Which of the following statements is true? Multiple Choice Under absorption costing only the fixed manufacturing costs are expensed. When production and sales are equal, net income will be greater under variable costing than it will be under absorption costing. Under absorption costing some fixed manufacturing costs are deferred in ending inventory if production is greater than sales. Under variable costing all manufacturing costs are expensed in the period in which they are incurred regardless of when the inventory is sold.

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Answer 1

Under variable costing all manufacturing costs are expensed in the period in which they are incurred regardless of when the inventory is sold.

This is the true statement among the options provided. 100 words. Variable costing is a method of managerial accounting that assigns only variable manufacturing costs to a product. All fixed manufacturing overhead costs are considered period costs and expensed in the period incurred, rather than being allocated to products. This allows for greater transparency in the costs associated with the production of goods or services. On the other hand, absorption costing is a method of managerial accounting that assigns both fixed and variable manufacturing costs to a product. As a result, under absorption costing, the fixed manufacturing costs are deferred in ending inventory if production is greater than sales. In conclusion, the given statement "Under variable costing all manufacturing costs are expensed in the period in which they are incurred regardless of when the inventory is sold" is true.

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The percentage of receivables method is based on the idea that some portion of the existing accounts receivable will not be collected. some portion of the credit sales will not lead to collections. so

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The percentage of receivables method is based on the idea that some portion of the existing accounts receivable will not be collected, as well as that some percentage of the credit sales will not lead to collections. For example, let's say that a company has $100,000 in accounts receivable, and their credit sales for the year totaled $1,000,000. If the company has a history of bad debt write-offs that average 5% of their receivables and 2% of their sales, the percentage of receivables method would calculate an allowance for doubtful accounts of $5,000 (5% of $100,000) and $20,000 (2% of $1,000,000).An allowance for doubtful accounts is established using the percentage of receivables method. It's also worth noting that the percentage of sales method is an alternate way to calculate the allowance for doubtful accounts. However, the percentage of receivables method is more accurate since it considers the existing accounts receivable balance. Both methods, however, assume that a portion of credit sales will not be collected.

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1. Job descriptions usually define a set of specific tasks and responsibilities that are performed by a particular job-holder. Specific tasks are usually expressed in terms of outputs; for example, 'to maintain filing and record systems. They tend to specify a narrow set of behaviours defined as a job. It typically includes employee characteristics required for competent performance of the job. However, a job description usually describes and focuses on the job itself and not on any specific individual who might under take that particular job.

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Job descriptions mainly define a specific set of tasks and duties that are executed by a job holder. The explanation of job descriptions can be defined as an important communication tool for both the organization and the employee. It is vital to have a job description to identify the expectations and responsibilities associated with a job. It also helps the organization in recruitment, selection, training, development, and performance appraisal activities.

The job description mainly focuses on the job itself and not on the individual who might undertake that specific job. It typically includes employee characteristics that are essential for the competent performance of the job. Specific tasks are often expressed in terms of outputs; for example, 'to maintain filing and record systems. Job descriptions are structured documents that set out the minimum expectations of employees in terms of job roles, responsibilities, and requirements. The job description typically describes the key duties, responsibilities, and performance expectations associated with the job. Therefore, it is essential to ensure that the job description is accurate, comprehensive, and up-to-date. Job descriptions are essential as they help the organization in identifying the expectations, job roles, and requirements of the job. It is crucial to ensure that the job description is clear, concise, and well-written so that potential candidates can have a clear understanding of the job expectations. Job descriptions help in ensuring that employees understand their roles and responsibilities in the organization. In summary, the job description is an essential document that helps in identifying the expectations and responsibilities associated with a job.

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Tenbaba stock is trading at ¥ 100 per share. Tenbaba is going through an antitrust trial with a verdict scheduled 30 days from now.

This trial case is make or break --- If Tenbaba wins the case, the stock price will rise significantly, otherwise it will drop significantly.

You believe the option market has not fully incorporated this information regarding the Tenbaba trial. Design the most suitable portfolio for profiting from the Tenbaba trial.

What security (securities) should you buy or sell?
Draw the payoff graph of your portfolio as a function of ST, price of Tenbaba stock 30 days from now.

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The Tenbaba stock is presently trading at ¥ 100 per share. The firm is presently undergoing an antitrust trial with a verdict scheduled 30 days from now.

In this regard, the trial case is make or break: if Tenbaba wins the case, the stock price will rise significantly, otherwise, it will drop significantly. It is assumed that the option market has not fully incorporated this information regarding the Tenbaba trial. The most suitable portfolio for profiting from the Tenbaba trial can be created as follows:Security: A call option on Tenbaba stock with a strike price of ¥ 100. It can be regarded as the most appropriate security to buy as it is relatively inexpensive and allows investors to participate in any price increases in the underlying asset. It is also viewed as a bullish bet that profits from a price increase in the underlying asset.Option price: ¥ 5 per sharePayoff function = Max [0, ST - 100] - 5.Draw the payoff graph of your portfolio as a function of ST, the price of Tenbaba stock 30 days from now:As the payoff function is equal to max [0, ST-100]-5, it should be noted that it will not become operational until the stock price exceeds ¥105.

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the human resource manager is looking for a replacement for an excellent former employee, so she compares all potential hires to that employee.

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The human resource manager is using the excellent former employee as a benchmark to evaluate potential hires.

The human resource manager is engaging in a comparative evaluation method known as benchmarking. By comparing potential hires to the excellent former employee, the manager is using that employee as a benchmark or standard of comparison. This approach allows the manager to assess the qualifications, skills, and characteristics of candidates in relation to the known high-performing employee. Benchmarking helps the manager identify individuals who possess similar or superior qualities to the previous employee, increasing the likelihood of finding a suitable replacement. This method can be effective in identifying candidates who have the potential to excel in the role based on their alignment with the qualities and performance of the benchmark employee.

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Manufacturing businesses are more. 1900 QUESTION 36 During his webinar presentation, Ahmed asked his audience about which type of ethics endeavors to support professionals decide what to do, when they confront a situation that raises an ethical question or moral problem?

A. Professional ethics
B. Organizational ethics
C. Business ethics
D.Ethical climate

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Ahmed asked his audience about the type of ethics that supports professionals to decide what to do when they face a situation that raises ethical or moral issues. The correct option is A. Professional ethics.

Manufacturing businesses are more systematic and rely on standard operating procedures. They require more investment in plants, machinery, and people. They also need a supply chain, which requires coordination and collaboration between different players. Manufacturing businesses are generally more profitable than service businesses, but they require a higher level of investment and management expertise. Professional ethics is the type of ethics that supports professionals to decide what to do when they face ethical or moral issues.

Professional ethics ensure that professionals uphold the highest standards of honesty, integrity, and objectivity when carrying out their duties.Professional ethics is different from business ethics, organizational ethics, and ethical climate. Business ethics is the study of how businesses should conduct themselves to ensure that they are ethical and responsible. Organizational ethics, on the other hand, focuses on how organizations should behave to ensure that they are ethical and responsible. Ethical climate refers to the prevailing ethical values, norms, and behaviors within an organization.

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Hardmon Enterprises is currently an all-equity firm with an expected return of 17.1%. It is considering borrowing money to buy back some of its existing shares. Assume perfect capital markets.
a. Suppose Hardmon borrows to the point that its debt-equity ratio is 0.50. With this amount of debt, the debt cost of capital is 6%. What will be the expected return of equity after this transaction?
b. Suppose instead Hardmon borrows to the point that its debt-equity ratio is 1.50. With this amount of debt, Hardmon's debt will be much riskier. As a result, the debt cost of capital will be 8%. What will be the expected return of equity in this case?
c. A senior manager argues that it is in the best interest of the shareholders to choose the capital structure that leads to the highest expected return for the stock. How would you respond to this argument?

a. Suppose Hardmon borrows to the point that its debt-equity ratio is 0.50. With this amount of debt, the debt cost of capital is 6%. What will be the expected return of equity after this transaction?
The expected return is ____% (Round to two decimal places.)

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a) The expected return of equity after the transaction is 11.55%. b) The expected return of equity in the case is 20.55%. c) The response to the argument is that equity and debt cost should be balanced. a) The expected return is 6%.

a) With debt-equity ratio = 0.50, we can calculate the weights of debt and equity respectively.

Using the formula, WACC = wd * kd * (1 - T) + we * ke.

WACC = 6% * 0.5 + 17.1% * 0.5

WACC = 0.03 + 0.0855

WACC = 0.1155 = 11.55%

Thus, the expected return of equity after this transaction is 11.55%.

b) With debt-equity ratio = 1.50, we can calculate the weights of debt and equity respectively.

Using the formula, WACC = wd * kd * (1 - T) + we * ke.

WACC = 8% * 1.5 + 17.1% * 0.5

WACC = 0.12 + 0.0855

WACC = 0.2055 = 20.55%

Thus, the expected return of equity after this transaction is 20.55%.

c) The senior manager's argument is not completely valid because if the company chooses the capital structure with the highest expected return, the level of risk increases accordingly, which ultimately increases the WACC. Thus, the optimal capital structure should be the point where the WACC is the lowest, not where the expected return is the highest. This means that the company should choose the point where the cost of equity and debt is balanced.

a) The WACC formula is:

WACC = W_d * Cost of Debt + W_e * Cost of Equity

In this case, the debt cost of capital (Cost of Debt) is given as 6%, and we need to calculate the cost of equity.

Since the total debt and equity must sum up to 100% of the firm's value, we can determine the weight of equity as:

W_e = 1 - W_d = 1 - 0.50 = 0.50

Now we can calculate the expected return of equity:

WACC = W_d * Cost of Debt + W_e * Cost of Equity

0.06 = 0.50 * 0.06 + 0.50 * Cost of Equity

0.06 = 0.03 + 0.50 * Cost of Equity

0.03 = 0.50 * Cost of Equity

Cost of Equity = 0.03 / 0.50 = 0.06 = 6%

Therefore, the expected return of equity after this transaction is 6%.

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Mary-Cook Corporation issued 200,000 shares of $20 par value, 5% preferred stock on January 1, 2018, for $4,500,000. In December 2020, Mary-Cook declared its first dividend of $800,000. (a) Your answe

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The journal entry to record the issuance of the preferred stock is as follows:

Accounts                                                                                      Debit              Credit

Cash                                                                                             $4,500,000

Preferred Stock                                                                                                  $4,000,000

Paid-In Capital in Excess of Par Value—Preferred Stock                                $500,000

The journal entry to record the issuance of the preferred stock is based on the concept that the amount received from the issuance of the preferred stock should be split into two parts: the preferred stock and the paid-in capital in excess of the par value of the preferred stock.

The cash account is debited for the total amount of cash received for the preferred stock, which is $4,500,000. The preferred stock account is credited for the par value of the preferred stock issued, which is 200,000 shares × $20 par value = $4,000,000. The paid-in capital in excess of par value—preferred stock account is credited for the difference between the cash received and the par value of the preferred stock issued, which is $4,500,000 cash received − $4,000,000 par value of preferred stock = $500,000.

Note: The question is incomplete. The complete question probably is: Mary-Cook Corporation issued 200,000 shares of $20 par value, 5% preferred stock on January 1, 2018, for $4,500,000. In December 2020, Mary-Cook declared its first dividend of $800,000. Prepare Mary-Cook's journal entry to record the issuance of the preferred stock.

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All of the following items are characteristics of a corporation except: a. separate legal existence. b. transferable ownership rights. c. limited life. d. ability to acquire capital.

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Corporation is a business organization that is formed to carry out the business activities in an efficient and effective manner. The given options are the characteristics of the corporation. But one option is not a characteristic of the corporation. We have to find that option.  

The option that is not a characteristic of the corporation is limited life. This is because, in the case of the corporation, it has a perpetual life as it has a separate legal entity and existence, which means that the corporation can continue its operation even if its shareholders and board of directors are changed. Also, the transferable ownership rights and the ability to acquire capital are the characteristics of the corporation. The shareholders can easily transfer their ownership rights, and the corporation can also raise capital by issuing shares and bonds to the public. Therefore, the correct option is (c) limited life, which is not a characteristic of the corporation. The corporation is a type of business organization that is formed under the laws of a particular state or country to carry out the business activities efficiently. It has a separate legal entity, which means that it can sue or be sued in the court of law. Moreover, it has limited liability, which means that the shareholders are only liable to the extent of their investment in the corporation.

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write around 600 or more words discussing in detail how Jumia manages its distribution cost tradeoffs, and how it justifies the costs with higher customer responsiveness rates?

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Jumia is an online marketplace that offers a wide range of products and services. Jumia is an e-commerce platform that was established in Nigeria in 2012, and it has since expanded to other African countries such as Kenya, Egypt, and Ivory Coast.
Distribution Costs Tradeoffs
One of the main challenges that Jumia faces in managing its distribution costs is finding the right balance between cost and customer responsiveness. Jumia is a company that relies on a network of third-party vendors to deliver its products to customers. This creates a complex logistics network that requires significant investment in infrastructure and personnel.
Managing Distribution Costs
Jumia has developed a system for managing its distribution costs that includes the use of third-party logistics providers (3PLs) and investment in last-mile delivery infrastructure. The use of 3PLs allows Jumia to leverage the expertise of logistics providers while maintaining control over its logistics network.
Justifying Distribution Costs
Jumia justifies its distribution costs by providing a high level of customer responsiveness. Jumia has developed a system that allows it to respond quickly to customer inquiries and complaints. Jumia provides customer service through a variety of channels, including phone, email, and social media.
Conclusion
In conclusion, Jumia has developed a system for managing its distribution costs that allows it to balance cost and customer responsiveness. Jumia invests in infrastructure and personnel to deliver products to customers quickly and efficiently, while also maintaining control over its logistics network.

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3 Part 2 of 3 3 points eBook Print ច References [The following information applies to the questions displayed below.] Information on Kwon Manufacturing's activities for its first month of operations follows: a. Purchased $100,300 of raw materials on credit. b. Materials requisitions show the following materials used for the month. Job 201 $ 48,500 Job 202 23,900 Total direct materials 72,400 Indirect materials 8,920 Total materials used $ 81,320 c. Time tickets show the following labor used for the month. Job 201 $ 39,500 Job 202 12,900 Total direct labor 52,400 Indirect labor 24,500 Total labor used $ 76,900 d. Applied overhead to Job 201 and to Job 202 using a predetermined overhead rate is 80% of direct materials cost. e. Transferred Job 201 to Finished Goods Inventory. f. (1) Sold Job 201 for $164,660 on credit.

Answers

The ending finished goods inventory (F/G) is $64,300.

To compute the cost of goods sold (COGS), we must first determine the cost of goods manufactured (COGM) by adding the total manufacturing cost to the beginning work in process (WIP) and deducting the ending WIP. Finally, we will subtract the COGS from COGM to get the ending finished goods inventory (F/G).

Therefore, the cost of goods sold (COGS) is $100,000.

COGM is the sum of direct materials, direct labor, and manufacturing overhead incurred in manufacturing a product.

It is calculated using the following formula:

Direct Materials + Direct Labor + Manufacturing Overhead = Total Manufacturing Cost.

Therefore, COGM = $72,400 (Total materials used) + $52,400 (Total labor used) + $64,960 (80% of $81,320 total direct material cost)COGM = $189,760

Beginning Finished Goods Inventory + Cost of Goods Manufactured (COGM) - Cost of Goods Sold (COGS) =

Ending Finished Goods Inventory (F/G)F/G =

$39,200 (Beginning F/G Inventory) + $189,760 (COGM) - $164,660 (COGS)F/G =

$64,300.

Therefore, the ending finished goods inventory (F/G) is $64,300.

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The trust deed of bond indenture contains the features of the conditional agreement between the ling firm and the bond investors. Which of the following must be contained in the bond indenture of agreement? I. coupon interest rate 11 coupon interest payment date II. convertible feature with a conversion ratio IV. voting rights of the bontholder O, and only O and only O and IV only O, and only

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The coupon interest rate and coupon interest payment date must be contained in the bond indenture of agreement. Therefore, the answer is: O, and only O.

A bond indenture is a written agreement between the issuer and the bondholders that defines the specifics of the bond offering, such as coupon interest rate, maturity date, conversion features, and whether the bonds are secured or unsecured.

A coupon interest rate is the percentage of the bond's par value that the issuer pays the bondholder each year in interest. The coupon interest rate is set at the time of the bond issue and does not change throughout the life of the bond. Coupon interest payments are usually paid semi-annually.

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1. ROLE PLAY 4- You are an E- marketer , you are promoting online for your product , choose the product , then write your plan for the following in the regarding A. Your marketing strategy B. Points you will focus C. Your ABOUT US part(tech no marketing)
2. how the values attributed to money can limit or enhance the enjoyment of your life? give examples

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1. ROLE PLAY 4- You are an E- marketer , you are promoting online for your product , choose the product , then write your plan for the following in the regarding A. Your marketing strategy B. Points you will focus C. Your ABOUT US part (tech no marketing).

A. Marketing Strategy: Marketing strategy is the approach used by a company to communicate its brand, products, and services to its target audience. For our online product, the marketing strategy will be based on the following principles:Know your target audience.Set realistic goals.Keep your brand consistent.Communicate your USP in a clear and concise manner.Engage with your audience.B. Points you will focus: While promoting the product online, we will be focusing on the following points:Target audience (age group, demographics, interests, etc.)The benefits of the productProduct features and specificationsThe availability of the product (i.e., delivery time, shipping charges, etc.)C. ABOUT US part (tech no marketing): The ABOUT US page is one of the most important pages on a website. It helps customers get to know the company, its mission, and its values. For our ABOUT US page, we will focus on the following:Our company's historyOur mission statementOur core valuesOur team of expertsOur commitment to quality2. How the values attributed to money can limit or enhance the enjoyment of your life? give examples: The values attributed to money can limit or enhance the enjoyment of your life in the following ways:Limitations of values attributed to money:Greed and obsession with money can cause a person to become selfish, and they may begin to focus solely on money rather than their happiness. This can lead to depression, loneliness, and other psychological problems. For example, a businessman who spends most of his time working may miss out on important moments with his family and loved ones.Enhancements of values attributed to money:Having money can enhance your enjoyment of life by providing you with the financial freedom to do the things you love. For example, if you have the money, you can travel to exotic locations, eat at fancy restaurants, and buy the latest gadgets. In addition, money can provide you with a sense of security and stability, which can lead to a happier life. For example, having enough money in savings can give you peace of mind during tough times.

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Barbara borrows $2600. She agrees to make monthly interest payments on the loan and will build up a sinking fund with monthly deposits to repay the principal with a single payment 17 months from now. If the interest being charged on the loan is j12 = 9% and the interest being earned on the sinking fund is j12 = 5.7%, what is the monthly cost of the debt for Barbara?

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The monthly cost of the debt for Barbara is $91.39.

Given,

Principal borrowed, P = $2600

The interest rate charged, j12 = 9% = 0.09 per month

The interest rate earned, j12 = 5.7% = 0.057 per month

The monthly cost of debt for Barbara can be calculated using the formula;  C = [(j12-i)P(1+i)n]/[(1+i)n-1]

Where j12 is the interest rate charged,

i is the interest rate earned, P is the principal borrowed,

and n is the total number of monthly payments.

First, we need to calculate the value of n.

As given, Barbara will make monthly deposits for 17 months to repay the principal with a single payment.

So, the total number of monthly payments, n = 17.

Next, we calculate the monthly cost of debt using the above formula.

C = [(j12-i)P(1+i)n]/[(1+i)n-1]C

= [(0.09-0.057)×2600(1+0.057)17]/[(1+0.057)17-1]C

= $91.39 (approx.)

Therefore, the monthly cost of the debt for Barbara is $91.39.

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Shepherd Nonprofit had the following information related to its investment balances during the fiscal year ended June 30, 2021. Beginning investments $1,200,000 Ending investments $1,460,000 Purchases of investments $500,000 Proceeds from sale of investments $220,000 Realized loss on sale of investments $30,000 Report the section(s) in the statement of cash flows (using the indirect method) where investment transactions would appear, including the direction and amount associated with each.

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Investment transactions in the statement of cash flows: realized loss in operating activities, purchases as cash outflow, proceeds as cash inflow in investing activities.

In the statement of cash flows (using the indirect method), investment transactions would typically appear in two sections: the operating activities section and the investing activities section.

1. Operating Activities Section:

Adjustments for net realized gain/loss on sale of investments:

Since there was a realized loss of $30,000 on the sale of investments, it would be subtracted as an adjustment to net income in the operating activities section.

Investing Activities Section:

2. Purchases of investments:

The $500,000 purchases of investments would be shown as a cash outflow (negative amount) in the investing activities section, as it represents a use of cash.

3. Proceeds from the sale of investments:

The $220,000 received from the sale of investments would be shown as a cash inflow (positive amount) in the investing activities section, as it represents a source of cash.

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Mohammed has been working at Bahrain International Airport on shifts since 2019, and joined the University of Applied Sciences a year ago to study bachelor's degree - a business administration major.
He began to face many challenges in order to complete his studies successfully.
Most of the materials arebased on applied research, which the student must work on within a team, and therefore Mohammed found it difficult to choose a team that is cooperative and able to complete the task properly, despite knowing the availability of a library containing various electronic sources that Mohammed does not have enough time to explore, which is also a result of the use of the purchase of research from commercial offices, and other times he resorted to contacting students who had already passed similar materials in order to obtain On previous research and duties, not to take advantage of the materials and apply them in his work and raise his level of educational attainment as he had hoped;
Mohammed, on the other hand, believes that most lectures are boring in nature, and do not tend to renew and innovate, and the size of the use of lecture time ( 90 minutes) is not enough, because the lecturer has to take part of the time to register attendance and absence, prepare for the lecture by running the presentation segments, and follow up the records for students in order to hand over duties and research within the specified time.
On the other hand, the University of Applied Sciences organizes many activities and programs that student Mohammed is unable to attend despite its importance in developing the behavior and thinking of students and upgrading them intellectually and culturally.
Mohammed sees university mobility during peak times a little slow, because it depends on electric elevators, so Mohammed needs some time to move from one lecture to another, especially when his lecture schedule is consecutive.
Muhammad is shy and speechless, so you always find him a little involved in the classroom and research presentations have not affected the development of his skill in theunder-speech and throwing much.
Student Mohammed still faces difficulties studying and being able to take advantage of the time limit to effectively finish answering questions in exam rooms despite passing the first year successfully.
The obsession with graduation continues to haunt Mohammed because of the difficulties and challengeshe faces as a student and employee.
After reading the previous case study, answer the following questions:
1. Extract 3 challenges that you would like to improve after reading the case study? Then use the Scamper method
SCAMPER is developing solutions to these challenges?

Answers

After analyzing the case study, three challenges that Mohammed faces can be identified:

1. Challenge 1: Difficulty in finding a cooperative and competent team for applied research tasks.

  - SCAMPER Solutions:

    - Substitute: Explore alternative methods of forming teams, such as assigning teammates or utilizing online collaboration platforms.

    - Combine: Form cross-functional teams consisting of students from different majors to bring diverse perspectives.

    - Adapt: Provide training and guidance to teams on effective teamwork, communication, and task completion.

    - Modify: Implement a peer-review system to ensure accountability and quality in team projects.

    - Put to another use: Utilize the university's mentorship programs to pair experienced students with newcomers.

    - Eliminate: Discourage the purchase of research from commercial offices by emphasizing the importance of independent work and originality.

    - Rearrange: Organize team-building activities and workshops to foster cooperation and team dynamics.

2. Challenge 2: Boring lectures and time constraints during class sessions.

  - SCAMPER Solutions:

    - Substitute: Incorporate interactive teaching methods, such as group discussions, case studies, or guest speakers.

    - Combine: Integrate online learning platforms or pre-recorded lectures to free up class time for more engaging activities.

    - Adapt: Provide lecture materials and resources in advance to allow students to review and prepare beforehand.

    - Modify: Optimize lecture schedules to allocate more time for interactive sessions and reduce administrative tasks.

    - Put to another use: Utilize technology for attendance registration, assignment submission, and record-keeping to save time during lectures.

    - Eliminate: Streamline administrative processes to minimize time spent on non-academic tasks during class.

    - Rearrange: Implement shorter, focused lectures supplemented by practical workshops and hands-on activities.

3. Challenge 3: Limited participation in extracurricular activities and programs.

  - SCAMPER Solutions:

    - Substitute: Offer virtual alternatives for activities and programs to accommodate students with scheduling constraints.

    - Combine: Integrate extracurricular activities into academic coursework to provide opportunities for intellectual and personal development.

    - Adapt: Provide flexible scheduling options for extracurricular activities, including evenings and weekends.

    - Modify: Communicate the importance and benefits of participating in extracurricular activities to motivate and encourage student involvement.

    - Put to another use: Collaborate with local organizations or businesses to provide off-campus opportunities for students' development.

    - Eliminate: Assess the relevance and impact of current activities and programs, and replace or eliminate those with limited participation or impact.

    - Rearrange: Create a centralized platform or calendar to effectively communicate and promote upcoming activities and programs.

By utilizing the SCAMPER method, these solutions aim to address the challenges faced by Mohammed, enhance his learning experience, and support his successful completion of studies.

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A U.S. investor obtains Norwegian krone (NOK) when the exchange rate is worth NOK10.0000/S and invests in a one-year money market security that provides a yield of 4 percent annually (in Norwegian krone). At the end of one year, the investor converts the Norwegian krone proceeds from the investment back to dollars at the prevailing spot exchange rate of NOK8.0000/$. How many percent is the effective yield for the U.S. investor in U.S. dollar terms. (Note: Use the exact
method).

Answers

The percent that is effective yield for the U.S. investor in U.S. dollar terms is 30%

Given data:

Initial exchange rate (USD/NOK) = USD 1 / NOK 10.0000

Money market yield in NOK = 4%

The spot exchange rate after one year (USD/NOK) = USD 1 / NOK 8.0000

To calculate the effective yield for the U.S. investor in U.S. dollar terms, we need to consider both the yield on the money market security and the exchange rate change.

The initial investment in Norwegian krone (NOK) is 10.0000 NOK. After one year, with a 4 percent yield, the investment will grow to:

10.0000 NOK × (1 + 0.04) = 10.4000 NOK

Now, the investor converts the NOK proceeds back to dollars at the spot exchange rate of NOK8.0000/$. Therefore, the final amount in dollars will be:

10.4000 NOK ÷ 8.0000 NOK/$ = 1.3000 $

To calculate the effective yield, we need to find the percentage change from the initial investment to the final amount in dollars. The formula for percentage change is:

(Ending Value - Beginning Value) ÷ Beginning Value × 100

Using the values:

(1.3000 - 1.0000) ÷ 1.0000 × 100 = 30.00%

Effective yield = 30.00%.

Therefore, the effective yield for the U.S. investor in U.S. dollar terms is 30.00%.

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Icemoon Incorporation has bonds with 12 years to maturity, a par value of $1.000, a YTM of 8 percent, and a current price of 847.53. The bonds make semiannual payments. What must be the coupon rate be on these bonds?
a. 5.73 percent b. 4 percent c. 6 percent d. 7.52 percent e. 8.73 percent

Answers

The coupon rate on the bonds must be 8.73 percent. The coupon rate represents the annual interest payment as a percentage of the bond's par value.

To find the coupon rate, we need to calculate the annual coupon payment that would result in a present value equal to the current price of the bond.

Given:

Maturity of the bond (years): 12

Par value: $1,000

Yield to maturity (YTM): 8%

Current price: $847.53

Semiannual coupon payments

We can break down the calculation into the following steps:

   Determine the number of periods: Since the bond makes semiannual payments and has a maturity of 12 years, there will be 24 periods (12 years * 2 periods per year).

   Calculate the periodic interest rate: The yield to maturity (YTM) is given as an annual rate. Since the bond makes semiannual payments, we need to divide the YTM by 2 to get the periodic interest rate. In this case, the periodic interest rate is 8% / 2 = 4%.

   Calculate the present value of the bond's cash flows: We need to calculate the present value of the bond's future cash flows (coupon payments and the final principal repayment). Using the given YTM of 8%, we can discount the cash flows and sum them up to get the present value. The current price of $847.53 represents this present value.

   Calculate the annual coupon payment: We can subtract the present value of the final principal repayment from the total present value to obtain the present value of the coupon payments. Divide this present value by the number of periods to get the annual coupon payment.

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What is design audit? What are the purposes of design
audit? Explain 2 of them.

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A design audit is a process of evaluating the effectiveness and quality of a company's design. The goal of a design audit is to identify areas where design can be improved to better serve the needs of the company and its customers. The purposes of design audit are:

1. Improving design quality and consistency - One of the most significant purposes of a design audit is to assess the consistency and quality of the company's design output. A design audit can help ensure that all of the design work meets the company's standards and guidelines and helps to identify any areas where improvements can be made.

2. Enhancing user experience - Another purpose of a design audit is to identify areas where the user experience can be improved. Design audits can help companies identify user pain points and make improvements to enhance the overall experience of their products or services. By addressing user needs and expectations, companies can create a better user experience and drive customer satisfaction.

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Which of the following must be included on a website to make a physical store show up in local search results? A. The store's social media addresses B. The store's available products
C. The store's street address D. The store's photograph

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The option is C. The store's street address must be included on a website to make a physical store show up in local search results.

The purpose of a local search is to find the location of a company or store that sells specific items or services. In most cases, people are searching for companies that are nearby their locations, meaning that the location of the store is an important factor in these searches. To ensure that physical stores show up in local search results, businesses must ensure that their physical address is available on their website. This information can also be included on directories such as Yelp and Go-ogle My Business, which are popular directories used for local search results. Other details that could also be added are business hours, product information, and contact information. Nonetheless, the physical address is an essential detail for local search results. Thus, the answer is C. The store's street address.

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1. Conduct some analysis to demonstrate the impact on their budget if Kevin accepts the new job opportunity and explain how it impacts their finances.

Answers

To assess the impact of Kevin accepting the new job opportunity on their budget, consider several factors, including changes in income, expenses, and overall financial situation. Here's an analysis to demonstrate the potential impact:

1. Increased Income:

  - Calculate Kevin's new salary from the job opportunity and add it to their existing income.

  Determine the frequency of payment (monthly, bi-weekly, etc.) to estimate the additional income they will receive each period.

2. Tax Implications:

  - Consider the impact of the new job on their tax bracket. A higher income may result in a higher tax rate and increased tax liability.

  - Review the applicable tax laws and calculate the approximate tax amount based on the new income level.

3. Adjusted Expenses:

  - Evaluate their current budget and identify any expenses that may change due to Kevin's new job.

  - Consider factors such as commuting costs, work-related expenses, and potential changes in lifestyle or spending patterns.

4. Debt and Savings:

  - Determine if there will be any changes in debt obligations, such as loan repayments, credit card balances, or mortgage payments.

  - Assess their savings goals and consider whether they can allocate a portion of the increased income towards retirement savings, emergency fund, or other financial goals.

5. Overall Financial Picture:

  - Calculate their new net income by subtracting taxes and adjusted expenses from their total income.

  - Compare the new net income to their current net income to assess the percentage increase or decrease.

  - Consider the impact on their ability to meet financial obligations, save for the future, and achieve their financial goals.

By conducting this analysis, Kevin and Tyra can gain a clearer understanding of how accepting the new job opportunity will impact their budget. It will help them assess whether the increased income is sufficient to cover their expenses, maintain their desired lifestyle, and make progress towards their financial goals.

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Ranga Ramasesh is the operations manager for a firm that is trying to decide which one of four countries it should research for possible outsourcing providers. The first step is to select a country based on cultural risk factors, which are critical to eventual business success with the provider. Ranga has reviewed outsourcing provider directories and found that the four countries in the table that follows have an ample number of providers from which they can choose. To aid in the country selection step, he has enlisted the aid of a cultural expert, John Wang, who has provided ratings of the various criteria in the table. The resulting ratings are on a 1 to 10 scale, where 1 is a low risk and 10 is a high risk. John has also determined six criteria weightings: Trust, with a weight of 0.4; Quality, with 0.2; Religious, with 0.1; Individualism, with 0.1; Time, with 0.1; and Uncertainty, with 0.1. Using the factor-rating method, which country should Ranga select?

Answers

Based on  the calculated weighted scores, Germany has the highest score of 7, indicating it has the most favorable cultural risk factors among the four countries.

What is the terms about?

Using hypothetical scenario: To know  the weighted score for each country, one has to multiply each rating by its corresponding weight and sum them up:

India:

Weighted Score = (6 * 0.4) + (7 * 0.2) + (4 * 0.1) + (6 * 0.1) + (3 * 0.1) + (7 * 0.1)

= 2.4 + 1.4 + 0.4 + 0.6 + 0.3 + 0.7

= 5.8

China:

Weighted Score = (5 * 0.4) + (6 * 0.2) + (7 * 0.1) + (4 * 0.1) + (7 * 0.1) + (5 * 0.1)

= 2 + 1.2 + 0.7 + 0.4 + 0.7 + 0.5

= 5.5

Brazil:

Weighted Score = (4 * 0.4) + (5 * 0.2) + (6 * 0.1) + (7 * 0.1) + (6 * 0.1) + (6 * 0.1)

= 1.6 + 1 + 0.6 + 0.7 + 0.6 + 0.6

= 5.1

Germany:

Weighted Score = (8 * 0.4) + (8 * 0.2) + (3 * 0.1) + (8 * 0.1) + (8 * 0.1) + (3 * 0.1)

= 3.2 + 1.6 + 0.3 + 0.8 + 0.8 + 0.3

= 7

So, according to the calculated weighted scores, Germany has the highest score of 7, indicating it has the most favorable cultural risk factors among the four countries.

Therefore, Ranga need to select Germany for further research as a potential outsourcing provider.

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The used ratings.

The ratings provided by the cultural expert, John Wang, are as follows:

Country | Trust | Quality | Religious | Individualism | Time | Uncertainty

India | 6 | 7 | 4 | 6 | 3 | 7

China | 5 | 6 | 7 | 4 | 7 | 5

Brazil | 4 | 5 | 6 | 7 | 6 | 6

Germany | 8 | 8 | 3 | 8 | 8 | 3

Question 5 (This question has three parts (a),(b) and (c))
(a) After observing that the interest rate on the Japanese Yen is much higher than the interest rate on the US dollar, a Japanese investor decides to borrow USD, converts to JPY to invest in a Japanese term deposit. On 1st April 2021, the investor borrows 10 million USD for 1 year at the rate of 0.5% p.a. to invest in the Japanese term deposit which pays 3% p.a. The USD/JPY exchange rate on 1st April 2021 is 112.97-03. With 1 million USD, how much Japanese Yen the investor is able to get?
(b) Suppose that the investor puts the amount of JPY in a Japanese saving account and earns an interest of 3% p.a. After 1 year, the investor needs to convert JPY back to USD to repay the loan in USD. How much JPY does the investor have after 1 year?
(c) How much does the investor need to pay the U.S. bank in USD? Suppose that the investor decides to convert all the amount of JPY he has to USD on 1st April 2022, the JPY/USD exchange rate is 108.55-62, how much USD does he have after conversion? After repaying the US bank, did the investor make a gain or loss on his investment? How much was the gain or loss?

Answers

We can see here that:

(a) The investor can get 112,970,000 Japanese Yen with 1 million USD.

(b) The investor will have 116,557,100 Japanese Yen after 1 year.

(c) The investor needs to pay 9,527,750 USD to the U.S. bank.

(d) The investor has a loss of 472,250 USD.

How we arrived at the solution?

(a) The USD/JPY exchange rate on 1st April 2021 is 112.97-03. This means that 1 USD can be exchanged for 112.97 Japanese Yen. Therefore, 1 million USD can be exchanged for 112,970,000 Japanese Yen.

(b) The investor invests 10 million USD in a Japanese term deposit which pays 3% p.a. This means that the investor will earn an interest of 300,000 USD after 1 year. The investor also puts the amount of JPY in a Japanese saving account and earns an interest of 3% p.a. This means that the investor will earn an interest of 3,377,100 Japanese Yen after 1 year. Therefore, the investor will have 116,557,100 Japanese Yen after 1 year.

(c) The investor needs to repay the loan of 10 million USD to the U.S. bank. The JPY/USD exchange rate on 1st April 2022 is 108.55-62. This means that 10 million USD can be exchanged for 1085,571 Japanese Yen. Therefore, the investor needs to pay 9,527,750 USD to the U.S. bank.

(d) The investor has a loss of 472,250 USD. This is because the investor borrowed 10 million USD and had to repay 9,527,750 USD. The loss is calculated as follows:

Loss = 10,000,000 USD - 9,527,750 USD = 472,250 USD

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Week-2 Discussion, Keep Calm and Adjust... A Elliot Simmons owns a small law firm. He does the accounting himself and uses an accrual basis for accounting. At the end of his first month, he reviews his records and realizes there are a few inaccuracies on this unadjusted trial balance. One difference is the supplies account; the figure on paper does not match the value of the supplies inventory still available. Another difference was interest earned from his bank account. He did not have anything recognizing these earnings. Why did his unadjusted trial balance have these errors? What can be attributed to the differences in supply figures? What can be attributed to the differences in interest earned?

Answers

The unadjusted trial balance had errors due to unrecorded supplies usage and unacknowledged interest income, requiring adjustments for accurate reporting.

Elliot Simmons' unadjusted trial balance had discrepancies because he did not account for the reduction in supplies as they were used, resulting in an inaccurate supplies account. To rectify this, Elliot should conduct a physical count of the supplies on hand, adjust the supplies account to match the actual inventory value, and recognize the supplies used as an expense. Additionally, Elliot did not record the interest income earned from his bank account.

To address this, he should review bank statements, determine the interest earned during the month, and record it as revenue, even if it has not been received. These adjustments ensure accurate financial reporting and align the trial balance with the actual state of affairs.

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What will make the tax evasion increase? Use the tax evasion model to answer this question. 單選: a. Increase marginal penalty. b. Increase probability of audit. c. Decrease marginal tax rate. d. Increase marginal tax rate.

Answers

"Increase probability of audit" is the correct option because according to the tax evasion model, if the probability of getting audited and caught is high, it would deter individuals from committing tax evasion. The higher the probability of getting audited, the more likely people are to pay their taxes and avoid penalties.

What is Tax Evasion? Tax evasion is an illegal act that involves not reporting or underreporting taxable income, overclaiming deductions, hiding assets, or not paying taxes altogether. Tax evasion is a crime, and the punishment for evading taxes can be severe, including hefty fines and jail time.

The tax evasion model proposes that if people perceive the probability of getting audited or caught as low, they would be more likely to engage in tax evasion. If the probability of getting audited and caught is high, it would deter individuals from committing tax evasion. The higher the probability of getting audited, the more likely people are to pay their taxes and avoid penalties.In the given options, all except option b would lead to decrease tax evasion. An increase in the probability of audit would increase the chances of getting caught, leading to a decrease in tax evasion, thus option b is the correct answer.

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In the context of Lev and Thiagarajan (1993), explain the possible connection between earnings quality and the earnings response coefficient. (5 marks).

Answers

A strong relationship between earnings and future stock returns is more likely when earnings quality is high. In contrast, low-quality earnings may cause the connection between current earnings and future stock returns to be weakened, resulting in a low ERC.

Lev and Thiagarajan (1993) posited that earnings quality and the earnings response coefficient may be connected in a variety of ways. Their study seeks to examine the relationship between earnings quality and the earnings response coefficient (ERC).

The earnings response coefficient (ERC) is an important measure used to evaluate the relationship between accounting earnings and security prices. A high ERC indicates a strong relationship between current earnings and future stock returns, while a low ERC indicates a weaker connection between earnings and stock returns. This coefficient can assist investors and analysts in predicting future returns based on current earnings.

Earnings quality is a measure of the degree to which accounting earnings reflect a company's true economic performance. High-quality earnings are more likely to represent a company's genuine profitability, while low-quality earnings may misrepresent a company's true economic performance.

There is a positive relationship between earnings quality and the ERC, according to Lev and Thiagarajan's study. This is due to the fact that high-quality earnings are more likely to reveal a company's real economic performance, which is linked to future stock returns.

Therefore, earnings quality is a critical consideration for investors and analysts when estimating future stock returns based on current earnings.

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Prescribed Fire 1. Appropriate objectives for the agency in the context of this decision relate to costs. In particular, they would like to minimize the cost of disposing of the material, and they would like to minimize the cost of containing fires that go out of control. The latter could include damages if a fire escapes. 2. Many influence-diagram representations are possible. Here is one popular alternative: Fre behavior Burn or YUM & Burn High cost Med cost Burn Low cost High cost Med cost YUM & Burn Low cost Escape To pass the clarity test, the costs must be precisely defined. Also, fire behavior must be defined. For example, it would be necessary to distinguish between and escaped fire and a fire that develops problems that can be brought under control. Treatment cost Success Problenis Escape Success Problems Total cost 0-0 Problem cost Total cost of containment Total cost | | || |

Answers

Based on the provided information, it appears that the context is related to prescribed fire, and the objectives for the agency in this decision are focused on costs. Specifically, they aim to minimize the cost of disposing of the material generated by the fire and minimize the cost of containing fires that may go out of control, which could potentially result in damages.

To represent the decision in an influence diagram, one possible alternative is as follows:

Fire Behavior:

Burn or YUM (controlled and desired outcome)Burn with high cost (fire develops problems but can be brought under control)Burn with medium cost (fire develops some problems but can be contained)Burn with low cost (fire behaves as planned)

Cost Elements:

Treatment cost (cost associated with implementing and conducting the prescribed fire)Success (cost of a successful prescribed fire)Problems (cost of fire developing problems but can be brought under control)Escape (cost of a fire escaping and causing damages)

Total Costs:

Total cost of containment (cost of containing fires that go out of control)Total cost of problems (cumulative cost of fire developing problems)Total cost (overall cost including treatment cost, containment cost, and problem cost)

It is important to note that for the clarity and accuracy of the influence diagram, the costs need to be precisely defined, and fire behavior must be clearly distinguished, such as differentiating between an escaped fire and a fire that develops problems but can still be controlled.

The influence diagram serves as a visual representation of the decision-making process, depicting the relationships between different variables and their impact on costs.

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Consider the following projects, X and Y, where the firm can only choose one. Project X costs $700 and has cash flows of $400 in each of the next 2 years. Project Y costs $600, and generates cash flows of $500 and $275 for the next 2 years, respectively. Which investment should the firm choose if the cost of capital is 10 percent? - Project Y, since it has a higher NPV than Project X - Project X, since it has a greater NPV than project Y - Project Y, since it has a lower NPV than Project X O - Project X since it has a shorter payback period

Answers

As project Y has the highest NPV, the firm should choose Project Y.

To determine which project is the best option, the net present value (NPV) and payback period of each project will be calculated.Project X costs $700 and has cash flows of $400 in each of the next 2 years.

To calculate the NPV of project X, the present value (PV) of each year's cash flow is calculated first, and then the present values are added together.

Using the formula, NPV = -Cost + (Cash flow / [tex](1+r)^t[/tex] )where r is the discount rate and t is the time period.

Calculating the NPV of project X:-

NPV of X = -700 + (400/1.1) + (400/(1.1)²)

= $55.17

Project Y costs $600, and generates cash flows of $500 and $275 for the next 2 years, respectively.

To calculate the NPV of project Y, the PV of each year's cash flow is calculated, and the present values are added together.

Using the formula, NPV = -Cost + (Cash flow /  [tex](1+r)^t[/tex])

where r is the discount rate and t is the time period.

Calculating the NPV of project Y:-

NPV of Y = -600 + (500/1.1) + (275/(1.1)²)

= $137.96

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Question No. 5 [E (a) Explain the industry structure and strategy of an organization. (b) How do you configure the value chain of an organization? Explain with examples. (c) How do you develop global integration vs. local responsiveness? [5+

Answers

Conclusion: The industry structure refers to the competitive environment in which an organization operates. There are several types of industry structures, including monopolistic competition, oligopoly, and perfect competition.

a.  In a monopolistic competition, there are many firms producing differentiated products, and each firm has some degree of market power. In this type of industry structure, firms can differentiate their products by emphasizing certain features or attributes and can charge higher prices than in a perfectly competitive market. An example of a monopolistically competitive industry is the smartphone market, where firms like Apple and Samsung produce differentiated products with unique features and charge premium prices.

(b)The value chain of an organization refers to the series of activities that an organization performs to create and deliver value to its customers. The value chain can be divided into two main stages: primary activities and support activities.

(c) Global integration and local responsiveness are two conflicting strategies that organizations face when operating in multiple countries. Global integration involves standardizing processes, products, and services across all countries in which the organization operates. Local responsiveness involves adapting products, services, and processes to the local market in each country.

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Batch sizes typically tend to be smaller with assembly lines (line flow processes) than with job shops.

Group of answer choices

True

False

Answers

The statement "Batch sizes typically tend to be smaller with assembly lines (line flow processes) than with job shops" is true.

An assembly line is a production process in which interchangeable components are added progressively to a product. The assembly line has a conveyor belt that passes through various workstations. Each workstation, which has a designated role, performs a particular step in the production process.

The production process is done in a sequence, with each step in the process being assigned to a particular workstation. Assembly lines are frequently employed in mass production operations, with each station along the line performing the same job. The benefit of using an assembly line is that it improves production efficiency while decreasing labor costs.

To guarantee that the product is of the highest quality, a high degree of mechanization and automation is used. In assembly lines, the production of items is done in batches, with each batch consisting of items produced in a specific quantity. Batch sizes on assembly lines are frequently smaller than those in job shops.

Because assembly lines require a high degree of automation and standardized production, they cannot manage large batches of items because doing so may result in errors, resulting in a decrease in the overall efficiency of the production process.

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Generally, when NPV is negative or IRR is the cost of capital, it still may be a good decision to accept a certain capital investment project if Multiple Choice It is going to enhance employees' and/or customers' setety some of the above are correct answers a it is going to increase your income tax liability it is going to help you in complying with a low all of the above are correct answers it is going to improve employee satisfaction

Answers

A negative net present value (NPV) suggests that the capital investment project may not provide sufficient returns to cover the expenses incurred in the future.

When NPV is negative or IRR is equal to the cost of capital, it may still be a good decision to accept a certain capital investment project if it is going to enhance employees' and/or customers' safety, if it is going to improve employee satisfaction, if it is going to help you in complying with a low or if it is going to increase your income tax liability. A negative net present value (NPV) suggests that the capital investment project may not provide sufficient returns to cover the expenses incurred in the future. When the IRR is equal to the cost of capital, this means that the capital investment project has a rate of return that is equal to the cost of capital. If the cost of capital is high, this means that the company will have to pay a high amount of interest on any loans that it has taken out to fund the project. While a high cost of capital may make a capital investment project less attractive, it may still be a good decision to accept the project if it provides other benefits such as enhancing employees' and/or customers' safety, improving employee satisfaction, helping the company comply with a law or increasing the company's income tax liability.

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