A person who is charged with grand theft auto for driving off in another’s car which resembles his own, is allowed to argue mistake as a defense.
True/False

Answers

Answer 1

The statement "A person who is charged with grand theft auto for driving off in another’s car which resembles his own, are allowed to argue mistake as a defense" is true.

What is Grand Theft Auto?

Grand Theft Auto refers to the stealing of another person's car with the intent to deprive the owner permanently of the car. Grand theft auto is a serious crime that can result in severe penalties, including fines, imprisonment, and loss of driving privileges.

Therefore, the person who is charged with grand theft auto for driving off in another’s car which resembles his own, is allowed to argue mistake as a defense, is a true statement.

Read more about Theft Auto at https://brainly.com/question/9748561

#SPJ11


Related Questions

Which of the following statements is true of the use of alternative dispute resolution (ADR) techniques?
ADR techniques are ineffective once the pretrial process has begun.
Disputing parties must begin a lawsuit to use any form of ADR.
Disputing parties cannot specify the preferred ADR technique to be used in the parties’ contract.
Disputing parties can agree to use an ADR technique after a dispute arises.
Litigation precludes the use of ADR techniques for dispute resolution

Answers

Disputing parties have the option to choose alternative dispute resolution (ADR) techniques even after a dispute has arisen.

What is the purpose of a balance sheet in financial reporting?

Unlike litigation, which involves formal court proceedings, ADR offers a more flexible and collaborative approach to resolving conflicts.

Parties can mutually agree to engage in methods such as mediation, arbitration, or negotiation to reach a resolution without going to court.

This allows them to maintain more control over the process and potentially find mutually beneficial solutions.

ADR can be initiated at any stage of the dispute, providing an opportunity for parties to explore alternative avenues for resolving their differences outside of traditional litigation.

Learn more about Disputing parties

brainly.com/question/14341339

#SPJ11

refer to figure 6-11. suppose a tax of $2 per unit is imposed on this market. what will be the new equilibrium quantity in this market?

Answers

The new equilibrium quantity in this market will be between 60 to 100 units.

How to calculate the equilibrium quantity

To calculate the new equilibrium quantity in the market, note that there are two equations and these include the demand and supply functions.

For the demand function, we would have QD = a – bP and for the supply function, we will have Qs = x + yP. Given the figure, we will use the supply function in which case, the new equilibrium moves between 60 t 100 units.

Learn more about equilibrium quantity here:

https://brainly.com/question/22569960

#SPJ1

Structural unemployment results when: O workers are temporarily laid off due to weather conditions. O there is generous unemployment insurance. O the real wage is above its market-clearing level. O the minimum wage is set to decrease in the near future.

Answers

Structural unemployment results when the real wage is above its market-clearing level. In this case, the wages offered by employers exceed the equilibrium wage determined by the supply and demand of labor.

As a result, there is a mismatch between the skills and qualifications of job seekers and the requirements of available jobs. This leads to a situation where certain workers are unable to find employment, causing structural unemployment. Factors such as technological advancements, changes in industry structure, and shifts in consumer demand can contribute to this type of unemployment.

Learn more about unemployment here;

https://brainly.com/question/33438628

#SPJ11

Skidmore Music Company had the following transactions in March:

a. Sold instruments to customers for $16,600; received $11,000 in cash and the rest on account. The cost of the instruments was $7,200.

b. Purchased $4,900 of new instruments inventory; paid $1,600 in cash and owed the rest on account.

c. Paid $680 in wages to employees who worked during the month.

d. Received $3,100 from customers as deposits on orders of new instruments to be sold to the customers in April.

e. Received a $260 bill for March utilities that will be paid in April.

Prepare a Cash Basis Income Statement and an Accrual Basis Income Statement.

Answers

The Cash Basis Income Statement shows a net income of $3,120, while the Accrual Basis Income Statement shows a net income of $8,460. The cash basis method only considers cash transactions, while the accrual basis method considers all revenue earned and expenses incurred, regardless of cash flow.

To prepare a Cash Basis Income Statement, we need to consider only cash transactions that occurred during the month of March. Let's break down the transactions:
a. Sold instruments for $16,600; received $11,000 in cash and the rest on account. The cost of the instruments was $7,200.
b. Purchased $4,900 of new instruments inventory; paid $1,600 in cash and owed the rest on account.
c. Paid $680 in wages to employees who worked during the month.
d. Received $3,100 from customers as deposits on orders of new instruments to be sold in April.
e. Received a $260 bill for March utilities that will be paid in April.

Using the cash basis method, we will only consider cash inflows and outflows for the month of March.

Revenue:
Cash received from sales: $11,000

Expenses:
Cost of goods sold (instruments): $7,200
Wages paid: $680
Total Expenses: $7,880

Net Income:
Net income = Revenue - Expenses
Net income = $11,000 - $7,880
Net Income = $3,120

Now, let's prepare an Accrual Basis Income Statement, which includes all revenue earned and expenses incurred in March, regardless of cash flow.

Revenue:
Cash received from sales: $11,000
Accounts receivable (sales on account): $5,600
Total Revenue: $16,600

Expenses:
Cost of goods sold (instruments): $7,200
Wages paid: $680
Utilities expense (accrual): $260
Total Expenses: $8,140

Net Income:
Net income = Revenue - Expenses
Net income = $16,600 - $8,140
Net Income = $8,460

In conclusion, the Cash Basis Income Statement shows a net income of $3,120, while the Accrual Basis Income Statement shows a net income of $8,460. The cash basis method only considers cash transactions, while the accrual basis method considers all revenue earned and expenses incurred, regardless of cash flow.

To know more about Company visit;

brainly.com/question/30532251

#SPJ11

Create a presentation that describes your plan and findings for a personal finance budget.
assignment prompt
in this assignment, you will create a multimedia presentation to communicate your findings from your
previous budget assignment. you will describe your budget, explain your reasoning, provide evidence,
address opposing perspectives, and educate your audience.
assignment instructions

Answers

To create a presentation that describes your plan and findings for a personal finance budget, follow these steps: Start with an introduction: Begin your presentation by explaining the purpose of the budget assignment and provide an overview of what you will be discussing.

Present the details of your personal finance budget, including your income, expenses, and savings goals. Break down your budget into categories such as housing, transportation, food, entertainment, and debt repayment. Provide a clear explanation of why you allocated certain amounts to each category. For example, if you allocated more money to housing, explain that it is because you prioritize having a comfortable and safe living environment.



Support your budget decisions with evidence. For instance, if you allocated a specific amount for groceries, mention the average cost of groceries in your area or provide examples of prices for different food items. Address opposing perspectives: Acknowledge any potential criticisms or opposing perspectives to your budget decisions. Explain why you made certain choices and address any concerns others may have.
To know more about presentation  visit:

https://brainly.com/question/31183278

#SPJ11

building a product to order from components and delivering to the customer is an example of what manufacturing process?

Answers

Building a product to order from components and delivering it to the customer is an example of a manufacturing process known as "assemble-to-order" (ATO).

In the ATO approach, a company maintains an inventory of pre-made components or sub-assemblies that can be quickly assembled or customized to fulfill specific customer orders. Unlike traditional mass production where products are made in advance and stored in inventory, the assemble-to-order strategy allows for greater flexibility and customization. The final product is assembled based on the customer's specific requirements and preferences, which helps minimize lead times and reduces the risk of carrying excess inventory. This manufacturing process is commonly used in industries where customization is important, such as electronics.

learn more about components here:

https://brainly.com/question/19424970

#SPJ11



Serotta Corporation is planning to issue bonds with a face value of $ 300,000 and a coupon rate of 12 percent. The bonds mature in two years and pay interest quarterly every March 31, June 30, September 30 , and December 31. All of the bonds were sold on January 1 of this year. Serotta uses the effective-interest amortization method and does not use a premium account. Assume an annual market rate of interest of 8 percent.

Required:

(a) Provide the journal entry to record the issuance of the bonds.

Answers

The journal entry to record the issuance of the bonds would be as follows: Debit: Cash (300,000) - to record the cash received from the issuance of bond Credit: Bonds Payable (300,000) - to record the face value of the bonds issued

The journal entry to record the issuance of the bonds involves debiting the Cash account for the cash received from the issuance, and crediting the Bonds Payable account for the face value of the bonds issued. In this case, the face value of the bonds is $300,000.

To record the issuance of the bonds, the company would debit the Cash account for the amount of cash received, which in this case is $300,000. This reflects the inflow of cash resulting from the issuance of the bonds. The company would then credit the Bonds Payable account for the face value of the bonds issued, which is also $300,000. This entry reflects the increase in the company's liabilities due to the issuance of the bonds.

To know more about journal entry visit :

https://brainly.com/question/33438461

#SPJ11

A consumer's attitude toward apple is formed because that consumer has developed ________ over time that apple's products are cutting-edge, innovative, and must-haves.

Answers

Consumer attitudes are evaluations or opinions that individuals hold about a particular object, person, or brand. Attitudes are typically formed based on an individual's experiences, beliefs, and perceptions about a specific entity.

In this case, the consumer's attitude toward Apple is shaped by their accumulated knowledge, exposure, and interactions with Apple's products and brand.Over time, the consumer has likely encountered various Apple products, such as iPhones, iPads, MacBooks, or other Apple devices. These experiences, coupled with marketing messages, media coverage, and word-of-mouth recommendations, contribute to the consumer's beliefs about Apple. The consumer may have observed or experienced features and functionalities that they perceive as cutting-edge and innovative, distinguishing Apple from other competitors.

Furthermore, Apple's brand image and reputation for delivering high-quality, aesthetically pleasing products may have influenced the consumer's attitude. The consumer might have developed a sense of trust and admiration for Apple's products, considering them as must-haves, which implies that they believe owning Apple products would enhance their lifestyle, status, or technological experience.

In summary, the consumer's attitude toward Apple is shaped by their accumulated beliefs and perceptions that Apple's products are cutting-edge, innovative, and desirable. These attitudes are likely influenced by personal experiences, exposure to Apple's products, and the brand's reputation in the market.

To know more about Consumer visit:

https://brainly.com/question/33474331

#SPJ11

being a part of top management at a large fast food chain, antonio is most likely to spend most of his time multiple choice organizing and leading first-line managers. planning and controlling nonmanagerial employees. planning and organizing resources. organizing resources and leading first-line managers.

Answers

As a top management member at a large fast-food chain, Antonio is most likely to spend most of his time organizing and leading first-line managers.

Top management positions typically involve overseeing the overall strategic direction of the organization and ensuring its long-term success. In this context, Antonio's primary responsibilities are likely to revolve around organizing and leading first-line managers.

Organizing refers to the process of structuring the resources and activities of the organization to achieve its goals effectively. Antonio's role would involve establishing clear lines of authority, defining responsibilities, and creating a hierarchical structure that optimizes the flow of information and decision-making. By organizing first-line managers, Antonio ensures that there is a cohesive framework in place to implement the company's strategies and operational plans.

Leading, on the other hand, entails inspiring, motivating, and guiding managers toward achieving organizational objectives. Antonio's leadership role would involve setting expectations, communicating the company's vision and values, and providing guidance and support to first-line managers. He would be responsible for fostering a positive work environment, promoting teamwork, and ensuring that managers have the necessary resources and support to effectively carry out their responsibilities.

While planning and controlling are essential functions of management, they are typically more closely associated with middle-level management roles. Top management positions are more focused on the strategic aspects of the organization, setting goals, formulating strategies, and making high-level decisions. Therefore, Antonio's primary focus is likely to be on organizing and leading first-line managers, ensuring the smooth functioning of the organization's operations and aligning them with the overall strategic direction.

Learn more about hierarchical structure here:- brainly.com/question/14457871

#SPJ11

when a company uses special journals, the general journal is used for transactions not covered by special journals and for:

Answers

When a company uses special journals, the general journal is used for transactions not covered by special journals and for specific purposes such as:

1. Adjusting Entries: The general journal is used to record adjusting entries at the end of an accounting period. These entries are necessary to ensure that the financial statements accurately reflect the company's financial position and operating results.

2. Closing Entries: The general journal is used to record closing entries at the end of an accounting period. Closing entries transfer the balances of temporary accounts (such as revenue and expense accounts) to the retained earnings account, preparing the accounts for the next accounting period.

3. Correction of Errors: If an error is discovered in the special journals or subsidiary ledgers, the general journal is used to make correct entries. These entries rectify the errors and ensure the accuracy of the financial records.

4. Unusual Transactions: Certain transactions may not fit into the categories covered by the special journals. In such cases, the general journal is used to record these unique or infrequent transactions.

The general journal serves as a catch-all for transactions that are not recorded in specialized journals. It allows for the proper recording and classification of these transactions, ensuring that the company's financial records are complete and accurate.

For more questions on: general journal

https://brainly.com/question/5374416

#SPJ8      

The Card Company strives to recover, reuse, and recycle paper at the end of its life cycle to be used in the production of all new greeting cards. In fact, a hundred percent of all of its cards are made from recycled materials. In this case, The Card Company is demonstrating ________. pollution control product stewardship the marketing concept pollution prevention the selling concept

Answers

In this case, The Card Company is demonstrating "product stewardship." Product stewardship refers to the responsibility taken by a company to minimize the environmental impact of its products throughout their entire life cycle, including their disposal and recycling.

By striving to recover, reuse, and recycle paper at the end of its life cycle, and by using 100% recycled materials for its cards, The Card Company is practicing product stewardship.Here, The Card Company is exemplifying "product stewardship." A company's obligation to reduce the environmental effect of its goods over the course of their full life cycle, including disposal and recycling, is referred to as product stewardship. The Card Company engages in product stewardship by working to collect, reuse, and recycle paper at the end of its life cycle and by utilising 100% recycled materials for their cards.

To know more about ,   environment  visit:

https://brainly.com/question/24182291

#SPJ11

A processed-meat manufacturer is moving "downstream" in terms of product flow by launching a chain of retail outlets. Which diversification strategy is being used by the company?
a. Forward vertical integration
b. Related diversification
c. Backward integration
d. Unrelated diversification

Answers

a. Forward vertical integration. The processed-meat manufacturer is moving downstream in the product flow by launching retail outlets, which involves integrating forward into the distribution and retailing of their own products.

Forward vertical integration refers to a strategy where a company expands its operations into downstream activities in the value chain. In this case, the processed-meat manufacturer is venturing into retail outlets, which are closer to the end consumers. By doing so, they gain greater control over the distribution and retail aspects of their products, potentially capturing more value and enhancing their market presence.

Learn more about consumers here:

https://brainly.com/question/33474331

#SPJ11

The following information is available for Carla Vista Company for the month of February: expected cash receipts $52,000; expected cash disbursements $50,000; cash balance February 1, $16,000. Management wishes to maintain a minimum cash balance of $20,000. Prepare a basic cash budget for the month of February.

Answers

Based on the information provided, the basic cash budget for Carla Vista Company for the month of February shows that they need to arrange for an additional $2,000 to maintain their minimum cash balance.

To prepare a basic cash budget for the month of February, we need to consider the expected cash receipts, expected cash disbursements, and the cash balance on February 1.

1. Start with the cash balance on February 1: $16,000

2. Add the expected cash receipts for the month: $52,000

Total available cash: $16,000 + $52,000 = $68,000

3. Subtract the expected cash disbursements: $50,000
Ending cash balance before considering the minimum cash balance: $68,000 - $50,000 = $18,000

4. Compare the ending cash balance with the minimum cash balance desired by management: $18,000 < $20,000
Since the ending cash balance is less than the desired minimum cash balance, additional funds are needed.

5. Calculate the cash shortage: $20,000 - $18,000 = $2,000

6. The company needs to arrange for an additional $2,000 to meet its minimum cash balance requirement.

Learn more about cash balance

https://brainly.com/question/28388417

#SPJ11

4. which of the three motives for holding foreign exchange are applicable to each of the following? a. a tourist. b. a bond trader. c. a portfolio manager. d. a manufacturer.

Answers

A tourist: The primary motive for a tourist holding foreign exchange is the transaction motive. They need foreign currency to cover their expenses while traveling abroad, such as accommodation, food, transportation, and shopping.

A bond trader: The motive for a bond trader holding foreign exchange would primarily be the speculation motive. Bond traders may engage in foreign exchange trading to profit from anticipated changes in exchange rates. They aim to take advantage of currency fluctuations and make speculative trades to generate profits.A portfolio manager: A portfolio manager may hold foreign exchange for both transaction and portfolio diversification motives. The transaction motive arises when managing international investments, where foreign currency is needed for buying and selling foreign assets. The portfolio diversification motive comes into play when a portfolio manager seeks to reduce risk by investing in assets denominated in different currencies, providing exposure to various economies.A manufacturer: The motive for a manufacturer holding foreign exchange is mainly the transaction motive. Manufacturers that engage in international trade need foreign currency to pay for imports of raw materials or components and to receive payment for exports of finished goods. They hold foreign exchange to facilitate cross-border transactions related to their production activities.

learn more about holding here:

https://brainly.com/question/30006676

#SPJ11

shoshana is designing a presentation for middle schoolers about the dangers of vaping. she is trying to decide the best way to present the objective information in her presentation. which response is the best way to reach her audience?

Answers

Shoshana can effectively present the objective information about the dangers of vaping in a way that resonates with her middle school audience and promotes their understanding and awareness of the topic.

The best way for Shoshana to reach her middle school audience in her presentation about the dangers of vaping would be to use an engaging and interactive approach that includes the following elements:

1. Visual aids: Incorporate visually appealing and informative slides or images that effectively illustrate the dangers of vaping. Use graphics, charts, and illustrations to make the information more engaging and understandable for the middle schoolers.

2. Clear and concise language: Use language that is age-appropriate and easy for middle schoolers to comprehend. Avoid technical jargon and complex terms. Present the information in a straightforward and concise manner to ensure clarity.

3. Real-life examples: Share real-life stories and examples of the negative consequences of vaping. This can help the middle schoolers connect with the topic on a personal level and understand the potential risks and harms associated with vaping.

4. Interactive activities: Incorporate interactive activities to actively engage the middle schoolers in the presentation. This could include quizzes, polls, group discussions, or small-group activities that encourage participation and promote understanding of the dangers of vaping.

5. Peer testimonials: Consider including testimonials from other middle school students or young individuals who have experienced the negative effects of vaping. Peer testimonials can have a strong impact on the audience, as they can relate to and connect with the experiences of their peers.

6. Q&A session: Allocate time for a question-and-answer session where the middle schoolers can ask their questions and clarify any doubts or concerns they may have about vaping. This allows for active engagement and provides an opportunity to address specific inquiries from the audience.

By combining visual aids, clear language, real-life examples, interactive activities, peer testimonials, and a Q&A session in workplace, Shoshana can effectively present the objective information about the dangers of vaping in a way that resonates with her middle school audience and promotes their understanding and awareness of the topic.

learn more about workplace here :brainly.com/question/19965171
#SPJ11

Investors who trade with a very short time horizon, generally holding onto stocks for only a few hours, are called Question 20 options: day traders. movement traders. hedge traders. deep discount traders. None of these.

Answers

Investors who trade with a very short time horizon, generally holding onto stocks for only a few hours, are called day traders. The to your question is day traders.


Day traders are investors who buy and sell stocks within the same trading day. They aim to take advantage of short-term price movements and make quick profits. This type of trading strategy requires constant monitoring of the market and making fast decisions.

In summary, the correct term for investors who trade with a very short time horizon is day traders.

To know more about Investors visit:

https://brainly.com/question/31754896

#SPJ11

your goal is to have $17,500 in your bank account by the end of five years. if the interest rate remains constant at 9% and you want to make annual identical deposits, how much will you need to deposit in your account at the end of each year to reach your goal? (note: round your answer for pmt to two decimal places.)

Answers

To accumulate $17,500 in a bank account within five years with a constant interest rate of 9% and equal annual deposits, the explanation will provide the calculation of the required deposit amount using the concept of annuity and the formula for the present value of an annuity.

To determine the annual deposit amount required to reach the goal of $17,500 in five years, we can use the concept of an annuity. An annuity represents a series of equal payments made at regular intervals. In this case, the deposits are made annually. We can calculate the required deposit amount using the formula for the present value of an annuity:

PV = PMT × [(1 - (1 + r)^(-n)) / r]

Where:

PV is the present value (desired goal amount) - $17,500

PMT is the payment amount (annual deposit)

r is the interest rate per period - 9% or 0.09

n is the number of periods - 5 years

Substituting the values into the formula, we can solve for PMT:

$17,500 = PMT × [(1 - (1 + 0.09)^(-5)) / 0.09]

Solving this equation will give us the annual deposit amount needed to accumulate $17,500 in five years. Please note that since the question requires rounding the answer for PMT to two decimal places, the final result will be rounded accordingly. By calculating the required deposit amount using the formula for the present value of an annuity, you can determine the specific annual deposit needed to reach your goal of $17,500 in five years.

Learn more about annual deposit  here:- brainly.com/question/32514889

#SPJ11

"Wu Company incurred $73,600 of fixed cost and $86,400 of variable cost when 2,700 units of product were made and sold.
If the company's volume increases to 3,200 units, the total cost per unit will be:
$27.
$23.
$50.
$55."

Answers

The total cost per unit will be $23. To calculate the total cost per unit, we need to determine the average cost per unit. the fixed cost remains constant, so it is divided by the number of units (2,700) to get $27. The variable cost per unit is calculated by dividing the variable cost ($86,400) by the number of units (2,700), resulting in $32.

When the volume increases to 3,200 units, the variable cost per unit remains the same, but the fixed cost is spread over more units, resulting in a lower total cost per unit of $23.

Sure! Let's break down the calculation step by step.

1. Fixed cost per unit: The fixed cost incurred by the company is $73,600. Since this cost remains constant regardless of the number of units produced, it needs to be divided by the number of units (2,700). Therefore, the fixed cost per unit is $73,600 / 2,700 = $27.26, which we can round down to $27.

2. Variable cost per unit: The variable cost incurred by the company is $86,400. This cost fluctuates based on the number of units produced. To calculate the variable cost per unit, we divide the total variable cost by the number of units (2,700): $86,400 / 2,700 = $32 per unit.

3. Total cost per unit: To find the total cost per unit when the volume increases to 3,200 units, we need to consider both the fixed and variable costs. The variable cost per unit remains unchanged at $32. However, the fixed cost is still $73,600 but spread over more units. Thus, the total cost per unit becomes ($73,600 + $86,400) / 3,200 = $160,000 / 3,200 = $50 per unit. therefore, the correct answer is that the total cost per unit will be $50, not $23. Apologies for the error in the initial response.

Learn more about company here:

https://brainly.com/question/30532251

#SPJ11

under the balance sheet approach, the full change in the amount of future liability is recognized as an increase or decrease in income tax expense in the year the:

Answers

"future liability is recognized."  Under the balance sheet approach, the full change in the amount of future liability is recognized as an increase or decrease in income tax expense in the year the liability arises.

This approach focuses on the recognition of the liability itself rather than the timing of cash flows. By recognizing the full change in the liability, it ensures that the associated tax expense accurately reflects the impact on the company's financial position. This approach provides a more comprehensive and accurate representation of the company's tax obligations and helps in assessing its financial performance.

Learn more about balance here;

https://brainly.com/question/27154367

#SPJ11

g on January 1, a company paid the 2400 premium on a one-year insurance policy with benefits beginning on that date. What will be the insurance expense on the annual income statement for the first year ended december 31

Answers

To calculate the insurance expense on the annual income statement for the first year, we need to determine the amount of the premium that will be recognized as an expense.

Given that the premium paid was $2,400 and the policy covers a one-year period, we can divide the premium by the number of months in a year (12) to determine the monthly expense.

$2,400 / 12 = $200

Since the policy's benefits begin on January 1, the expense for the first year will cover the period from January 1 to December 31, which is 12 months.

Therefore, the insurance expense on the annual income statement for the first year ended December 31 will be $200 multiplied by 12, which equals $2,400.

To know more about insurance visit:

brainly.com/question/989103

#SPJ11

A competitive firm has a long-run total cost function c(y) = 3y^ 2 + 675 for y > 0 and c(0) = 0. Derive the equation or equations that would describe its long-run supply function.

Answers

The long-run supply function is determined by finding the minimum point of the long-run average cost (LRAC) curve.

How is the long-run supply function derived for a competitive firm with a given cost function?

To derive the long-run supply function of a competitive firm with the given cost function c(y) = 3y² + 675, we need to determine the firm's optimal output level that minimizes its long-run total cost.

In the long run, a competitive firm operates at the minimum point of its long-run average cost (LRAC) curve.

Since the LRAC curve is U-shaped, the firm's optimal output occurs at the bottom of the U-shaped curve, where the LRAC is at its minimum.

Mathematically, this corresponds to finding the point where the derivative of the cost function with respect to output (dC(y)/dy) equals zero.

By taking the derivative of c(y) and setting it equal to zero, we can solve for the optimal output level.

This optimal output level will then define the long-run supply function for the competitive firm.

Learn more about supply function

brainly.com/question/28708589

#SPJ11

The choice of an inventory costing method has no significant impact on the financial statements. True False

Answers

False, The choice of an inventory costing method has no significant impact on the financial statements.

Different inventory costing methods can result in different amounts of cost of goods sold and ending inventory. This can affect a company's gross profit, net income, and cash flow.

For example, the FIFO (first-in, first-out) method assumes that the first goods purchased are the first goods sold. This means that the cost of goods sold will be based on the most recent purchase prices, which can result in a higher cost of goods sold and lower gross profit.

The LIFO (last-in, first-out) method assumes that the last goods purchased are the first goods sold. This means that the cost of goods sold will be based on the oldest purchase prices, which can result in a lower cost of goods sold and higher gross profit.

The average cost method calculates the cost of goods sold based on the average purchase prices of all the goods available for sale. This method can result in a cost of goods sold that is somewhere between the cost of goods sold under FIFO and LIFO.

The choice of inventory costing method can affect a company's financial statements significantly.

To learn more about gross profit: https://brainly.com/question/14988657

#SPJ11

according to henri fayol's principles of management, advocates that compensation should be fair and satisfactory to both the employees and the organization.

Answers

Henri Fayol's management principles state that remuneration should be reasonable and acceptable to the organisation as well as the personnel.

This means that salaries for employees should be competitive with the market and reflect their accomplishments. The remuneration should also be acceptable to the organisation by being in line with its financial capabilities and objectives .

The guiding concept emphasises the need of striking a balance when it comes to remuneration between the requirements and expectations of both employees and the organisation.

To know more about financial capabilities click on below link:

https://brainly.com/question/29975552#

#SPJ11

The ultimate responsibility for public policy legislation controlling the waters of the united states is the?

Answers

The federal government is responsible for public policy laws governing US seas. Congress, which can establish national water resource and management laws, is responsible for this.

The federal government sets water policy. The federal government regulates interstate commerce, including navigable waters, under the Constitution. The Environmental Protection Agency (EPA) oversees water policy and regulations, working with the Army Corps of Engineers and the Department of Commerce.

The Clean Water Act and Safe Drinking Water Act set water quality and pollution requirements, which the EPA enforces. The agency enforces these laws with states and localities. Federal oversight and international agreements apply to coastal and Great Lakes waters. The federal government sets and enforces public policy to protect and manage US waters. States have some control over water resources inside their borders.

To know more about federal government

https://brainly.com/question/29602729

#SPJ4

Cox Footwear pays a constant annual dividend. Last year, the dividend yield was 2.5 percent when the stock was selling for $26 a share. What is the current price of the stock if the current dividend yield is 3.1 percent

Answers

Cox Footwear pays a constant annual dividend. Last year, the dividend yield was 2.5 percent when the stock was selling for $26 a share.

the current price of the stock if the current dividend yield is 3.1 percent.To find the current price of the stock, we can use the dividend yield formula.
Dividend yield = Dividend per share / Stock price
Let's denote the current dividend per share as D and the current price of the stock as P.
According to the information given, last year's dividend yield was 2.5 percent, and the stock was selling for $26 a share.
So, we can set up the equation as:
0.025 = D / 26
Solving for D, we find that D = 0.025 * 26 = $0.65
Now, we are given that the current dividend yield is 3.1 percent. We can use this information to find the current price of the stock.
0.031 = D / P
Substituting the value of D as $0.65, we can solve for P:
0.031 = 0.65 / P
Multiplying both sides of the equation by P, we get:
0.031P = 0.65
Dividing both sides of the equation by 0.031, we find that:
P = 0.65 / 0.031
Calculating this, we find that the current price of the stock is approximately $20.97.

To know more about dividend visit:

https://brainly.com/question/33428821

#SPJ11

which of the following is not an example of a liability? a. accounts receivable b. accounts payable c. accrued expenses d. payroll

Answers

The following is not an example of a liability is a. accounts receivable.

An accounts receivable is an asset rather than a liability, this is because it is an amount owed to a company by its customers, indicating that the company is owed payment for its goods or services. The balance sheet shows a company's assets and liabilities. A liability is any financial obligation owed by a company to another party. Liabilities can be current or long-term, and they can include accounts payable, accrued expenses, payroll, and others.

Accounts payable are obligations to pay suppliers or vendors for goods or services received but not yet paid for. Accrued expenses, on the other hand, are obligations that a company has incurred but has not yet paid, such as wages earned by employees but not yet paid. Payroll is another example of a liability, this refers to the salaries and wages that a company owes its employees but has not yet paid. So therefore the correct answer is (a) accounts receivable.

Learn more about liability at:

https://brainly.com/question/30805836

#SPJ11

lo purchase a specialty gurtar tor his band, tor the last two years jj Morrison has made payments
of $118 at the end of each month into a savings account earning interest at 5.31% compounded monthly. If he
leaves the accumulated money in the savings account
another three years at 5.54% compounded quarterly. how much will he have saved to buy the
guitar?
The balance in the account will be $___
(Round the final answer to the nearest cent as needed. Round all intermediate values to six decimal places as needed.

Answers

The balance in the account will be $___.

To calculate the balance in the savings account, we can use the future value formula for compound interest.

First, we calculate the future value of the monthly payments for two years at 5.31% compounded monthly. Using the formula:

Future Value = Payment * [(1 + (Interest Rate / Number of Compounding Periods))^(Number of Compounding Periods * Number of Years)]

Payment = $118, Interest Rate = 5.31% = 0.0531, Number of Compounding Periods = 12, Number of Years = 2

Future Value = $118 * [(1 + (0.0531 / 12))^(12 * 2)]

Next, we calculate the future value of the accumulated money for another three years at 5.54% compounded quarterly. Using the same formula:

Payment = $0 (since no additional monthly payments are made), Interest Rate = 5.54% = 0.0554, Number of Compounding Periods = 4, Number of Years = 3

Future Value = $0 * [(1 + (0.0554 / 4))^(4 * 3)]

Finally, we add the two future values to find the total balance in the savings account.

For more questions like Payment click the link below:

https://brainly.com/question/15136793

#SPJ11

A. how much would it cost to fence a single property whose area is one square mile if that property also happens to be perfectly square, with sides that are each one mile long?

Answers

To calculate the cost of fencing a single property with an area of one square mile, we need to know the cost per unit length of fencing.

Since the property is perfectly square, with sides that are each one mile long, the perimeter of the property would be 4 miles. So, the cost of fencing the property would be the cost per unit length multiplied by 4 miles.

To calculate the cost of fencing a single property with an area of one square mile, assuming it is a perfect square with sides one mile long, we need to consider a few factors.

First, let's calculate the perimeter of the property. Since the property is a perfect square, all sides are equal. If each side of the square is one mile long, then the perimeter will be the sum of all four sides.

Perimeter of a square = 4 x side length

In this case, the side length is one mile, so the perimeter will be:

Perimeter = 4 x 1 mile = 4 miles

Next, we need to determine the cost per unit length of fencing. This can vary depending on factors such as the type of fencing material, labor costs, location, and any additional features or requirements. Without specific information about these factors, it is difficult to provide an exact cost.

Let's assume a hypothetical cost of $10 per foot of fencing.

To know more about fencing visit:

https://brainly.com/question/16818818

#SPJ11

the data warehouse architecture may include which of the following? select one: a. at least one data mart b. data that can be extracted from numerous internal and external sources c. near real-time updates d. all of the above

Answers

The data warehouse architecture may include all of the above options: at least one data mart, data that can be extracted from numerous internal and external sources, and near real-time updates. Option d) all of the above is the correct answer.

The data warehouse architecture is designed to facilitate efficient data storage, retrieval, and analysis. It typically includes at least one data mart, which is a subset of the data warehouse focused on specific business functions or user groups. The data warehouse also incorporates data from various internal and external sources, enabling a comprehensive view of the organization's data. Additionally, some data warehouse architectures support near real-time updates, allowing for timely access to the most up-to-date information. Therefore, option d) all of the above is the correct answer.

To know more about data warehouse, click here: brainly.com/question/18567555

#SPJ11

it is good practice for project managers to spend more time on the executing processes than any other processes. true false

Answers

The statement "it is good practice for project managers to spend more time on the executing processes than any other processes" is FALSE.Effective project managers strike a balance across all process groups to ensure successful project delivery.

While the executing processes are crucial for implementing project activities, project management involves a range of processes that require attention. The five process groups in project management are initiating, planning, executing, monitoring and controlling, and closing. A project manager's time distribution across these process groups depends on the project's specific needs, phase, and complexity. Adequate time should be allocated to all process groups to ensure comprehensive project management. Neglecting planning, monitoring, and controlling processes, for example, could lead to scope creep, cost overruns, and quality issues.

learn more about processes here:

https://brainly.com/question/30691270

#SPJ11

Other Questions
A publisher has fixed costs of $57,108 on a book for development, editing, and advertising. It costs the publisher $9 per copy at the printer. The publisher charges $36 per copy. Write the linear profit function that represents the profit, P(x), for the number of books sold. A. P(x)=45x57,108 B. P(x)=27x+57,108 C. P(x)=27x57,108 D. P(x)=27x+57,108 E. P(x)=45x+57,108 What is the wavelength of the light emitted by atomic Hydrogen according to Balmer's formula with m = 3 and n = 8? A) 389nm B)955nm C)384nm D)1950 Interdisciplinary teams should collaborate to educate and identify at-risk patients regarding what FDA black box warning for non-vitamin K oral anticoagulants (NOACs) Question Set B: Weather Applications in Aviation 1. Synthesize and apply related concepts from Modules 2 and 3 to explain why, on a given summer day, a regional airfield located near sea level along the central California coastline is more likely to have both smaller changes in temperature over the course of the day, and greater chances for low cloud ceilings and low visibility conditions, compared to a regional airfield located in the lee of California's Sierra Nevada mountain range at elevation 4500 feet. Machines A and B are mutually exclusive and are expected to produce the following real cash flowsCash Flows ($ thousands)Machine C0 C1 C2 C3A 100 +110 +121B 120 +110 +121 +133 The real opportunity cost of capital is 10%. (Use PV table.) a. Calculate the NPV of each machine. dinner customers at the red iguana restaurant often experience a long wait for a table. for a randomly selected customer who arrives at the restaurant between 6:00 pm and 7:00 pm, the waiting time (in minutes) is a continuous random variable such that (a) suppose a dinner customer is randomly selected. what is the probability that the person must wait for a table at most 20 minutes? show correct probability notation. (4 pts) Discuss the laws that govern nursing inGeorgia state. Which laws specifically address nurseautonomy? Which is not cited as a potential reason for the increase in the u.s. prison population? Steven and geraldine live in a very nice house in an upscale neighborhood, but when their father was young it wasnt the same story. Their father lived in a poor neighborhood and his parents struggled to make ends meet. Due to his hard work and perseverance, their father achieved great success at work and provided them with the life they lead now. This is an example of what?. how does the integration of primary sources of literature bolster the foundations of an authentic curriculum when engaging with american history? fill in the blank with the most appropriate answer. many clever sales messages combinerational and emotional appeals in the interest section of the message. . Which one of the following statements concerning the range of a football is true if the football is kicked at an angle with an initial speed vo? a) The range is independent of initial speed vo. b) The range is only dependent on the initial speed vo. c) The range is independent of the angle 0. d) The range is only dependent on the angle 0. e) The range is dependent on both the initial speed vo and the angle 0. Determine if each of the following is a random sample. Explain your answer.The first 50 names in the telephone directory Given f(x)=2x 2+x+6 2.1 Calculate the coordinates of the turning point of f. 2.2 Determine the y-intercept of f. 2.3 Determine the x-intercepts of f. 2.4 Sketch the graph of f showing clearly all intercepts with the axes and turning point. 2.5 Determine the values of k such that f(x)=k has equal roots. 2.6 If the graph f is shifted TWO units to the right and ONE unit upwards to form h, determine the equation h in the form y=a(x+p) 2+q. airlines that try to lower fares in order to increase revenue believe the demand for airline service is price inelastic income elastic income inelastic price elastic Q6\( f^{\prime}(x)=\sqrt{x}+x^{2}, \quad f(0)=2 \) Determine teh de Broglie wavelength of a neutron (. = 1.67 x 10^-27kg) that has a speed of 5.0 m/sA) 79 nmB) 162 nmC) 395 nmD) 529 nmE) 1980 nm For the following transfer functions of control systems, determine the peak frequency response gain, cut-off frequency/frequencies and plot the magnitude- and phase-response functions. b) X(s) = 2 (s+150)/(s+20) jude plans to invest in a money account that pays 9 percent per year compuding monthly. D Question 50 3.3 pts Calcium concentration in your blood is regulated by your parathyroid gland. If it falls below 4.3 meq/I, the parathyroid gland recognizes it and signals to the signals to the kidney to prevent it from being released in urine as well as causes bone to break down and release calcium into the blood. If it gets above 5.3 meq/1, the kidneys excrete more calcium and your bone absorbs additional calcium. If the blood has too much calcium, what action might be taken? bone breaks down conserve calcium in bloodstream excrete calcium muscle tears D Question 51 3.3 pts Calcium concentration in your blood is regulated by your parathyroid gland. If it falls below 4.3 meg/l, the parathyroid gland recognizes it and signals to the signals to the kidney to prevent it from being released in urine as well as causes bone to break down and release calcium into the blood. If it gets above 5,3 meg/l, the kidneys excrete more calcium and your bone absorbs additional calcium. If the blood doesn't have enough calcium, what action might be taken? bone breaks down excrete calcium higher heart rate muscle spasm