, and infrastructure factors to be taken into consideration on a foreign project?
b. How will they impact the implementation of the project?

Answers

Answer 1

Project management methodologies are structured approaches or frameworks that guide the planning, execution, and control of projects

a. Three different project management methodologies and how they help project teams to work better are as follows:

Agile methodology: The agile methodology is a highly flexible methodology that allows for frequent changes to be made throughout the project development process. Agile methodologies break down projects into smaller components, which are then completed in iterations. This allows for feedback and changes to be made along the way, increasing the chances of success.

Waterfall methodology: Waterfall methodology is a structured methodology that follows a linear, sequential approach. This methodology works best when the project requirements are clear and well-defined. The project is broken down into a series of sequential stages, with each stage being completed before moving on to the next.

PRINCE2 methodology: PRINCE2 is a project management methodology that is widely used in the UK and Europe. It is a structured methodology that provides a clear framework for project management. It is a process-based methodology that divides the project into a series of manageable stages. PRINCE2 is highly adaptable and can be used for a wide range of projects. It is also highly scalable, making it suitable for both small and large projects.

b. Each project is unique and requires a project management methodology that is tailored to its specific needs. A project manager must carefully evaluate each methodology and determine which one is best suited to their project. Factors that should be considered when selecting a project management methodology include the complexity of the project, the level of uncertainty, the level of stakeholder involvement, the available resources, the project timelines, and the level of risk.

2. Preparing for a specific international project requires serious pre-project homework. Understanding the motivation of the firm in selecting the project and its site provides important insights.

a. The basic political, geographic, economic, and infrastructure factors to be taken into consideration on a foreign project are as follows:

Political Factors: It is important to understand the political environment of the country where the project is being undertaken. The political stability of the country, the laws, regulations, and policies, and the level of government involvement in business must all be taken into consideration.

Geographic Factors: The geography of the country, such as the climate, topography, and natural disasters, must be taken into consideration. The location of the project and the accessibility of the site must also be considered.

Economic Factors: The economic environment of the country must be taken into consideration. Factors such as the exchange rate, inflation, and the cost of labour and materials must all be evaluated.

Infrastructure Factors: The infrastructure of the country must be taken into consideration. This includes the availability of utilities, transportation, communication, and other essential services.

b. The above factors can impact the implementation of a project in many ways. Political instability, for example, can increase the level of risk associated with the project, while geographic factors such as natural disasters can delay or halt the project altogether. Economic factors such as inflation and exchange rates can increase the cost of the project, making it less profitable. Infrastructure factors can impact the availability of resources and services required to implement the project, making it more challenging to complete the project on time and within budget.

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Related Questions

An investment offers $6,100 per year for 15 years, with the first payment occurring one year from now. (Do not round intermediate calculations. Round the final answers to 2 decimal places. Omit $ sign in your response.) If the required return is 6%, what is the value of the investment? Present value $ What would the value be if the payments occurred for 40 years? Present value $ What would the value be if the payments occurred for 75 years? Present value $ What would the value be if the payments occurred forever? Present value $

Answers

The first payment occurring one year from now, and a required return of 6% is $66,168.60. The value of the investment would be $155,000.00 The value of the investment would be $305,000.00. the value of the investment would be $101,666.67

To calculate the present value of the investment, we can use the present value of an annuity formula:

PV = C × [1 - (1 + r)^(-n)] / r

Where PV is the present value, C is the annual cash flow, r is the required return rate, and n is the number of periods.

For the given investment, with an annual payment of $6,100 for 15 years and a required return of 6%, the present value can be calculated as follows:

PV = $6,100 × [1 - (1 + 0.06)^(-15)] / 0.06 ≈ $66,168.60

If the payments occurred for 40 years, the present value can be calculated as:

PV = $6,100 × [1 - (1 + 0.06)^(-40)] / 0.06 ≈ $155,000.00

For 75 years of payments:

PV = $6,100 × [1 - (1 + 0.06)^(-75)] / 0.06 ≈ $305,000.00

Finally, for perpetuity, we can use the formula:

PV = C / r

Where C is the annual cash flow and r is the required return rate. In this case:

PV = $6,100 / 0.06 ≈ $101,666.67

Therefore, the value of the investment would be approximately $101,666.67 if the payments occurred forever.

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Calculate Materials price variance based on the following information. Show your work. Actual Price: $7.00 Standard Price: $8.50 Actual Quantity used: 115,000 pounds Standard Quantity allowed: 11,8000 pounds G

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Materials price variance based on the given information is $172,500.

The formula to calculate Material price variance is:

Material Price Variance = (Standard Price - Actual Price) x Actual Quantity used

According to the question,

Actual Price: $7.00

Standard Price: $8.50

Actual Quantity used: 115,000 pounds

Standard Quantity allowed: 118,000 pounds

Using the formula above, we can calculate the Material price variance as follows:

Material Price Variance = (Standard Price - Actual Price) x Actual Quantity used

Material Price Variance = ($8.50 - $7.00) x 115,000

Material Price Variance = $1.50 x 115,000

Material Price Variance = $172,500

Therefore, the Material Price Variance is $172,500.

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COMPLETE WOTH EXCEL AND SHOW EXCEL FORMULAS
1. Given the following conditional value table of profits, determine the appropriate decision under uncertainty using: (a) Maximax (b) Maximin (c) Criterion of realism with a 0.3 (d) Equally likely (e

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(a) Based on the maximax method, the appropriate decision is to choose the large plant, which has the maximum potential payoff of $275,000. The calculation is shown below in the attached image.

(b) Based on the maximin method, the appropriate decision is to choose the large plant, which has the highest minimum payoff of $100,000. The calculation is shown below in the attached image.

(c) Based on the equally likely method, the appropriate decision is to choose the small plant, which has the highest average payoff of $83,333.33. The calculation is shown below in the attached image.

The maximax method is a decision-making criterion used under uncertainty to select the alternative with the maximum potential payoff or outcome. It is an optimistic approach that focuses on maximizing the best possible outcome without considering the likelihood of occurrence.

In the maximax method, the decision-maker identifies the maximum payoff for each alternative across all possible states of nature and selects the alternative with the highest maximum payoff.

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The image of the complete question is attached below.

Do you to think that Walt Disney conforms more to the organic or to the mechanistic model of organizational structure? Briefly explain why you think it is organic or mechanistic.

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Walt Disney conforms more to the organic model of organizational structure.

The organic model of organizational structure emphasizes flexibility and adaptability over stability and control. Organizations that use the organic model tend to have a flat hierarchy, decentralized decision-making, and a focus on teamwork and collaboration. Walt Disney was known for his creative and innovative ideas, which required a flexible and adaptable organizational structure to bring to life. Disney's company was structured around a creative vision rather than a rigid set of rules, which allowed for constant experimentation and innovation.

This can be seen in the way that Disney's company created a number of groundbreaking films and theme park attractions that were unlike anything that had been seen before. In contrast, the mechanistic model of organizational structure emphasizes stability and control over flexibility and adaptability. Organizations that use the mechanistic model tend to have a tall hierarchy, centralized decision-making, and a focus on specialization and standardization. While Disney's company did have some aspects of a mechanistic structure, such as clear lines of authority and standardized procedures for producing films and theme park attractions, these were secondary to the company's primary focus on creativity and innovation.

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Financial analysis is useful: a. For Investors b. For Shareholders c. For bond holders d. All the above

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Financial analysis is useful for all the above including investors, shareholders, and bondholders. (D)

It is a systematic process that involves examining and interpreting financial data such as financial statements, market trends, and economic indicators, among others.Financial analysis provides important information that helps investors make informed decisions about which companies to invest in.

For example, they can evaluate a company's profitability, liquidity, solvency, and efficiency ratios, as well as determine its current and future potential returns. Shareholders can use financial analysis to monitor their investment performance and assess the company's ability to pay dividends. (D)

Bondholders can also use financial analysis to assess the creditworthiness of a company and its ability to repay debts. Therefore, financial analysis is an essential tool for all stakeholders who need to assess a company's financial health, performance, and future potential.

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Assuming the United States is the 'domestic' country, if the real exchange rate between the United States France increases 1.5 to 1.8. the prices of U.S. goods and services have decreased by 16% relative to Franc. the prices of U.S. goods and services have increased by 53% relative to Franc. the prices of U.S. goods and services have increased by 20% relative to Franc. the prices of U.S. goods and services have increased by 3% relative to Franc.

Answers

Assuming the United States is the "domestic" country, if the real exchange rate between the United States France increases from 1.5 to 1.8, the prices of U.S. goods and services have increased by 20% relative to Franc.

We are given that the real exchange rate between the United States and France increases from 1.5 to 1.8. The domestic country is the United States. In this case, the price of U.S. goods and services would have increased by 20% relative to Franc.

We use the following formula to calculate the percentage change in prices:% change in price = (1/real exchange rate after the change - 1/real exchange rate before the change) x 100%Substitute the values:% change in price = (1/1.8 - 1/1.5) x 100%% change in price = 20%Therefore, the prices of U.S. goods and services have increased by 20% relative to Franc.

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The conditions for granting the work permit for non-Saudis are: A. The worker has lawfully entered the country and is authorized to work B. He possesses the professional and academic qualifications which the country needs and which are not possessed by citizens C. He has a contract with the employer and is under his responsibility. D. All of the above

Answers

The conditions for granting a work permit for non-Saudis include:

A) lawful entry into the country and authorization to work,

B) possession of professional and academic qualifications that the country needs and that are not held by citizens, and C) having a contract with an employer and being under their responsibility.

All three of these conditions must be met for a work permit to be granted.


To obtain a work permit, there are certain conditions that a non-Saudi national must meet, as mentioned above. The first condition is that the individual must have entered the country legally and be authorized to work in the country. This means that the individual must have a valid visa or work permit and must not have entered the country illegally.

The second condition is that the individual must possess professional and academic qualifications that the country needs but that are not held by citizens. This means that the individual must have a skill set or experience that is in demand in the country.

The third condition is that the individual must have a contract with an employer and be under their responsibility. This means that the individual must have a job offer from an employer who is willing to sponsor their work permit and provide them with a job.

In conclusion, all three conditions (lawful entry and authorization to work, possession of necessary qualifications, and a contract with an employer) must be met for a work permit to be granted to a non-Saudi national.

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A ________ is someone whose advice or view carries some weight in making a final purchasing decision.

A) initiator

B) influencer

C) decider

D) buyer

Answers

An influencer is someone whose advice or view carries some weight in making a final purchasing decision. So, option B is correct.

They may not be the ultimate decision-maker or the one who makes the actual purchase, but their input and recommendations carry weight and impact the decision-making process.

Influencers can take various forms depending on the context and nature of the purchase. They can be friends, family members, colleagues, industry experts, celebrities, or online influencers.

Their expertise, experience, knowledge, or personal relationship with the buyer can shape the perception and evaluation of different options, ultimately influencing the final decision.

In consumer behavior and marketing, understanding the role of influencers is crucial for businesses. By identifying and targeting the right influencers, companies can strategically engage with them to promote their products or services, leveraging their credibility and influence to reach a wider audience and positively impact purchasing decisions.

It's important to note that the other options provided have different roles in the purchasing decision process. Initiators are individuals who recognize a need or desire for a product or service. Deciders are the individuals who ultimately make the final decision to purchase.

Buyers are the individuals who carry out the actual transaction and acquire the product or service. While these roles are also important, they are not specifically associated with providing advice or carrying weight in the final purchasing decision, which is the key characteristic of an influencer.

So, option B is correct.

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The board of directors of Lorantan Corporation has 12 members. Lorantan's bylaws provide that a majority of seven or more directors is necessary to form a quorum. At a meeting of the board of directors, a resolution is adopted authorizing the sale of a substantial portion of the corporate assets to Pam Park, a director. Pam is one of the eight directors present. Which one of the following does NOT relieve directors from liability for selling the corporate to Pam?

Group of answer choices

A. The transaction has been approved by a majority of informed, disinterested directors.

B. The transaction has been approved by a majority of the shares held by informed disinterested shareholders.

C. The transaction is fair to the corporation.

D. Invoking business judgment rules by the board members during the meeting.

Answers

The option that does NOT relieve directors from liability for selling the corporate assets to Pam Park is:

B. The transaction has been approved by a majority of the shares held by informed disinterested shareholders.

In this scenario, the board of directors of Lorantan Corporation has authorized the sale of a substantial portion of the corporate assets to Pam Park, who is a director herself. To relieve directors from liability, there are certain conditions that need to be met.

Option A states that the transaction has been approved by a majority of informed, disinterested directors. This condition implies that the directors who voted in favor of the transaction were not influenced by any personal interests and had sufficient information about the transaction. If this condition is met, it can help relieve directors from liability.

Option C states that the transaction is fair to the corporation. This means that the sale of the corporate assets should be conducted at a fair price or with fair terms that benefit the corporation. If the transaction is determined to be fair, it can provide a defense for the directors against liability.

Option D mentions invoking business judgment rules by the board members during the meeting. Business judgment rules protect directors from liability if they have acted in good faith, with due care, and in the best interests of the corporation.

However, option B, which states that the transaction has been approved by a majority of the shares held by informed disinterested shareholders, does not necessarily relieve directors from liability. While shareholder approval can provide some level of support for the transaction, it does not guarantee immunity from potential liability for the directors involved.

In conclusion, option B does not relieve directors from liability for selling the corporate assets to Pam Park. The other options, A, C, and D, provide potential defenses that may help relieve directors from liability in this situation.

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General Motors has current assets $5000, non-current assets $3000, plant and equipment $1500, notes payable $800 and retained earnings $1000, using the standardized financial statement method how would notes payables appear? O 10% O 12.5% 8.42% 20%

Answers

Using the standardized financial statement method, the percentage of notes payable to total assets for General Motors cannot be determined without additional information.

The standardized financial statement method calculates the percentage of various items relative to a specific base amount, usually total assets. In this case, we are given the following information for General Motors: current assets of $5000, non-current assets of $3000, plant and equipment of $1500, notes payable of $800, and retained earnings of $1000.

To calculate the percentage of notes payable to total assets, we need to know the total assets. However, the total assets value is not provided. Without knowing the total assets, we cannot determine the percentage of notes payable to total assets using the given information. Therefore, we cannot definitively state the percentage of notes payable.

To arrive at the answer, we would need the total assets figure. However, since it is not provided in the given information, the correct answer would be that the percentage of notes payable to total assets cannot be determined.

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At the end of the year, T account balances are posted to

Closing entries

Journal entries

The trial balance

Adjusting entires

Answers

The correct option is Closing entries. In accounting, there are four steps that are taken at the end of a fiscal year: preparing a trial balance, making adjusting entries, preparing an adjusted trial balance, and closing the books.

Each step is crucial to ensure that the financial statements accurately represent the company's financial position. One of the most significant actions taken at the end of a fiscal year is closing the books. To ensure that all revenue, expenses, gains, and losses are appropriately accounted for, the accountant must transfer these amounts to permanent accounts in the general ledger from temporary accounts. In contrast, the closing entries are referred to as temporary accounts, which means that they are used to track activity for a specific period, and once the fiscal year is over, their balances must be zeroed out.The closing entries are the final entries made to a company's accounts at the end of the fiscal year, and they are designed to transfer the balances from temporary accounts to permanent accounts. All revenue accounts will have debit balances, while all expense accounts will have credit balances, so the accountant will record the opposite journal entry to close these accounts. The same approach is used to close all revenue, expense, gain, and loss accounts.

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Consumer Behavior
1. Explain Consumption as Revenge phenomenon and what you find most interesting.
2. With this phenomenon in mind, interview a friend or family member and ask them if they have ever observed this phenomenon.

Answers

Consumer behavior is the study of how consumers choose and use various goods, services, activities, and concepts. It is crucial because it enables companies to design products that are in line with the needs, wants, and desires of their customers.

The activities and choices that consumers make when using or purchasing things are referred to as consumer behavior in marketing. Consumer behavior towards a product encompasses all aspects, from the original choice to acquire it to how they use it and whether they decide to make additional purchases of it in the future or not.

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View Policies Current Attempt in Progress Admire County Bank agrees to lend Waterway Brick Company $602000 on January 1. Waterway Brick Company signs a $602000, 79, 9-month note. What is the adjusting entry required if Waterway Brick Company prepares financial statements on June 302 Interest Expense 21070 Cash 21070 Interest Payable 21070 Cash 21070 21070 Interest Payable Interest Expense 21070 h 21070 Interest Expense Interest Payable A A Br 21070

Answers

The adjusting entry required if Waterway Brick Company prepares financial statements on June 30 is: Interest Expense - $21,070Interest Payable - $21,070

A business may take out a loan for a variety of reasons, such as expanding the business, purchasing new equipment, or financing other activities. The adjusting entry required if Waterway Brick Company prepares financial statements on June 30 is: Interest Expense - $21,070 Interest Payable - $21,070 The following are the details of the given transaction: Waterway Brick Company borrowed $602,000 from Admire County Bank on January 1. The duration of the note is 9 months. The interest rate on the loan is 79. The financial statements are being prepared on June 30. As of June 30, 6 months have passed since the loan was issued.

As a result, Waterway Brick Company would owe 6 months' worth of interest on the loan. The following formula can be used to calculate the interest owed: Interest = Principal x Rate x Time The interest expense is $21,070, according to the above calculation. The adjusting entry for accrued interest can be recorded on June 30, which is the end of the accounting period, as follows: Interest Expense $21,070Interest Payable $21,070.

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The iTunes store, owned by Apple Inc. sells songs, movies and tv shows. These stores operate in several countries and the songs are priced in local currency terms. iTunes Song PPP exchange Price Rate Current US$ exchange rate Over (+)/under (-) Over (+)/under (-) valuation valuation (Local currency) (iTunes) (Big Mac)* USA US$ 0.99 Australia A$1.69 A$1.70 A$1.33 +28% -21% Canada C$0.99 C$1 C$1.12 -11% +1% Japan ¥200 ¥202 ¥112 +80% -28% UK £0.79 £0.79 £0.53 +51% +18% Source: The Economist What factor(s) could potentially explain the different prices charged for songs on iTunes? What advantage does the iTunes index have over the Big Mac index? (4 points; Max 200 words)

Answers

The prices charged for songs on iTunes are dependent on many factors, including the local currency, exchange rates, and PPP (purchasing power parity).

The valuation of the exchange rate shows the degree of overvaluation or undervaluation of a currency. According to the table, in the United States, a song costs $0.99, while in other countries such as Australia and the United Kingdom, it costs significantly more. The overvaluation or undervaluation of a currency can explain these differences in price, with songs being priced higher in countries where the currency is overvalued, such as in Australia, and lower in countries where it is undervalued, such as in Japan.  

The iTunes index has an advantage over the Big Mac index in that it can provide a more comprehensive comparison of prices across different countries. The Big Mac index only takes into account the price of a single product (a Big Mac), while the iTunes index includes multiple products (songs, movies, and TV shows), providing a more complete picture of price differences. Additionally, the iTunes index provides a more up-to-date and accurate comparison of prices, as the prices of digital products are updated more frequently than the prices of physical products.

In conclusion, the prices charged for songs on iTunes are dependent on several factors, including the local currency, exchange rates, and PPP. The valuation of the exchange rate shows the degree of overvaluation or undervaluation of a currency. The iTunes index has an advantage over the Big Mac index in that it provides a more comprehensive and up-to-date comparison of prices across different countries. The iTunes index includes multiple products (songs, movies, and TV shows), providing a more complete picture of price differences.

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In the late 1990s and early 2000s (shortly after the breakup of the Soviet Union), General Motors was trying to enter the Russian auto industry and get a significant market share in this new frontier. Russia presented numerous business challenges, however, for example: • Inflation was very high, as the Russian ruble was falling in value Unemployment was rising until 2000, and over 10% thereafter. There was little real growth in GDP, The average income was equal to about $100 per month and the average car price was $3000. These are examples of O Economic risk O Political risk Management risk Categorical risk

Answers

The examples given in the question such as inflation was high, unemployment was increasing, there was little GDP growth, the average income was $100 per month, and the average car price was $3000 are examples of economic risk.

Economic risk is the risk of loss caused by changes in the economic environment such as inflation, exchange rates, interest rates, or economic instability. The risk of operating in a foreign economy is a significant part of economic risk. The examples mentioned in the given question suggest that General Motors faced challenges in the Russian auto industry in the late 1990s and early 2000s after the dissolution of the Soviet Union.

The Russian ruble's value was decreasing, leading to inflation, and the unemployment rate was increasing up to 2000 and over 10% after that. Moreover, there was no significant growth in GDP, and the average income was equal to around $100 per month. Additionally, the average price of a car was $3000. These are the examples of economic risks that General Motors encountered while trying to enter the Russian auto industry during the mentioned time frame.

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A company shows a $300 balance in Prepaid rent in the Unadjusted Trial Balance columns of the worksheet. The Adjustments columns show used rent of $150. This adjusting entry results in: O $150 difference between the debit and credit columns of the Unadjusted Trial Balance. O $150 increase in net income. O $150 of prepaid insurance. O $150 decrease in net income.
Previous question

Answers

The adjusting entry for used rent of $150 will result in a decrease in the prepaid rent balance. Therefore, the correct option is- $150 decrease in net income. is the answer.

Prepaid rent refers to the rent paid in advance of the rent period, i.e., an amount paid for a future period. Prepaid rent can be recorded on a company’s balance sheet as an asset. In case the company shows a $300 balance in Prepaid rent in the Unadjusted Trial Balance columns of the worksheet, the adjustments columns show that the company used rent of $150. This adjusting entry results in a $150 decrease in net income because the company has used $150 worth of prepaid rent.

However, it is essential to note that the balance of prepaid rent remains on the asset side of the balance sheet. It reduces the amount of prepaid rent. Prepaid rent decreases because it has been used. It is the reason why a $150 decrease in net income occurs. Thus, the company must adjust the entry to reflect that the prepaid rent has been used, and the expense must be recognized. The company must also debit the Rent Expense account and credit the Prepaid Rent account in the adjusting journal entry.

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You have an Electronics store and you purchase 200 Phone Charges for $10 per unit. The next month, you buy another 300 Phone Charges for $20 per unit. At the end of an accounting period, let's assume you sold 100 total Phone Charges.
Calculate the below using the 3 methods of weighted average costs, and both FIFO and LIFO
weighted average costs
•Cost of Goods Sold:
•Remaining Inventory:
FIFO
•Cost of Goods Sold:
•Remaining Inventory:
LIFO
•Cost of Goods Sold:
•Remaining Inventory:

Answers

- Cost of Goods Sold: $1,600- Remaining Inventory: $6,400

FIFO:

- Cost of Goods Sold: $1,000- Remaining Inventory: $6,000

LIFO:

- Cost of Goods Sold: $2,000- Remaining Inventory: $8,000

To calculate the cost of goods sold (COGS) and remaining inventory using the weighted average, FIFO, and LIFO methods, let's consider the given information:

First, let's calculate the weighted average cost per unit:

Total cost of PURCHASEs = (200 * $10) + (300 * $20) = $2,000 + $6,000 = $8,000Total number of units purchased = 200 + 300 = 500

Weighted average cost per unit = Total cost of purchases / Total number of units purchase

= $8,000 / 500= $16 per unit

Using the weighted average cost method:

1. per unit * Number of units sold

= $16 * 100= $1,600

2. Remaining Inventory:Number of units remaining = Total number of units purchased - Number of units sold

= 500 - 100= 400

Remaining inventory value = Cost per unit * Number of units remaining

= $16 * 400= $6,400

Using the FIFO method:

1. Cost of Goods Sold:Since the first purchases were made at $10 per unit, we can allocate those units first to calculate COGS.

COGS = (Number of units sold from the first purchase * Cost per unit from the first purchase)= 100 * $10

= $1,000

2. Remaining Inventory:

Number of units remaining from the second purchase = Total number of units from the second purchase - Number of units sold from the second purchase= 300 - 0 (all units sold from the first purchase)

= 300

Remaining inventory value = Number of units remaining from the second purchase * Cost per unit from the second purchase= 300 * $20

= $6,000

Using the LIFO method:1. Cost of Goods Sold:

Since the last purchases were made at $20 per unit, we can allocate those units first to calculate COGS.COGS = (Number of units sold * Cost per unit from the last purchase)

= 100 * $20= $2,000

2. Remaining Inventory:

Number of units remaining = Total number of units purchased - Number of units sold= 500 - 100

= 400

Remaining inventory value = Number of units remaining * Cost per unit from the last purchase= 400 * $20

= $8,000

Summary of results:Weighted average cost:

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A consumer has a Cobb-Douglas utility function 1/4 U(X1,x2) = x/*x* where x1, x2 denote the consumption of cars and jets, respectively. The prices of the goods are pl, p2 and the consumer's income is m. a) Find the demand functions for cars and jets that maximise the consumer's utility. b) Confirm that your answer to (a) represents a constrained maximum

Answers

A consumer has a Cobb-Douglas utility function 1/4 U(X1,x2) = x/*x* where x1, x2 denote the consumption of cars and jets, respectively. The prices of the goods are pl, p2 and the consumer's income is m. H is negative definite, we know that we have found a constrained maximum.


a) The consumer's problem is to maximize his utility subject to his budget constraint, that is, maximize 1/4 U(x1,x2)=x1/4*x2/4subject to plx1+p2x2=mThe lagrangian isL = x1/4*x2/4 + λ (m−plx1−p2x2)
The FOCs are:∂L/∂x1 = λpl/4*x1^-3/4*x2^1/4 = 0∂L/∂x2 = λp2*x1^1/4*x2^-3/4/4 = 0∂L/∂λ = m−plx1−p2x2 = 0Rearranging the first equation above gives:x1 = (pl/4p2)*x2By substitution, we have:(pl/4p2)^4/4 * x2 = m/p2x2^(5/4) = (4m/pl)^(4/5) * p2^(-4/5)Substituting the expression for x2 in terms of x1 into the budget constraint yields :m = plx1 + p2x2 = plx1 + p2(pl/4p2)*x2 = plx1 + (pl/4)x1 = (5/4)plx1Therefore,x1 = (4/5)*(m/pl) and x2 = (1/5)*(m/p2)
Therefore the demand functions for cars and jets are:x1 = (4/5)*(m/pl)x2 = (1/5)*(m/p2)b) The Hessian matrix for the lagrangian is H = [ 0      pl/4*x2^-3/4*x1^-3/4      p2*x1^-3/4*x2^-3/4/4][pl/4*x2^-3/4*x1^-3/4      0      p1*x1^-1/4*x2^-1/4/4][p2*x1^-3/4*x2^-3/4/4     p1*x1^-1/4*x2^-1/4/4      0] H is negative definite, we know that we have found a constrained maximum.

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When the seller fails to make delivery or repudiates, then with respect to any goods involved, and with respect to the whole if the breach goes to the whole contract, the buyer may _____.
Group of answer choices
a. "cover" and get damages
b.secure goods in his possession
c. recover incidental damages
d. send the goods back to the seller
e. recover consequential damages

Answers

When the seller fails to make delivery or repudiates, then with respect to any goods involved, and with respect to the whole if the breach goes to the whole contract, the buyer may a. "cover" and get damages.

the buyer has the option to "cover" by purchasing substitute goods from another seller. Additionally, the buyer can seek damages from the original seller for any losses incurred as a result of the breach. This allows the buyer to mitigate their losses and fulfill their needs by obtaining the goods elsewhere while holding the original seller accountable for their breach of contract.

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Oscar Rodriguez is part of the marketing team at Vision Innovation, a boutique eye glasses store. Whenever Oscar makes decisions about what products to add to their product offerings and which products to discontinue, he relies on input from customers. In doing so, Oscar is addressing which of the following core aspects of marketing?

Group of answer choices

completing the exchange function of marketing

satisfying customers needs and wants

amplifying the voice of the customer

making decisions abut the setting in which marketing takes place

Answers

Oscar Rodriguez is addressing the core aspect of "satisfying customers' needs and wants" by relying on customer input to make decisions about product offerings.

Oscar Rodriguez is part of the marketing team at Vision Innovation, a boutique eyeglasses store. Whenever Oscar makes decisions about what products to add to their product offerings and which products to discontinue, he relies on input from customers. In doing so, Oscar is addressing the core aspect of satisfying customers' needs and wants. Marketing is the process of planning and executing the conception, pricing, promotion, and distribution of ideas, goods, and services to create exchanges that satisfy individual and organizational objectives.

Customers are at the heart of every organization, and they are the most critical source of information for decision-making. Oscar, being a part of the marketing team, understands this and prioritizes customer input when it comes to making product decisions, hence addressing the aspect of satisfying customers' needs and wants.

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1. What is job satisfaction and why is it an important outcome variable? Why is it an important input variable? In other words, how does job satisfaction operate as both an independent and dependent variable in management theory and practice?
2. What are some of the important workplace attitudes that are easily measured? Why might managers in organizations want to measure these attitudes? What might managers hope to gain from these insights?
3. What is fairness and why is it important in management theory and practice? How can you as a manager help promote fairness in the workplace.

Answers

Job satisfaction is a critical outcome variable that affects employee motivation, productivity, retention, and organizational performance, while also serving as an important input variable influencing employee attitudes, behaviors, and overall work environment.

1. Job satisfaction is an individual's positive or negative emotional response towards their work. It is an important outcome variable as it influences employee motivation, productivity, retention, and overall organizational performance. It is also an important input variable as satisfied employees are more likely to exhibit positive attitudes, engage in discretionary effort, and contribute to a positive work environment.

Job satisfaction operates as an independent variable as it can influence other variables such as employee attitudes, behaviors, and performance. It also acts as a dependent variable as it can be influenced by various factors such as job characteristics, organizational culture, leadership, and employee engagement. Understanding job satisfaction as both an independent and dependent variable allows managers to identify factors that contribute to employee satisfaction and implement strategies to enhance it.

Job satisfaction plays a crucial role in management theory and practice as it impacts individual and organizational outcomes. By recognizing its dual role as both an independent and dependent variable, managers can focus on creating a positive work environment, improving job design, fostering effective leadership, and implementing employee engagement initiatives to enhance job satisfaction and overall organizational success.

2. Some important workplace attitudes that are easily measured include job engagement, organizational commitment, job involvement, and job stress. Managers measure these attitudes to gain insights into employee perceptions, attitudes, and well-being. By understanding these attitudes, managers can identify areas of improvement, develop targeted interventions, enhance employee satisfaction, and create a positive work culture.

3. Fairness refers to the perception of equitable treatment, unbiased decision-making, and just practices within the workplace. It is important in management theory and practice as it fosters trust, employee morale, and organizational justice. Managers can promote fairness by establishing clear and transparent policies, providing equal opportunities, soliciting employee feedback, addressing concerns promptly, and ensuring consistent and unbiased decision-making. By promoting fairness, managers create a positive work environment, enhance employee satisfaction and engagement, and contribute to a more productive and cohesive workforce.

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To use reward power effectively, a manager should:
a. make the connection clear between the behavior being rewarded and the reward.
b. not be explicit about the behavior being rewarded.
c. inform subordinates of rules and penalties.
d. not select subordinates similar to himself/herself .

Answers

To use reward power effectively, a manager should make the connection clear between the behavior being rewarded and the reward.

Reward power is one of the five bases of power identified by John French and Bertram Raven. Reward power arises from the ability of an individual to influence the others' behaviour by giving them a positive result or reward for compliance.Reward power may be useful in reinforcing good behaviour or encouraging creativity and innovation. Employees may be motivated by the offer of rewards, such as extra vacation time, a pay increase, or bonuses. To use reward power effectively, a manager should make the connection clear between the behaviour being rewarded and the reward.

This would help employees to comprehend the relationship between their behaviour and the reward that is being offered. A manager must use rewards as a motivating factor only if it helps the employees and increases the productivity and efficiency of the company. A company is offering a bonus to an employee who meets certain sales targets. To use reward power effectively, the manager must clarify the relationship between the sales goal and the bonus. The employee should be told what they need to do to receive the reward and what the reward would be, and how it will improve the employee's job satisfaction and personal development.

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Based on predicted production of 25,200 units, a company budgets $390,000 of fixed costs and $478,800 of variable costs. If the company actually produces 19,600 units, what are the flexible budget amo

Answers

The flexible budget amount based on the actual production of 19,600 units is $762,400.

How to solve for the flexible budget amount

Variable cost per unit = Total variable costs / Predicted production

Variable cost per unit = $478,800 / 25,200 units

Variable cost per unit ≈ $19 per unit

Flexible budget variable costs = Variable cost per unit * Actual production

Flexible budget variable costs = $19 * 19,600 units

Flexible budget variable costs = $372,400

The flexible budget amount is the sum of the fixed costs and the flexible budget variable costs:

Flexible budget amount = Fixed costs + Flexible budget variable costs

Flexible budget amount = $390,000 + $372,400

Flexible budget amount = $762,400

Therefore, the flexible budget amount based on the actual production of 19,600 units is $762,400.

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14. One way for auditors to gain an understanding of the client includes 15. risk is the risk that an auditor will express an inappropriate-audit opinion when the financial statements are materially m

Answers

14. One way for auditors to gain an understanding of the client includes using analytical procedures

15. Risk is the risk that an auditor will express an inappropriate-audit opinion when the financial statements are materially misstated.

14. One way for auditors to gain an understanding of the client includes using analytical procedures. Analytical procedures are used by auditors to compare a client's current financial statements to the financial statements of prior periods, as well as to industry benchmarks and expected financial results. By performing analytical procedures, auditors can identify any significant changes or fluctuations that require further investigation. Analytical procedures can be used in all stages of an audit, from planning to completion.

15. Risk is the risk that an auditor will express an inappropriate-audit opinion when the financial statements are materially misstated. This is referred to as audit risk. Audit risk can be broken down into three components: inherent risk, control risk, and detection risk. Inherent risk is the risk that material misstatements exist in the financial statements before any controls are applied. Control risk is the risk that a misstatement will not be prevented or detected on a timely basis by a client's internal controls. Detection risk is the risk that the auditor will not detect a material misstatement during the audit.

In order to minimize audit risk, auditors perform a number of procedures during the audit, including gaining an understanding of the client's business, performing substantive procedures, and obtaining sufficient appropriate audit evidence to support their opinion on the financial statements.

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"The estimated coefficients of every regression will always be subject to an omitted variables bias—so that they are always biased and inconsistent—because it is not possible to control for everything. In other words, omitted variable bias is always present." Do you agree or disagree?

Answers

The statement suggests that every regression will always be subject to an omitted variables bias, leading to biased and inconsistent coefficients. Omitted variable bias refers to the problem that arises when a relevant variable is not included in a regression analysis, resulting in biased estimates of the coefficients of the included variables.

It is true that omitting relevant variables from a regression model can introduce bias and inconsistency in the estimated coefficients. When important variables are excluded, the estimated coefficients may reflect the influence of other correlated variables, leading to biased results. This is especially problematic when the omitted variables are correlated with both the independent variables and the dependent variable.

However, it is important to note that the impact of omitted variable bias depends on the specific context and the magnitude of the omitted variables' influence. In some cases, the bias may be small and inconsequential, while in other cases, it can be significant.

To mitigate omitted variable bias, researchers aim to include as many relevant variables as possible in their regression models, based on theoretical understanding and empirical evidence. Additionally, techniques such as robustness checks, instrumental variables, and control variables can be employed to address potential biases.

In summary, while it is true that omitted variable bias can be a concern in regression analysis, it is not an inherent and unavoidable issue in every regression. Researchers employ various strategies to minimize its impact and improve the reliability of their findings.

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based on the excerpt, which statement provides the best example of incentive for a sumo wrestler to cheat?

Answers

The statement that provides the best example of incentive for a sumo wrestler to cheat is "The sport is surrounded by money and status, and wrestlers who cheat can earn more in a single match than they would in months of clean wrestling.

The excerpt does not mention any explicit incentive for sumo wrestlers to cheat. However, the surrounding money and status of the sport might be enough for wrestlers to justify cheating in order to gain the upper hand in a match.The following statement provides the best example of incentive for a sumo wrestler to cheat based on the excerpt:"The sport is surrounded by money and status, and wrestlers who cheat can earn more in a single match than they would in months of clean wrestling."This statement explains that wrestlers who cheat can earn a lot of money, especially in a single match, which provides a financial incentive for them to cheat, as opposed to wrestling fairly for months with the risk of losing the match.

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A 12-year annual coupon bond is currently selling for its par value of $1,000 with an annual yield of 4%. If the bond is callable at par, what is the effective duration of the bond, assuming rates change by 40 basis points?

Steps need to be typed and not on excel

Answers

The effective duration of the bond, assuming rates change by 40 basis points, is 8.4 years.

A bond is said to be callable if the issuer has the right to redeem the bonds before maturity at a specified call price. The calculation of the effective duration of a callable bond is similar to the calculation of the effective duration of a non-callable bond. However, there is a twist in the calculation of the effective duration of a callable bond.

The effective duration of a callable bond is the weighted average of the possible durations under different interest rate scenarios. For example, for a callable bond with a call option, the bond price depends on the call price. Therefore, the calculation of the effective duration of a callable bond requires that the bond prices are computed for all interest rates at which the bond is likely to be called or not called, and then the weighted average of the bond price durations is computed using the given formula.

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Consider a situation with a household of three: two parents and a 4-year-old child. Both parents bring income to the family. Their child likes teddy bears and always asks the parents to buy one when they shop together as a family. Parents, unable to resist, buy the toys. What are the roles of each family member in terms or brand influencing, purchasing, and using? Both parents are brand influencers and purchasers, and the child is a brand user. Both parents are brand users, and the child is a brand influencer and purchaser. Both parents are brand purchasers, and the child is a brand influencer and user. All three are brand influencers, purchasers, and users.

Answers

The correct answer is the third option: Both parents are brand purchasers, and the child is a brand influencer and user.

Their child likes teddy bears and always asks the parents to buy one when they shop together as a family. In this situation, both parents are brand influencers and purchasers, and the child is a brand user.What is brand influencing?Brand influencing can be described as the process of persuading customers to purchase a specific product from a particular brand.

This is achieved through brand promotion, advertising, or branding strategies that help create a certain impression of the brand in the minds of the consumers. In the given scenario, both parents are brand influencers as they are the ones who bring the teddy bear to the attention of the child and the ones who make the final decision on the purchase.

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Kansas Enterprises purchased equipment for $80,000 on January 1, 2024. The equipment is expected to have a ten-year life, with a residual value of $6,450 at the end of ten years.
Using the double-declining balance method, the book value at December 31, 2025, would be: (Do not round your intermediate calculations)
Multiple Choice
$51,200.
$8,000.
$51,680.
$49,280.

Answers

The book value on December 31, 2025, using the double-declining balance method would be $51,680.

Kansas Enterprises purchased equipment for $80,000 on January 1, 2024. The equipment is expected to have a ten-year life, with a residual value of $6,450 at the end of ten years. Using the double-declining balance method, the book value on December 31, 2025, would be: $51,680 (long answer)The double-declining-balance (DDB) method is a commonly used accelerated depreciation method that involves multiplying the book value at the beginning of each period by a fixed depreciation rate to determine the depreciation expense.

The first step is to determine the straight-line depreciation rate, which is calculated by dividing 1 by the number of years in the asset's useful life. In this case, the straight-line depreciation rate would be calculated as follows: $80,000 - $6,450 = $73,550 Straight-line depreciation rate = 1 / 10 = 0.1Next, double the straight-line depreciation rate to calculate the DDB depreciation rate: DDB depreciation rate = 2 x 0.1 = 0.2Now that we have the DDB depreciation rate, we can calculate the book value at the end of 2024: Year 1 depreciation = $80,000 x 0.2 = $16,000Book value at the end of 2024 = $80,000 - $16,000 = $64,000The book value at the end of 2025 is calculated as follows: Year 2 depreciation = ($64,000 - $6,450) x 0.2 = $11,310, Book value at the end of 2025 = $64,000 - $11,310 = $52,690

However, since the question asks for the book value at December 31, 2025, we need to adjust our answer. The book value at December 31, 2025, is calculated as follows: Days from January 1, 2025, to December 31, 2025, = 365 - 1 = 364Depreciation expense for 2025 = ($52,690 / 365) x 364 = $51,680. Therefore, the book value on December 31, 2025, using the double-declining balance method would be $51,680.

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a poetic device in which lines flow past the end of one verse line and into the next, breaking up a grammatical unit such as subject and verb or verb and object, with no punctuation at the end of the first verse line

Answers

Enjambment and this is a poetic device that poets use to keep lines of a poem moving and to create a certain rhythm.

It is a term that comes from the French word "enjamber," which means "to stride over."Enjambment is used in poetry when a thought, phrase, or sentence does not end with the line of verse. Instead, the thought continues into the next line, creating a sort of "run-on" line.  

Enjambment is that it allows poets to create a sense of continuity between two lines and emphasizes the connection between them. By using enjambment, poets can create a sense of tension or surprise by delaying the conclusion of a phrase or thought to the next line. It also creates a sense of momentum that draws readers into the poem and keeps them engaged.

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