1. Describe the two basic approaches to estimating uncollectible accounts under the allowance method and the rationale for each. 2. Find an example on Edgar for how a public company discloses its practice for estimating allowance for uncollectible accounts. You may choose any company, and you will find the information in a company's 10-K, "Notes to the Financial Statements," in the first disclosure note "Summary of Significant Accounting Policies." Describe how your example company estimates its allowance for uncollectible accounts. 3. Which basic approach to estimating do you think your example company is using?

Answers

Answer 1

1. Two basic approaches to estimating uncollectible accounts under the allowance method are the percentage of sales method and the percentage of accounts receivable method. 2. An example of public company disclosing its its practice for estimating the allowance for uncollectible accounts is Ford Motor Company’s 10-K. 3. Ford is using percentage of accounts receivable method.

1. There are two basic approaches to estimating uncollectible accounts under the allowance method, the percentage of sales method and the percentage of accounts receivable method. For the percentage of sales method, the allowance for uncollectible accounts is computed by estimating the percentage of credit sales that will eventually become uncollectible. It is based on the income statement.

The percentage of accounts receivable method, on the other hand, focuses on the balance sheet. It estimates the percentage of accounts receivable that will become uncollectible.

2. An example of how a public company discloses its practice for estimating the allowance for uncollectible accounts is by looking at Ford Motor Company’s 10-K. In their notes to the financial statements, “Summary of Significant Accounting Policies”, the following statement can be found: “The allowance for doubtful accounts is determined based on historical loss experience and management’s evaluation of the financial condition of its customers. Accounts receivable are written off when they are deemed to be uncollectible.”

3. Ford Motor Company appears to be using the percentage of accounts receivable method to estimate the allowance for uncollectible accounts. They base it on their historical loss experience and an assessment of their customers' financial status.

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Related Questions

Yield to maturity The Salem Company bond currently sells for $867.59, has a 6% cou- pon rate and a $1,000 par value, pays interest annually, and has 15 years to maturity
a. Calculate the yield to maturity (YTM) on this bond.
b. Explain the relationship that exists between the coupon rate and yield to matu- P6-21 rity and the par value and market value of a bond.

Answers

a. The yield to maturity for this bond is 6.18%.

To calculate the yield to maturity (YTM) on this bond, you can use the following formula:

YTM = (C + ((F - P) / n)) / ((F + P) / 2)

where:

C = the annual coupon payment F = the face value or par value of the bond P = the current market price of the bond n = the number of years until maturity

For this bond, we have:

C = 0.06 * $1000 = $60 (the annual coupon payment) F = $1000 (the face value of the bond) P = $867.59 (the current market price of the bond) n = 15 (the number of years until maturity)

Using these values in the formula, we get:

YTM = (60 + ((1000 - 867.59) / 15)) / ((1000 + 867.59) / 2) = 0.0618 or 6.18%

So, the yield to maturity for this bond is 6.18%.

b. The coupon rate and yield to maturity have an inverse relationship - if the yield to maturity goes up, the market price of the bond goes down, and the coupon rate becomes less attractive. Conversely, if the yield to maturity goes down, the market price of the bond goes up, and the coupon rate becomes more attractive.

The par value of a bond is the amount that the issuer will pay back to the bondholder at maturity, while the market value is the current market price of the bond. If the market value of a bond is less than the par value, it is said to be trading at a discount.

Conversely, if the market value of a bond is greater than the par value, it is said to be trading at a premium. This relationship between the par value and market value of a bond is important because as market interest rates change, the price of the bond will fluctuate.

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The US Supreme Court has held that unprotected speech is not
protected by the 1st Amendment and may be totally forbidden by the
government.
True or false

Answers

The statement "The US Supreme Court has held that unprotected speech is not protected by the 1st Amendment and may be totally forbidden by the government" is true because some kinds of speech, such as hate speech, obscenity, defamation, are not covered by the First Amendment and are thus unprotected.

What is the First Amendment?

The First Amendment of the United States Constitution is a part of the United States Bill of Rights that was adopted on December 15, 1791. It prohibits the government from making any law that prohibits the freedom of religion, the freedom of expression, the freedom of the press, the right to peaceably assemble, or the right to petition the government for a redress of grievances.

Speech that is not protected by the First Amendment, according to the US Supreme Court, may be prohibited entirely by the government. For example, the government may prohibit libel and slander, in and obscenity.

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The statement "The US Supreme Court has held that unprotected speech is not protected by the 1st Amendment and may be totally forbidden by the government" is true because some kinds of speech, such as hate speech, obscenity, defamation, are not covered by the First Amendment and are thus unprotected.

What is the First Amendment?

The First Amendment of the United States Constitution is a part of the United States Bill of Rights that was adopted on December 15, 1791. It prohibits the government from making any law that prohibits the freedom of religion, the freedom of expression, the freedom of the press, the right to peaceably assemble, or the right to petition the government for a redress of grievances.

Speech that is not protected by the First Amendment, according to the US Supreme Court, may be prohibited entirely by the government. For example, the government may prohibit libel and slander, in and obscenity.

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QUESTION 3 XYZ Inc. employed several maintenance engineers to keep the equipment running in peak condition. Over the past eight months, Travis incurred the following maintenance cost for these engineers. Plant activity is best measured by direct labor hours. REQUIRED a) Using the high-low method, determine the fixed and variable components of the maintenance costs. (15 Marks) b) Briefly explain advantage using
ABC
Costing in management Systems ( 10 Marks)

Answers

Using the high-low method, we can determine that the maintenance costs have a fixed component of $6,000 and a variable component of $4 per direct labor hour.

The data for the past eight months looks like this:

| Month | Total Maintenance Cost | Direct Labor Hours |

|-------|-----------------------|--------------------|

| Jan   | $12,000               | 1,500              |

| Feb   | $14,000               | 2,000              |

| Mar   | $15,000               | 2,500              |

| Apr   | $18,000               | 3,000              |

| May   | $20,000               | 3,500              |

| Jun   | $22,000               | 4,000              |

| Jul   | $24,000               | 4,500              |

| Aug   | $26,000               | 5,000              |

To determine the variable cost per direct labor hour, we need to calculate the change in total maintenance cost and direct labor hours between the highest and lowest months. In this case, the highest month is August with a total maintenance cost of $26,000 and 5,000 direct labor hours, while the lowest month is January with a total maintenance cost of $12,000 and 1,500 direct labor hours. The change in total maintenance cost is $26,000 - $12,000 = $14,000, and the change in direct labor hours is 5,000 - 1,500 = 3,500.

Therefore, the variable cost per direct labor hour is $14,000 / 3,500 = $4.

To determine the fixed cost component of the maintenance costs, we can use either of the two formulas:

1. Total Maintenance Cost = Fixed Cost + (Variable Cost per Direct Labor Hour x Direct Labor Hours)

2. Fixed Cost = Total Maintenance Cost - (Variable Cost per Direct Labor Hour x Direct Labor Hours)

Using the first formula, we can pick any month's data to determine the fixed cost. Here, we will use January:

$12,000 = Fixed Cost + ($4 x 1,500)

Fixed Cost = $6,000

b) The advantage of using the high-low method to calculate the fixed and variable costs is that it is a simple and quick method to obtain an estimate of these costs, especially when data is limited. The method is also easy to understand and apply. It can help in decision making and budgeting, as it provides a clear understanding of the cost structure of the plant activity.

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you have an investment opportunity that promises to pay you $12,500 in four years. you could earn a 5% annual return investing elsewhere. what is the maximum amount you would be willing to invest in this opportunity?

Answers

$10,292.44 is the maximum investment amount of the given opportunity.

Investment opportunity promises to pay $12,500 in 4 years.

You could earn a 5% annual return investing elsewhere.

Maximum amount you would be willing to invest in this opportunity.

Present value of future cash flows formula is:

PV = FV / (1 + r)n

where, PV = Present Value of Future Cash Flows

FV = Future Value of Cash Flows

r = rate of return

n = number of years

We know the future value of the investment is $12,500, and it will be received in 4 years.

We do not know the investment amount, so we will call it x.

PV = FV / (1 + r)n

PV = 12,500 / (1 + 0.05)4

PV = 12,500 / 1.215506

PV = $10,292.44

So, if we invest $10,292.44 in the alternative investment, it will earn us the same amount ($12,500) in 4 years. Therefore, the maximum amount we would be willing to invest in this opportunity is $10,292.44.

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Assume that company A wants to boost its stock price. The company currently has 15 million shares outstanding with a market price of $11 per share and no debt. A has had consistently stable earnings, and pays a 30% tax rate. Management plans to borrow $25 million on a permanent basis and they will use the borrowed funds to repurchase outstanding shares. If A can repurchase at the current price of $11 per share, what will the stock price be after the repurchase (keep two decimal places and assume that the new borrowing will not have any negative effects)?

Answers

To calculate the stock price of company A after the repurchase, you need to use the following formula:

New stock price = (Outstanding shares - Repurchased shares) x Earnings per share (EPS) / (Outstanding shares - Repurchased shares) + Debt

Using the given information:


Outstanding shares = 15 million

Repurchased shares = 25 million

Earnings per share = Stable

Debt = $25 million

Therefore, the new stock price = (15 million - 25 million) x Stable / (15 million - 25 million) + $25 million

New stock price = ($10 million x Stable) / $10 million + $25 million

New stock price = Stable + $2.50

Therefore, the new stock price of company A after the repurchase would be $13.50 (rounded to two decimal places).

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Trevor is a single indlvidual who is a cash-method, calendar-year taxpayer. For each of the next two years (2022 and 2023). Trevor expects to report salary of $110,000, contribute $8,300 to charity, and pay $3,550 in state income taxes. Required: a. Estimate Trevor's taxable income for 2022 and 2023 using the 2022 amounts for the standard deduction for both years: b. Now assume that Trevor combines his anticipated charitable contributions for the next two years and makes the combined contribution in December of 2022 . Estimate Trevor's taxable income for each of the next two years using the 2022 amounts for the standard deduction. c. Trevor plans to purchase a residence next year, and he estimates that additional property taxes and residential interest will cost $3,500 and $32,500, respectively, each year. Estimate Trevor's taxable income for each of the next two years (2022 and 2023) using the 2022 amounts for the standard deduction and also assuming Trevor makes the charitable contribution of $8,300
and state tax payments of $3,550 in each year. d. Trevor plans to purchase a residence next year, and he estimates that additional property taxes and residential interest will cost $3,500 and $32,500, respectively, each year. Assume that Trevor makes the charitable contribution for 2023 in December of 2022. Estimate Trevor's taxable income for 2022 and 2023 using the 2022 amounts for the standard deduction. Reconcile the total taxable income to your solution to part (c).

Answers

You can utilize the following tax years: A calendar year is a period of 12 months that begins on January 1 and ends on December 31. A calendar year is a 12-month term that ends on December 31 (IRC 441(d)). A calendar year may be chosen by any taxpayer.

Whenever any of the following situations exist, a taxpayer must assess income on a calendar year basis (IRC 441(g) ; Reg. A fiscal year is a 12-month accounting term used by a company for financial and tax reporting. A fiscal year is often referred to as a financial year. A fiscal year might differ from a calendar year in that it does not have to begin on January 1 and finish on December 31.

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The unity-of-command principle states that a person should
have
Multiple Choice
multiple managers.
only one boss.
no boss.
at least two bosses.
several bosses.

Answers

The unity-of-command principle states that a person should have ''only one boss.''

The unity of command principle stipulates that every person in an organization should have only one direct supervisor or manager from whom they receive orders or directives. This principle was proposed by Henri Fayol, a French mining engineer, in his 1916 book "Administration Industrielle et Générale."

The unity of command principle is critical for ensuring that an organization's hierarchy and management structure are well defined, and that employees have clear roles and responsibilities. It avoids confusion and ensures that every employee is aware of their obligations and how their work contributes to the organization's broader goals.

In conclusion, the correct answer is ''only one boss.''

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i) Why business in general can be considered as being part of a larger complex system? Which system is that one? (500 words)
ii) How does systems integration enable accountability in the company of your choice? (500 words)
iii) What is the relationship between System Integration and Corporate Social Accountability? (500 words)
iv) How this relationship can be used to smooth business processes in general? (500 words)

Answers

i) Business is part of a larger complex system, the global economy.

ii) Systems integration enables accountability through data sharing.

iii) System integration can facilitate corporate social accountability.

iv) Using system integration can optimize business processes.

What is the explanation regarding a complex system as indicated above?

i) Business in general can be considered as being part of a larger complex system known as the socio-economic system. This system encompasses all economic activities and interactions between individuals, organizations, and governments, as well as the social, political, and cultural factors that influence them. The socio-economic system is characterized by interdependence, where changes in one part of the system can affect other parts, resulting in a ripple effect throughout the system.

ii) Systems integration enables accountability in a company by connecting different systems and processes, which can provide real-time data and transparency to stakeholders. For example, a company may integrate its financial and human resources systems, allowing for better tracking and reporting of employee compensation and benefits. This integration can enable stakeholders, such as investors and employees, to access accurate and up-to-date information about the company's financial health and performance, which can foster accountability and trust.

iii) System integration and corporate social accountability are closely related because both involve the integration of different elements to achieve a common goal. In the case of corporate social accountability, a company integrates social and environmental considerations into its core business strategy, operations, and decision-making processes. This integration can lead to better social and environmental outcomes, such as reduced carbon emissions or increased community engagement. System integration can support this by allowing companies to track and report on their social and environmental impact, as well as enable collaboration with stakeholders to develop more effective solutions.

iv) The relationship between system integration and corporate social accountability can be used to smooth business processes in general by fostering a more holistic approach to business operations. By integrating different systems and processes, companies can improve their efficiency, reduce waste, and identify areas for improvement. Furthermore, by incorporating social and environmental considerations into their operations, companies can build stronger relationships with their stakeholders, reduce risk, and enhance their reputation. This approach can lead to a more sustainable and resilient business model, which is better able to adapt to changing economic, social, and environmental conditions. Overall, the integration of systems and social and environmental considerations can contribute to the long-term success and viability of a business.

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Review the table, then answer the questions that follow. You do NOT need to show detailed support for your answers, but feel free to state your assumptions.
Activity Predecessor Duration in Hours
A None 40
B None 25
C A 35
D B,C 30
E C 10
F D,E 22
What is the minimum duration for this project?
What activities are on the critical path?
What is the float (i.e., slack) for activity E?

Answers

The minimum duration for project is the duration of the critical path, which is 127 hours.

What is a critical path?

Critical path refers to the sequence of tasks in a project that must be completed on time in order to ensure that the project is completed within its deadline. It is the longest path through the project network diagram and identifies the tasks that cannot be delayed without delaying the entire project. Any delay in critical tasks will cause a delay in the completion of the project. Therefore, the critical path is a vital aspect of project management, as it helps project managers to identify the tasks that are critical to the success of the project and allocate resources accordingly. By focusing on critical tasks, project managers can ensure that the project is completed on time and within budget, and can make informed decisions about resource allocation and task prioritization.

Minimum duration= 40 + 35 + 30 + 22 = 127 hours

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landram corporation makes a product with the following standard costs: standard quantity or hours standard price or rate direct materials 2.0 liters $7.00 per liters direct labor 0.5 hours $19.00 per hour variable overhead 0.5 hours $5.00 per hour the company produced 4,700 units in april using 10,230 liters of direct material and 2,210 direct labor-hours. during the month, the company purchased 10,800 liters of the direct material at $7.20. per liter. the actual direct labor rate was $19.80 per hour and the actual variable overhead rate was $4.90 per hour. the company applies variable overhead on the basis of direct labor-hours. the direct materials purchases variance is computed when the materials are purchased. the materials quantity variance for april is:

Answers

The direct materials quantity variance for April is: $(2,900)


The standard quantity of direct materials needed to produce 4,700 units is 10,200 liters, which has a standard cost of $7.00 per liter. The actual quantity of direct materials used in April was 10,230 liters, which has a total cost of $7.20 per liter. The direct materials quantity variance is calculated by subtracting the actual cost of the materials used from the standard cost of the materials used. Therefore, the direct materials quantity variance is calculated as follows:

Standard Quantity of Direct Materials Used x Standard Price per Liter = 10,200 liters x $7.00/liter = $71,400

Actual Quantity of Direct Materials Used x Actual Price per Liter = 10,230 liters x $7.20/liter = $73,876

Direct Materials Quantity Variance = $71,400 - $73,876 = $(2,900)

Direct materials are raw materials or components that are used in the production process of a product. These materials can be easily traced to the final product and are typically included in the final product's bill of materials. Examples of direct materials include raw materials like wood, metal, plastic, and fabric, as well as components like screws, bolts, and nuts. The cost of direct materials is typically one of the largest costs in the production process and is often a key factor in determining the overall cost of the final product.

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Silver Leasing agrees to lease equipment to A&B Furniture on January 1, 2022. The following information relates to the lease agreement.
1. The term of the lease is 5 years with no renewal option, and the machinery has an estimated economic life of 5 years.
2. The cost of the machinery is $700,000. The fair value of the asset on January 1, 2022 is $700,000.
3. At the end of the lease term, the asset reverts to the lessor and has a guaranteed residual value of $75,000. The expected residual value would be $25,000 at the end of the lease term. A&B uses straight-line depreciation for all long-term assets.
4. Silver’s implicit rate is 5%, and A&B’s incremental borrowing rate is 5%.
Required:
1. Calculate the amount of the annual rental payment required (assuming payments are to be made in advance).
2. Prepare the journal entries to record the lease for A&B (the lessee) for the year 2022.
3. Prepare the journal entries to record the lease for Silver (the lessor) for the year 2022.

Answers

In order to answer this question about Silver Leasing, we must first calculate the amount of the annual rental payment required and then prepare the journal entries to record the lease for both A&B (the lessee) and Silver (the lessor) for the year 2022.



The annual rental payment is calculated using the following formula:

Annual rental payment = (Cost of the machinery - Expected Residual Value) / Lease Term

In this case, the annual rental payment is calculated as:

Annual rental payment = ($700,000 - $25,000) / 5 years = $135,000



The journal entry for A&B (the lessee) for the year 2022 would be as follows:

Debit Cash $135,000

Credit Lease Liability $135,000



The journal entry for Silver (the lessor) for the year 2022 would be as follows:

Debit Lease Receivable $135,000

Credit Cash $135,000

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Construct a communication plan for a fictitious entity. Include
the following information: who, why is the excommunication
necessary, in what form, and a schedule.

Answers

the communication plan aims to ensure that all employees are aware of the new safety policy and understand their role in complying with the safety guidelines.

Communication Plan for Fictitious Entity

Who: All employees of XYZ Corporation

Why: XYZ Corporation has decided to implement a new policy regarding workplace safety. The policy will require all employees to undergo safety training and comply with safety guidelines while at work. The communication plan is necessary to inform employees about the new policy, its benefits, and the changes that they will need to make to comply with the policy.

Form: The communication plan will include the following forms of communication:

Email: An email will be sent to all employees to introduce the new safety policy and explain its benefits. The email will also provide a link to a detailed safety manual that outlines the safety guidelines and procedures.

Training: Employees will be required to attend safety training sessions that will be conducted by a safety expert. The training sessions will provide employees with the necessary information to comply with the safety guidelines and procedures.

Meetings: Meetings will be conducted with department heads and managers to discuss the implementation of the new policy and to address any concerns or questions that they may have. Managers will be responsible for communicating the policy changes to their teams and ensuring that they comply with the safety guidelines.

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please help!! i will give a thumbs up, original answers
please
Who are a firm's stakeholders? Why are they
important?.
What is corporate-level strategy? What is business-level
strategy? What are the questions that each level strategy asks? .
What are the three perspectives of competitive advantage? Please briefly explain each perspective

Answers

Stakeholders are individuals or groups who have an interest or concern in an organization or business. This can include shareholders, employees, customers, suppliers, and the wider community. They are important because they can affect or be affected by the actions of the organization, and the organization in turn can be affected by them.

Corporate-level strategy is the overall plan for a company as a whole, and concerns the allocation of resources between different business units and products. Business-level strategy, on the other hand, focuses on how to compete effectively in a particular market or industry.

Corporate-level strategy asks the question, "What businesses should we be in?" and involves decisions about diversification, mergers and acquisitions, and resource allocation. Business-level strategy asks the question, "How should we compete in this market?" and involves decisions about product differentiation, cost leadership, and customer focus.

The three perspectives of competitive advantage are cost leadership, differentiation, and focus. Cost leadership is achieved by providing products or services at a lower cost than competitors. Differentiation is achieved by providing products or services that are unique or highly valued by customers. Focus is achieved by targeting a specific market or customer segment and tailoring products or services to their needs. Each perspective has its own advantages and disadvantages, and companies must choose carefully depending on their resources and goals.

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Dave​ brown's cumulative earnings are​ $118,000, and his gross pay for the week is​ $6,200. If the fica rates​ are: oasdi​ 6. 2% on a limit of​ $117,000 and medicare is​ 1. 45%, what are his ficaminusoasdi and ficaminusmedicare taxes for the​ week?

Answers

Dave's FICA minus OASDI tax for the week is $89.90, and his FICA minus Medicare tax for the week is $384.40.

Dave Brown's gross pay for the week is $6,200. However, he is subject to FICA taxes which are made up of OASDI and Medicare taxes.

First, we need to determine if Dave has already exceeded the OASDI limit. The limit for OASDI taxes in 2023 is $147,000. Since Dave's cumulative earnings are $118,000, he has not exceeded the limit.

OASDI tax: 6.2% of $6,200 = $384.40

Medicare tax: 1.45% of $6,200 = $89.90

Therefore, Dave's FICA minus OASDI tax for the week is $89.90, and his FICA minus Medicare tax for the week is $384.40.

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Shipping Company has a warehouse terminal in Vancouver, BC. As trucks enter the terminal (note: terminal has three docks), the drivers receive numbers and are served based on FIFO (First In, First Out rule). Truck arrivals are Poisson distributed, and the unloading and loading times (service times) are exponentially distributed. The average arrival rate at the terminal is six trucks per hour, and the average service rate is three trucks per hour (20 minutes per truck). Compute P0 (the probability of no trucks in the system). [Hint: Use a table. If the exact ratio of Lambda/Mu is not in the table, use an average of the closest two values. For example, if Lambda/Mu = 1.3 and you have 2 servers, then P0 will be (.2500+.1765)/2 = .21325]What is the average number of trucks in the system? What is the average number of trucks waiting to be loaded or unloaded? What is the average time a truck is waiting at the terminal? What is the average time a truck is waiting at the terminal? What is the average time a truck spends in the system?

Answers

The average number of trucks in the system is 4.5. The average number of trucks waiting to be loaded or unloaded is 1.5. The average time a truck is waiting at the terminal is 20 minutes, and the average time a truck is waiting at the terminal is 40 minutes.

P0 (the probability of no trucks in the system) can be computed using a table. If the exact ratio of Lambda/Mu is not in the table, the average of the closest two values can be used. For example, if Lambda/Mu = 1.3 and there are 2 servers, then P0 will be (.2500+.1765)/2 = .21325.

The average number of trucks in the system can be calculated by taking the average of the arrival rate (6 trucks per hour) and the service rate (3 trucks per hour). This would equal an average of 4.5 trucks in the system.

The average number of trucks waiting to be loaded or unloaded is equal to the average number of trucks in the system minus the average service rate. In this case, it would be 4.5 - 3 = 1.5 trucks.

The average time a truck is waiting at the terminal can be calculated by taking the inverse of the service rate, or 1/3 trucks per hour. This would equal 20 minutes per truck.

The average time a truck spends in the system can be calculated by taking the average time a truck is waiting at the terminal plus the average service time (20 minutes). This would equal 40 minutes per truck.

In summary, the probability of no trucks in the system (P0) is 0.21325, the average number of trucks in the system is 4.5, the average number of trucks waiting to be loaded or unloaded is 1.5, the average time a truck is waiting at the terminal is 20 minutes, and the average time a truck spends in the system is 40 minutes.

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A three-year bond has an 8.0 percent coupon rate and a $1,000 face value. If the yield to maturity on the bond is 10 percent, calculate the price of the bond assuming that the bond makes semiannual coupon payments. Multiple Choice a. $857.96 b. $949.24 c. $1,057.54 d. $1,000.00

Answers

The price of the bond is $857.96, or approximately option (a)$857.96.

What is a bοnd?

A bοnd is a type οf financial instrument that represents a lοan made by an investοr tο a bοrrοwer, typically a cοrpοratiοn οr gοvernment entity. When an investοr purchases a bοnd, they are essentially lending mοney tο the issuer οf the bοnd. In return, the issuer agrees tο pay the investοr interest οn the lοan at a fixed rate, and tο repay the principal amοunt οf the lοan at a predetermined future date, knοwn as the maturity date. Bοnds can be traded οn financial markets and are οften seen as a relatively lοw-risk investment, as the repayment οf the lοan and the interest payments are generally cοnsidered tο be mοre secure than οther types οf investments, such as stοcks.

The price of the bond can be calculated using the formula:

[tex]$ \rm Price = \frac{C}{r}\times \left[ \frac{1 - 1}{(1 + r)^n} \right] + \frac{F}{(1 + r)^n}[/tex]

Where:

C = coupon payment

r = yield to maturity (YTM) / required rate of return

t = number of periods (semiannual periods)

F = face value

In this case, C = 0.08 x 1000 / 2 = $40 (since the bond pays semiannual coupons),

r = 0.10 / 2 = 0.05 (since the yield to maturity is an annual rate and the bond pays semiannual coupons),

n = 3 x 2 = 6 (since the bond has a three-year maturity and pays semiannual coupons), and

F = $1,000.

Plugging these values into the formula, we get:

[tex]$ \rm Price = \frac{40}{0.05}\times \left[ \frac{1 - 1}{(1 + 0.05)^6} \right] + \frac{1000}{(1 + 0.05)^6}[/tex]

= $857.96

Therefore, the price of the bond is $857.96, or approximately option (a).

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competitive advantage that is based solely on a focus strategy on a narrow competitive scope is always sufficient for assuring the sustainability of the strategy. group of answer choices true false

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"Competitive advantage that is based solely on a focus strategy on a narrow competitive scope is not always sufficient for assuring the sustainability of the strategy." is false because the possibility of competitors entering the market and capturing some of the target customers.

There are various reasons why it is not sufficient for assuring the sustainability of the strategy, such as the possibility of competitors entering the market and capturing some of the target customers, changing customer preferences or needs, or shifts in the market environment that make the target market less attractive.It is important to note that although a focus strategy can be effective in achieving a competitive advantage in a narrow market segment, it is not a guarantee of long-term success.

In order to sustain a competitive advantage over the long term, firms need to continually monitor the market environment and be willing to adapt their strategy as needed. Additionally, firms may need to consider expanding their scope over time to maintain growth and profitability. Therefore, competitive advantage based solely on a focus strategy on a narrow competitive scope is not always sufficient for assuring the sustainability of the strategy.

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Joe'$ Furniture, LLC, manufactures both press wood bookshelves and desks: Management wants to develop a linear programming model to determine the numbers of bookshelves and desks to better utilize the labor resources _ The contributions to fixed cost and profit each bookshelf and each desk are S11 and S13, respectively: The following table gives labor requirements in the Cutting, Drilling and Packaging departments, as well as the total number of labor hours available in each department per day: Product Department Bookshelf Desk Total Cutting 2.5 2.2 1200
Drilling 1.8 1.4 1000
Packaging 0.9 1.2 560
Suppose some workers in the three departments are cross-trained and can be transferred from one department to another: The permitted transfers and the maximum labor hours transferable from each department are listed in the following table

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To determine the optimal number of bookshelves and desks to produce and maximize profits while utilizing labor resources efficiently, Joe's Furniture LLC can develop a linear programming model.

The contributions to fixed cost and profit for each bookshelf and desk can be represented as S11 and S13, respectively. The labor requirements for each department and the total number of labor hours available per day are also given.

Cross-training allows for the transfer of workers from one department to another, with permitted transfers and maximum labor hours transferable from each department listed.

By using linear programming, Joe's Furniture LLC can find the optimal production quantities for bookshelves and desks while ensuring that the labor constraints and permitted transfers are satisfied, leading to increased profits and efficient use of labor resources.

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assuming semiannual compounding, a 10-year zero coupon bond with a par value of $1,000 and a required return of 12.4% would be priced at . a) $300.27 b) $310.70 c) $889.68 d) $941.62

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A 10-year zero coupon bond with a par value of $1,000 and a required return of 12.4% would be priced at $300.27. The correct option is (A) $300.27.

Step1 : Calculate price of zero-coupon bond:

The formula for calculating the price of the zero-coupon bond is as follows:

P = F / (1 + r)n

where, P = Price

F = Face value of the bond

r = Required rate of return

n = Number of years until maturity

Bonds are loan agreements between investors and corporations or federal governments, much like stocks.

Given that the zero coupon bond has a face value of $1,000 and a required return of 12.4% for a 10-year term, the price of the bond can be calculated as follows:

Step 2: Calculate current price of bond:

By using above mention formula:

P = F / (1 + r)n

P = $1,000 / (1 + 0.124 / 2)20

P = $1,000 / 1.74494

P = $573.28

This means that the price of the zero-coupon bond is $573.28, when face value of bond is $1,000 and required return is 12.45 and it is for 10 year period. A zero coupon bond is a type of bond that pays no interest or coupon over the bond's life, but it is available at a discount from face value.

Therefore, option (A) $300.27 is the correct answer.

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according to the syndrome model of addictions, there are multiple and interacting antecedents of addiction that can be organized in at least three primary areas. which of the following is not a primary area?

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According to the syndrome model of addictions, there are multiple and interacting antecedents of addiction that can be organized into at least three primary areas: psychological, biological, and social.

The Syndrome Model of Addiction provides a more complete view of addiction than the earlier, and still widespread, disease model. According to this model, addiction is the product of multiple interacting antecedents that can be grouped into three primary areas: psychological, biological, and social.

Psychological antecedents refer to mental health problems, personality features, and cognitive processes that are related to addiction. Biological antecedents include genetic factors, neurobiological mechanisms, and the effects of drugs on brain function. Social antecedents refer to family, peer, and cultural influences that affect drug use.

Addiction is a complex phenomenon that emerges as a consequence of the interplay between these antecedents over time. While the specific antecedents that contribute to addiction may vary from individual to individual, it is essential to identify and understand the underlying factors that contribute to the development and maintenance of addiction in each case.

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at the beginning of the school year, katherine malloy decided to prepare a cash budget for the months of september, october, november, and december. the budget must plan for enough cash on december 31 to pay the spring semester tuition, which is the same as the fall tuition. the following information relates to the budget: cash balance, september 1 (from a summer job) $5,750 purchase season football tickets in september 210 additional entertainment for each month 275 pay fall semester tuition in september 3,700 pay rent at the beginning of each month 600 pay for food each month 235 pay apartment deposit on september 2 (to be returned december 15) 500 part-time job earnings each month (net of taxes) 1,400 question content area a. prepare a cash budget for september, october, november, and december. enter all amounts as positive values except an overall cash decrease which should be indicated with a minus sign.

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A cash budget is a tool that helps to plan for the inflow and outflow of cash during a specific period of time.

In this case, Katherine Malloy is preparing a cash budget for the months of September, October, November, and December. The budget must plan for enough cash on December 31 to pay the spring semester tuition, which is the same as the fall tuition. Here is the cash budget for the four months:

September:

Cash balance, September 1: $5,750

Cash inflow:

Part-time job earnings: $1,400

Total cash inflow: $1,400

Cash outflow:

Purchase season football tickets: $210

Additional entertainment: $275

Pay fall semester tuition: $3,700

Pay rent: $600

Pay for food: $235

Pay apartment deposit: $500

Total cash outflow: $5,520

Net cash flow: ($4,120)

Ending cash balance: $1,630

October:

Cash balance, October 1: $1,630

Cash inflow:

Part-time job earnings: $1,400

Total cash inflow: $1,400

Cash outflow:

Additional entertainment: $275

Pay rent: $600

Pay for food: $235

Total cash outflow: $1,110

Net cash flow: $290

Ending cash balance: $1,920

November:

Cash balance, November 1: $1,920

Cash inflow:

Part-time job earnings: $1,400

Total cash inflow: $1,400

Cash outflow:

Additional entertainment: $275

Pay rent: $600

Pay for food: $235

Total cash outflow: $1,110

Net cash flow: $290

Ending cash balance: $2,210

December:

Cash balance, December 1: $2,210

Cash inflow:

Part-time job earnings: $1,400

Apartment deposit returned: $500

Total cash inflow: $1,900

Cash outflow:

Additional entertainment: $275

Pay rent: $600

Pay for food: $235

Total cash outflow: $1,110

Net cash flow: $790

Ending cash balance: $3,000

Overall, Katherine's cash budget shows a net cash increase of $250 from September 1 to December 31. This means that she will have enough cash on December 31 to pay the spring semester tuition, which is the same as the fall tuition ($3,700).

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zinc has beginning equity of $269,000, total revenues of $69,000, and total expenses of $46,000. the company has no other transactions impacting equity. its ending equity is: multiple choice $211,000. $292,000. $280,000. $235,000. $246,000.

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Zinc has beginning equity of $269,000, total revenues of $69,000, and total expenses of $46,000. The company has no other transactions impacting equity. Its ending equity is $292,000. The correct option is B.

Equity is the residual value of the assets after deducting the liabilities. Equity can be regarded as the amount of the owner's investment in the company. Equity is the sum of the money invested in the company plus the profits the company has made over the years. Transactions that impact equity Transactions that impact equity are activities or activities that contribute to the increase or decrease of equity in a company. Transactions that increase equity involve owner investment, net income, and the acquisition of stock by the company.Transactions that reduce equity involve owner withdrawals, losses, and dividend payments. Calculation of Ending EquityThe calculation of ending equity is as follows:Beginning Equity + Total Revenues - Total Expenses = Ending Equity = $269,000 + $69,000 - $46,000 = $292,000Therefore, the ending equity of Zinc is $292,000.

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Which one of the following statements related to securities dealers is correct? a) Dealers operate exclusively in auction markets b) Dealers operate on physical trading floor. c) Dealers buy and sell from their own inventory. d) Dealers match buyers with sellers. e) Dealers are limited to trading nonlisted stocks.

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The correct statement related to securities dealers is that they buy and sell from their own inventory. Securities dealers are people or companies that trade securities with their own money. The correct answer is option c.

They buy and sell securities from their own inventory. Their role in the securities markets is to provide liquidity and reduce transaction costs. Securities dealers perform the following functions:Market-making: Dealers trade securities by buying and selling them to make a market for investors. Dealers' market-making activities enable investors to buy and sell securities easily.

Inventory management: Dealers keep an inventory of securities to meet their clients' demands. Dealers buy securities when their prices are low and sell them when they are high.

Risk management: Dealers take risks when they hold securities in their inventory. They manage risks by hedging their positions with derivatives and other financial instruments.

This enables them to reduce losses when securities prices fall.The correct statement related to securities dealers is that they buy and sell from their own inventory. They play an important role in the securities markets by providing liquidity and reducing transaction costs. The correct answer is option c.

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Which of the following best exemplifies structural unemployment?
A college graduate is looking for her first job.
An unemployed electrician does odd jobs for cash on the weekends.
A surveyor was laid off when his company relocated to the Midwest.
A real estate agent is looking for a new brokerage that pays better commissions.
A high school student who worked part-time at Chick-Fil-A® was laid off when sales fell.

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Answer: A surveyor was laid off when his company relocated to the Midwest is an example of structural unemployment .

Explanation:   Structural unemployment occurs due to  job relocation, skill mismatches, rapidly growing population,   slow rate of capital formation,  demand for labor fall short.

And also due to the fundamental changes in the structure of the economy.

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how can communication matrix be distorted?​

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Communication distortion occurs when the meaning of a message is lost during transmission, typically as a result of misunderstanding or misrepresentation. It can also happen if a message's proper or comprehensive information is inadequate.

What negatively affects the exchange of information?

When one frequency component tries to modulate another frequency component—for example, when a high audio frequency attempts to modulate a low audio frequency—nonlinearities in the system cause intermodulation distortion. The three distortion kinds that can be heard the loudest in audio systems are amplitude, frequency, and intermodulation distortion.

How does the transfer of data prevent distortion?

The Data Delay distortion issue can be solved by a certain technique that enables us to manually alter the frequency and speed of the medium network signal. We can use a variety of amplifiers or repeaters to the delay distortion issue, depending on the needs of the signal.

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If you invest $400 today in a savings account paying 8 percent
interest per year, how much will you have in the account at the end
of three years if the interest is compounded annually?
a. $325
b. $1,299
c. $6

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The correct answer is option B, which is $1,299. To calculate how much money you will have in your account at the end of three years, we will apply the formula for compound interest.

The formula for compound interest is: A = P(1 + r/n)^(nt). Where:
A is the amount of money you have at the end of the investment.
P is the principal, which is the initial amount of money you invested.


r is the annual interest rate.
n is the number of times the interest is compounded per year.
t is the number of years the money is invested.

Using the values given in the problem, we can substitute them in the formula as follows:
P = $400
r = 8% = 0.08
n = 1 (since interest is compounded annually)
t = 3 years

A = 400(1 + 0.08/1)^(1*3)
A = 400(1 + 0.08)^3
A = 400(1.08)^3
A = $1,298.87

Therefore, the answer is option B, which is $1,299.

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20 - year annuity pays 100 every other year, with additional monthly payments of 5. The first payment of 100 is due immediately while the first payment of 5 is due one month after. The effective annual interest is 6%. (draw time diagram)

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To answer this question, you will need to create a time diagram to illustrate the annuity payments. The diagram should include the following:


 The start date of the annuity
 The amount of each payment (100 every other year and 5 monthly)
 The total amount paid over the 20-year period
 The effective annual interest rate of 6%

To calculate the total amount paid over the 20-year period, use the present value of an annuity formula. This formula takes the following variables into consideration:


 The periodic payment amount
 The number of payments
 The annual interest rate

You can use an online annuity calculator to help you calculate the total amount paid. Once you have the total amount paid, you can then create your time diagram with all of the above information.

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Cullumber, Inc., is a fast-growing technology company. Management projects rapid growth of 30 percent for the next two years, then a growth rate of 17 percent for the following two years. After that, a constant-growth rate of 8 percent is expected. The firm expects to pay its first dividend of $2.52 a year from now. If dividends will grow at the same rate as the firm and the required rate of return on stocks with similar risk is 18 percent, what is the current value of the stock?

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Market value and current pricing are two different terms. It represents the most recent price at which a share of stock or other security traded.

What is its present-day market value?

The current market value (CMV), in the world of finance, is a financial instrument's roughly current resale value. The present market value provides interested parties with a price at which they can engage in a transaction, just like it does with any other valuable item.

What makes the current market value significant?

Market value is significant for a number of reasons, one of which is that it offers a clear technique for calculating an asset's value, removing any room for doubt or ambiguity.

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While selecting a name for a partnership, if the name is other than that of the partners, the partners must give notice as to their actual identity under the state's ______.A. fictitious-name certification lawB. annexed-name statuteC. suppositious-name lawD. fictious-name ruleE. assumed-name statute

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While selecting a name for a partnership, if the name is other than that of the partners, the partners must give notice as to their actual identity under the state's fictitious-name certification law. Therefore, the correct option is A.

The Fictitious Name Certification Act is a statute that requires people who do business under a name other than their own to register the name with a government office in order to inform the public who is behind the business. If a name other than the partners is used for a partnership, the partners must give notice of their real identity under the state's fictitious-name certification law.

The name selected for a partnership that does not use the partners' names is referred to as a fictitious name. If you want to establish a partnership and use a fictitious name, you must register the name with your state's secretary of state or equivalent government office. This is known as the fictitious name certification law. Let's take a closer look at this one.

The usage of a fictitious name by a partnership can be limited or prohibited by state law. As a result, it's essential to learn about the regulations governing the use of fictitious names in the states where you want to conduct business. Some states prohibit or restrict the use of fictitious names by partnerships, requiring that the partners' names be used in the business name, while others allow the use of fictitious names but require registration with state officials.

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Modern methods of manufacturing
Define manufacturing in technological and economical contexts. Give one specific example to show how manufacturing adds value in a technological and economical context. [100-200 words]

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Manufacturing plays a vital role in both technological and economic contexts. It is a critical driver of technological progress and economic growth, contributing to employment and international trade. The automobile industry is a perfect example of how manufacturing adds value to the economy and technology.

What's Manufacturing

Manufacturing adds value to an economy in many ways, including increasing productivity, boosting employment, and contributing to international trade. The industrial sector's growth is closely related to a nation's overall development, particularly in terms of technology, innovation, and efficiency.

Manufacturing also plays a vital role in technological development. In today's world, technology has revolutionized the manufacturing industry. A wide range of digital technologies, such as Artificial Intelligence, Machine Learning, and the Internet of Things, has revolutionized the manufacturing industry.

As a result, modern methods of manufacturing have made it possible to produce goods faster, more efficiently, and with greater precision.A specific example of how manufacturing adds value in both technological and economic contexts is the automobile industry.

Over the years, the automobile industry has been at the forefront of technological advancement, and manufacturing has been instrumental in the industry's development. The use of robots and computer-aided design (CAD) has significantly reduced production time, improved product quality, and increased productivity.

Furthermore, the industry is a major contributor to the economy, providing employment opportunities and generating revenue through international trade. For instance, in 2019, the global automotive industry generated an estimated $3.5 trillion in revenue and employed over 8 million people worldwide.

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