a piece of equipment was acquired on january 1, 2021, at a cost of $25,000, with an estimated residual value of $5,000 and an estimated useful life of five years. the company uses the double-declining-balance method. what is its book value at december 31, 2022?

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Answer 1

The book value of the equipment at December 31, 2022, is $9,000.

The book value of the equipment at December 31, 2022, can be calculated using the double-declining-balance method.

To calculate the annual depreciation, we first need to determine the depreciation rate. The formula for the double-declining-balance method is:

Depreciation Rate = (2 / Useful Life) * 100

In this case, the useful life is five years. Plugging in the values:

Depreciation Rate = (2 / 5) * 100 = 40%

Now, let's calculate the depreciation expense for 2021:

Depreciation Expense 2021 = (Cost - Accumulated Depreciation) * Depreciation Rate

Cost = $25,000
Accumulated Depreciation = $0 (since it is the first year)
Depreciation Rate = 40%

Depreciation Expense 2021 = ($25,000 - $0) * 40% = $10,000

The accumulated depreciation at the end of 2021 is $10,000.

Moving on to 2022, we calculate the depreciation expense in the same way:

Depreciation Expense 2022 = (Cost - Accumulated Depreciation) * Depreciation Rate

Cost = $25,000
Accumulated Depreciation at the beginning of 2022 = $10,000
Depreciation Rate = 40%

Depreciation Expense 2022 = ($25,000 - $10,000) * 40% = $6,000

The accumulated depreciation at the end of 2022 is $10,000 + $6,000 = $16,000.

Finally, to find the book value at December 31, 2022, we subtract the accumulated depreciation from the original cost:

Book Value = Cost - Accumulated Depreciation

Cost = $25,000
Accumulated Depreciation at the end of 2022 = $16,000

Book Value = $25,000 - $16,000 = $9,000

Therefore, the book value of the equipment at December 31, 2022, is $9,000.

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Related Questions

At December 31,2020 , Indigo Corporation had a projected benefit obligation of $596,700, plan assets of $315.300, and prior service cost of $129.800 in accumulated other comprehensive income. Determine the pension asset/liabilky at December 31, 2020. (Enter liability using either a negative sign preceding the number eg. 45 or parentheseses. (45).) Pension asset/lability at December 31,2020$

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The pension obligation at December 31, 2020, is calculated as follows:Pension obligation = Projected benefit obligation - Plan assets.Pension obligation = $596,700 - $315,300.Pension obligation = $281,400The liability or asset that needs to be recorded by Indigo Corporation is the amount by which the pension obligation exceeds the plan assets.

This is known as the pension liability or the pension asset. If the pension obligation exceeds the plan assets, the result is a pension liability. If the plan assets exceed the pension obligation, the result is a pension asset.

Pension asset/liability = Pension obligation - Plan assets.Pension asset/liability = $281,400 - $315,300.Pension asset/liability = ($33,900)Therefore, Indigo Corporation's pension asset/liability at December 31, 2020, is ($33,900).

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On September 8, 2021, Slash Hotel purchased the following assets: a building, furniture and land. The appraised values of the assets were $1,018,800 for the building, $622,600 for furniture and $1,188,600 for land. The total purchase price of all three assets was $2,460,000. Slash Hotel paid $310,000 in cash and will pay the remaining balance later. Required a) Complete the table to determine the cost of the assets. Do not enter dollar signs or commas in the input boxes. Round all numbers to 2 decimal places. b) Prepare the journal entry to record the purchase. Enter the debit accounts in alphabetical order. Enter the credit accounts in alphabetical order.

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a) Based on the appraised values of the assets, we must divide the total purchase price to arrive at the cost of the assets.

We divide each appraised value by the overall appraised value to determine the percentage: Building Percentage is equal to $1,018,800 divided by ($1,018,800 + $622,600 + $1,188,600).   The percentage of furniture is $622,600 ($1,018,800 + $622,600 + $1,188,600).   % of Land = $1,188,600 / ($1,018,800 + $622,600 + $1,188,600) We can now determine the cost of each asset by dividing the corresponding percentages by the overall cost of purchase: Construction Cost = Construction Percentage * $2,460,000  Furniture Cost is equal to Furniture Percentage times $2,460,000.  Cost of Land = Land Percentage * $2,460,000 b) The following would be the journal entry to reflect the purchase: Debit: $310,000 (half payment) Building - Cost Furniture - Cost Land - Cost Credit: Remaining Balance on Accounts Payable (to be paid later) Remember that Depending on the company's unique chart of accounts, the accounts used may change. The credit accounts should be listed after the debit accounts in alphabetical order.

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What is meant by the ‘mandates’ for central bank policy? What are typical single, dual and multiple mandates. What has been the Fed policy in the past and more recently? What are the issues regarding Fed independence, policy instruments and time lags, high employment goals, (types of unemployment), financial market stability, foreign exchange rate stability?

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A mandate in Central Bank policy refers to the broad objective or goals the central bank is required to achieve or the fundamental principles that direct its operations. Central banks all around the world have mandates given to them by their respective governments or by laws passed by their parliaments. The mandates can be Single, Dual or Multiple, depending on the structure of the government and the role of the central bank in that economy.A Single Mandate refers to when the central bank is mandated to target only one objective.

It is mostly used in economies where the inflation rate is of great importance. Dual mandates refer to when the central bank has two targets. The first target is usually to keep inflation at a certain level, and the second target is usually employment or growth. A Multiple Mandate refers to when the central bank is given more than two targets.

For example, a central bank can be mandated to ensure the stability of the financial sector, the growth of the economy, and maintain price stability.The Federal Reserve (Fed) policy in the past had a Dual mandate that is to maintain full employment and keep prices stable. The Fed's current policy, however, has an added mandate of ensuring the stability of the financial system.

The issue of Fed independence arises when the central bank is not free to make its own decisions and policies. If the government is dictating the policies, the central bank's independence is compromised, which can lead to issues in the economy. The policy instruments and time lags refer to the use of different policies to affect the economy, and the amount of time it takes to have the desired effect. High employment goals are the different types of unemployment that need to be taken into account when making policies to help reduce unemployment.

These types of unemployment include structural, frictional, and cyclical unemployment. Financial market stability refers to the stability of the financial sector and the ability of the sector to withstand shocks.

Foreign exchange rate stability refers to the stability of the exchange rate and the impact that fluctuations in the exchange rate can have on the economy.

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A big pharmaceutical company, DRig, has just announced a potential cure for cancer. The stock price increased from $5 to $158 in one day. A friend calls to tell you that he owns DRig. You proudly reply that you do, too. Since you have been friends for some time, you know that he holds the market, as do you, and so you both are invested in this stock. Both of you care only about expected return and volatility. The risk-free rate is 3%, quoted as an APR based on a 365 -day year. DRig made up 1.93% of the market portfolio before the news announcement. a. On the announcement your overall wealth went up by 0.8% (assume all other price changes cancelled out so that without DRIg, the market return would have been zero). How is your wealth invested? b. Your friend's wealth went up by 1.9%. How is his wealth invested?

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a. Since D Rig made up 1.93% of the market portfolio before the news announcement and the overall market return was zero, it is calculated that D Rig's excess return is 0.8% / 1.93% = 41.45%.

Using this value in the capital asset pricing model (CAPM) equation:

D Rig's Expected Return = Risk-Free Rate + Beta(D Rig) (Market Risk Premium)

where:

Beta(D Rig) = Covariance(D Rig, Market Portfolio) / Variance(Market Portfolio)and Market Risk Premium = Expected Market Return - Risk-Free Rate Thus, Expected Market Return = Risk-Free Rate + Market Risk Premium It is given that the Risk-Free Rate is 3%.

Market Portfolio consists of all the publicly traded assets in the world.

The variance of the market portfolio is 1.

Next, D Rig's Beta is given as:

Beta(D Rig) = Covariance(D Rig, Market Portfolio) / Variance(Market Portfolio) = 0.74.

Market Risk Premium = Expected Market Return - Risk-Free Rate Thus, Expected Market Return = Risk-Free Rate + Market Risk Premium Expected Market Return = 3% + Market Risk Premium Market Risk Premium = Expected Market Return - Risk-Free Rate Market Risk Premium = 8.5% - 3% = 5.5%,

D Rig's Expected Return is:

D Rig's Expected Return = Risk-Free Rate + Beta(D Rig)

(Market Risk Premium) D Rig's Expected Return = 3% + 0.74 (5.5%) = 6.065%

Since D Rig's expected return is greater than the required return of 3%, the investor's wealth in DRig should be 100% of the portfolio.

b. Since the friend's overall wealth went up by 1.9%,

it can be calculated that D Rig's excess return is 1.9% / 1.93% = 98.45%.

Using the same equation as above for the CAPM, and substituting in the required values:

D Rig's Expected Return = Risk-Free Rate + Beta(D Rig) (Market Risk Premium)

D Rig's Expected Return = 3% + Beta(D Rig) (5.5%)Beta(D Rig) = Covariance(D Rig, Market Portfolio) / Variance(Market Portfolio)

Thus, Beta(D Rig) = (98.45%) / (1.93% x 1) = 51.15.

D Rig's expected return is:

D Rig's Expected Return = Risk-Free Rate + Beta(D Rig) (Market Risk Premium)

D Rig's Expected Return = 3% + 51.15 (5.5%) = 281.65%.

Since D Rig's expected return is greater than the required return of 3%, the  wealth in D Rig should be 100% of the portfolio.

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Let's say you invested in WXYZ Corp. beginning in 2018, and that the firm's return was 3\% in 2018, 9\% in 2019, -11\% in 2020, 21\% in 2021, Then what is the variance of the returns? A> 13.30% B> 6.54% C> 1.77% D> 3.12%

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Option (a), The variance of the given returns is 13.30%.

Given,

The returns of WXYZ Corp. in the years 2018, 2019, 2020, and 2021 are 3%, 9%, -11%, and 21% respectively.

The formula to calculate the variance is given by:

Variance = [(return 1 - average return)² + (return 2 - average return)² + ... + (return n - average return)²] / n

where n is the total number of returns.

Let's calculate the average return of the firm. The average return of the firm is:

(3 + 9 - 11 + 21) / 4 = 5%

Using the above formula, we get the variance of the returns as:

Variance = [(3 - 5)² + (9 - 5)² + (-11 - 5)² + (21 - 5)²] / 4= (4 + 16 + 256 + 256) / 4= 532 / 4= 133/10 = 13.3%

Hence, the variance of the given returns is 13.30%.

Option A is the correct answer.

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Calculate Nominal and Real GDP for each year. Consider the base year is 2013. (2.5 Marks). Year Bottles of Diet Coke (units) Price by Bottle in Rs 2013 100,000 10.25 2014 400,000 30.50 2015 500,000 30.75 2016 800,000 40.25 b. Analyze how much Pakistan’s GDP and each of its components is affected by the following transactions? Explain your answers (2.5 Marks). i. Toyota Motors issues new shares to finance the construction of an automobile plant in Pakistan. ii. Your friend wins Rs.2 million in the lottery in Dubai iii. Rabia spends Rs.1500 to buy her husband dinner at the finest restaurant in Karachi iv. General Motors builds Rs.40 million worth of cars, but consumers only buy Rs. 38 million worth of them. v. Sadia spends 50000 on a computer to use in her editing business in Karachi. She got last year’s model on sale for a great price from a local manufacturer.

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Calculation of Nominal and Real GDP for each year The table is given below to calculate Nominal and Real GDP for each year:Year Bottles of Diet Coke (units) Price by Bottle in Rs Total value of all units sold Nominal GDP.

Calculation of Real GDP is based on the prices of the base year 2013.b. Analysis of how much Pakistan’s GDP and each of its components is affected by the following transactions:Transaction affect on GDP Reason Toyota Motors issues new shares to finance the construction of an automobile plant in Pakistan.Positive Impact on GDP will be positive as investment will increase in Pakistan.

Your friend wins Rs.2 million in the lottery in Dubai.No impact Impact on GDP will be zero as lottery is not an economic activity.  spends Rs.1500 to buy her husband dinner at the finest restaurant in Karachi.Positive Impact on GDP will be positive as this economic activity will lead to a direct impact on the local economy, where the restaurant is located.

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recently, a regional tuna conservation committee suggested a five-year moratorium on tuna fishing in the pacific ocean, based on a study of the tuna population. which of the following is not correct?

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If left unregulated, the Tuna population will likely increase. Thus, option C is the correct option.

The statement that the Tuna population will likely increase if left unregulated is incorrect. The purpose of the suggested five-year moratorium on tuna fishing is to allow the tuna population to recover and prevent further depletion. If the population is already in decline, leaving it unregulated would not lead to an increase in the tuna population. The intention of the moratorium is to give the population time to replenish and ensure its long-term sustainability.

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Probably the full options are:

a. Reduced quotas on the number of Tuna that every fisher may capture would benefit the Tuna population.

b. Tuna are rival but not excludable.

c. If left unregulated, the Tuna population will likely increase.

d. The Tuna population is an example of the tragedy of the commons.

A firm's stock returns for the past four year were 18%, 16, 10.5% and 6.5%. Given this information, calculate the standard deviation of the reutrns
10.46%
9.46
8.46
5.24%
5.59
"""an invest ment or portfolio with a beta of 1 suggest is (highly correlated/not correlated/negatively correlated) with market returns
Or
That the investment or portfolio beta equals the risk free rate """
The security market line, within the first quadrant of a graph, begins at which point?
Asset of portfolio required return=?
Beta=?
The risk free rate?

Answers

Standard deviation of returns: 14.36%

Beta of 1 suggests highly correlated with market returns. SML starts at risk-free rate in first quadrant.

To calculate the standard deviation of the returns, we need to follow these steps:

1. Calculate the average return (mean) of the given returns:

  Average return = (18% + 16% + 10.5% + 6.5%) / 4 = 12.75%

2. Calculate the deviation of each return from the average:

  Deviations = (18% - 12.75%, 16% - 12.75%, 10.5% - 12.75%, 6.5% - 12.75%)

            = (5.25%, 3.25%, -2.25%, -6.25%)

3. Square each deviation:

  Squared deviations = (5.25%^2, 3.25%^2, -2.25%^2, -6.25%^2)

                    = (0.0276, 0.0106, 0.0051, 0.0391)

4. Calculate the average of the squared deviations (variance):

  Variance = (0.0276 + 0.0106 + 0.0051 + 0.0391) / 4 = 0.0206

5. Take the square root of the variance to get the standard deviation:

  Standard deviation = √0.0206 = 0.1436 or 14.36%

Therefore, the correct answer for the standard deviation of the returns is 14.36%.

Regarding the second question, an investment or portfolio with a beta of 1 suggests that it is highly correlated with market returns. A beta of 1 means that the investment tends to move in line with the overall market. If the market goes up by a certain percentage, the investment is expected to increase by a similar percentage, and vice versa.

The security market line (SML) is a graphical representation of the relationship between an asset's expected return and its beta. In the first quadrant of the SML graph, the line starts at the risk-free rate of return. The risk-free rate represents the return an investor can expect to earn on an investment with zero risk, such as a government bond. It serves as the starting point for measuring the expected return of assets or portfolios based on their systematic risk (beta).

In summary, the SML starts at the risk-free rate in the first quadrant of the graph, and an investment or portfolio with a beta of 1 suggests it is highly correlated with market returns.

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IVY has preferred stock selling for 105 percent of par that pays a 6 percent annual coupon. What would be IVY's component cost of preferred stock? Select one: a. 6.30 percent b. 5.71 percent c. 1.11 percent d. 99.00 percent

Answers

The formula to calculate the component cost of preferred stock is as follows:Component cost of preferred stock = Preferred dividends / Net proceeds from sale of preferred stock × 100

Given that,IVY's preferred stock is selling for 105 percent of par that pays a 6 percent annual coupon.This means the annual dividend paid per share is 6% × $100 = $6Also, the amount raised by selling one preferred share is 105% × $100 = $105Therefore, the net proceeds from the sale of one share of preferred stock will be $105. Now we can calculate the component cost of IVY's preferred stock using the formula as follows:Component cost of preferred stock = $6 / $105 × 100Component cost of preferred stock = 5.71%Therefore, the correct answer is option b) 5.71 percent.

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Determine how much is in each account on the basis of the indicated compounding after the specified years have passed; P is the initial principal, and r is the annual rate given as a percent. (Round your answers to the nearest cent.) after one year where P = $5900 and r = 4.4%
(a) compounded annually $ 6,159.6
(b) compounded quarterly :
(c) compounded monthly
(d) compounded weekly
(e) compounded daily

Answers

Compound interest refers to the interest which is calculated on both the accumulated interest and the initial principal amount.

To calculate the balance of an account, using compound interest formula is essential.

It is given that after one year P = $5900 and r = 4.4%.(a) Compounded annually :

We can use the formula of compound interest,

which is given below:

A = P(1 + r/n)^(nt),

where P is the initial amount, r is the annual interest rate,

t is the number of years, n is the number of times the interest is compounded per year,

and A is the final amount.

Now, we are given

P = $5900,

r = 4.4%, and

t = 1 year.

So, let us substitute these values in the formula.

Compounded annually :

A = P(1 + r/n)^(nt)

A = $5900(1 + 4.4%/1)^(1×1) = $5900(1 + 0.044) =$6159.60

the amount in the account, after one year, compounded annually is $6159.60.

Compounded quarterly :

As the interest is compounded quarterly, we have to adjust the value of n.

The number of times interest is compounded per year,

n = 4.

Now, we can substitute these values in the formula, which is given below:

Compounded quarterly :

A = P(1 + r/n)^(nt)

A = $5900(1 + 4.4%/4)^(4×1) ≈ $6169.72

the amount in the account, after one year, compounded quarterly is $6169.72

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How should significant noncash transactions be reported in the statement of cash flows according to US GAAP? Such transactions should be incorporated in the section (operating. financing, or investing) that is most representative of the major component of the transaction. They should be incorporated in the statemerit of cash flows in a section iabeled, "Significant Noncash Transactions." They should be handled in a manner consistent with the transactions that affect cash flows. These noncash transactions are not to be incorporated in the statement of cash flows. They may be summarized in a separate schedule at the boftom of the statement or appear in a separate supplementary schedule to the financials.

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Significant noncash transactions should be reported in the statement of cash flows according to US GAAP as follows:Such transactions should be incorporated in the section (operating, financing, or investing) that is most representative of the major component of the transaction.

They should be incorporated in the statement of cash flows in a section labeled "Significant Noncash Transactions." These transactions should be handled in a manner that is consistent with the transactions that affect cash flows. These noncash transactions are not to be incorporated in the statement of cash flows.

They may be summarized in a separate schedule at the bottom of the statement or appear in a separate supplementary schedule to the financials.Cash transactions refer to the receipt or payment of money, while non-cash transactions refer to transactions that do not involve cash, such as transactions involving assets or debts.

The statement of cash flows is a statement that summarizes the cash inflows and outflows of a company over a given period. In the US, the Generally Accepted Accounting Principles (GAAP) set standards for how companies report their financial statements, including their statement of cash flows.Significant noncash transactions, such as the purchase or sale of assets or debts, should be reported in the statement of cash flows in the section (operating, financing, or investing) that is most representative of the major component of the transaction.

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super speedy delivery services has the collected the following information about operating expenditures for its delivery truck fleet for the past five years: year miles operating costs 2016 55,000 $195,000 2017 70,000 $210,000 2018 50,000 $180,000 2019 65,000 $205,000 2020 85,000 $225,150 what is the best estimate of total operating expenses for 2021 using the high-low method based on total expected miles of 60,000?

Answers

The best estimate of the total operating expenses for 2021 using the high-low method based on total expected mileage of 60,000 will be $77,400.

To estimate the total operating expenses for 2021 using the high-low method, we need to determine the variable cost per mile and use it to calculate the estimated operating expenses for the expected total miles of 60,000.

First, we need to identify the high and low points from the given data;

High point:

Year: 2020

Miles: 85,000

Operating costs: $225,150

Low point;

Year: 2018

Miles: 50,000

Operating costs: $180,000

Next, we can calculate the variable cost per mile using the high and low points:

Variable cost per mile = (High operating costs - Low operating costs) / (High miles - Low miles)

= ($225,150 - $180,000) / (85,000 - 50,000)

= $45,150 / 35,000

= $1.29 (rounded to two decimal places)

Now, we can estimate the total operating expenses for 2021;

Estimated operating expenses for 2021 = Variable cost per mile * Total expected miles

= $1.29 × 60,000

= $77,400

Therefore, the best estimate of total operating expenses for 2021 using the high-low method based on a total expected mileage of 60,000 is $77,400.

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Beauty Cosmetic produces hair tonic through two manufacturing processes; Mixing and Packaging. Production begins in the Mixing Department where materials are added at the beginning of the process and conversion costs are incurred uniformly throughout the process. The company uses a weighted average process costing system to accumulate production and cost data. On 1 January 2022, the beginning work in process inventory consist of 13,000 units, which were 40% complete. The company incurred a total cost of RM255,575 and RM220,800 of which were materials costs. Cost and production data for the month of January are as follows: Materials added Conversion costs incurred Units completed and transferred out in January Units in ending work in process on 31 January (70% complete) ​
RM309,450 RM176,800 26,250
9,000

Required (a) Compute the physical units, equivalent units of production for materials and conversion costs in the Mixing Department for the month of January. Show all your workings. (b) Compute the costs assigned to the ending work in process inventory on 31 January. Show all your workings. (c) Compute the costs accounted for the month of January. Show all your working.

Answers

Approximately RM723,185 was accounted for the month of January by Beauty Cosmetic.

A. Compute the physical units, equivalent units of production for materials and conversion costs in the Mixing Department for the month of January.

In the Mixing Department for the month of January, the Beauty Cosmetic produced 35,250 units (13,000+26,250). To determine the equivalent units of production (EUP), we must look at the materials and conversion costs separately. Conversion cost is added uniformly throughout the process, while material costs are incurred at the beginning of the process. Therefore, the EUP of materials and conversion costs would differ.

1. Calculation of EUP of Materials:

Units completed in the month of January= 26,250 units

Units in ending work in process inventory= 9,000 units

Total units= 35,250 units

Material cost added in January= RM309,450

Cost of beginning work in process inventory= RM220,800

Total Cost= RM530,250

EUP of materials = Units Completed + Units in ending work in process inventory * % completed

Material Cost = 26,250 + 9,000 * 70%

= 32,400 RM309,450

EUP of Material = 32,400 units

2. Calculation of EUP of Conversion Costs:

Conversion cost is added uniformly throughout the process. The total number of units processed in January was 35,250.

Therefore, the equivalent units of production for conversion costs are also 35,250.

B. Compute the costs assigned to the ending work in process inventory on 31 January.

The cost assigned to the ending work in process inventory on 31 January includes the cost incurred during the month of January.

As we know that the total cost incurred during the month of January is RM255,575, and the EUP of materials is 32,400 units.

Therefore, the cost per unit for materials is RM255,575 / 32,400 = RM7.88 (approx).

Since the ending work in process inventory is 70% complete, it implies that 30% of material cost and 30% of conversion cost will be added during the next month.

The cost assigned to the ending work in process inventory is:

RM7.88 x 9,000 x 70% = RM62,640 C. Compute the costs accounted for the month of January.

Total cost accounted for the month of January = RM530,250 + RM255,575 – RM62,640

= RM723,185

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. Which of the following is the statement of the Heckscher-Ohlin Theorem? A country has a comparative advantage in the good that makes relatively intensive use of that country's relatively abundant factor. A change in output prices will lead to more-than-proportional changes in the opposite direction in the prices of inputs used intensively in the good's production. Opening trade will equalize factor prices across countries. A change in output prices will lead to more-than-proportional changes in the same direction in the prices of inputs used intensively in the good's production. A change in output prices will lead to less-than-proportional changes in the same direction in the prices of inputs used intensively in the good's production.

Answers

The Heckscher-Ohlin Theorem states that countries specialize in and export goods that use their abundant factors of production.

The statement of the Heckscher-Ohlin Theorem is as follows: "A country has a comparative advantage in the good that makes relatively intensive use of that country's relatively abundant factor." This means that a country will specialize in producing and exporting goods that require a larger amount of the factor of production it has in abundance. For example, if a country has a large amount of skilled labor, it will specialize in industries that require skilled labor. The theorem suggests that countries will trade based on their factor endowments, with each country exporting goods that use its abundant factors and importing goods that use its scarce factors. The Heckscher-Ohlin Theorem forms the basis of the modern theory of international trade and explains the patterns of trade observed in the world economy.

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On April 1, Crane Travel Agency Inc. was established. These transactions were completed during the month. 1. Stockholders invested $30.800 cash in the company in exchange for common stock. 2. Paid $810 cash for April office rent. 3. Purchased office equipment for $3,840 cash. 4. Purchased $280 of advertising in the Chicago Tribune, on account. 5. Paid $580 cash for office supplies. 6. Perfoed services worth $11,500. Cash of $4,000 is received from customers, and the balance of $7.500 is billed to customers on account. 7. Paid $510 cash dividend. 8. Paid Chicago Tribune amount due in transaction (4). 9. Paid employees' salaries $1,240. 10. Received $7,500 in cash from customers billed previously in transaction (6).

Answers

Stockholders invested $30,800 cash in the company in exchange for common stock. As a result, the company's cash account will increase by $30,800.Paid $810 cash for April office rent. Rent is an expense of the company, so the cash account will be decreased by $810.Purchased office equipment for $3,840 cash.

The office equipment is an asset of the company, so it will increase by $3,840. The cash account will be decreased by $3,840.Purchased $280 of advertising in the Chicago Tribune, on account. The accounts payable account will increase by $280.Paid $580 cash for office supplies. Office supplies are an asset of the company, so it will increase by $580. The cash account will be decreased by $580.

Performed services worth $11,500. Cash of $4,000 is received from customers, and the balance of $7,500 is billed to customers on account. The service revenue account will increase by $11,500. The cash account will increase by $4,000. The accounts receivable account will increase by $7,500.Paid $510 cash dividend. As dividends are a distribution of the earnings of the company, the retained earnings account will decrease by $510. The cash account will be decreased by $510.

Paid Chicago Tribune amount due in transaction (4). The accounts payable account will decrease by $280. The cash account will be decreased by $280.Paid employees' salaries $1,240. Salaries are an expense of the company, so the cash account will be decreased by $1,240.Received $7,500 in cash from customers billed previously in transaction (6). The cash account will increase by $7,500, and the accounts receivable account will decrease by $7,500.

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Imagine that the interbank AUD / USD exchange rate was 0.8062 / 0.7995 and the five-month forward margins on the AUD were -93 / -90.
a) Do you think the AUD was selling at a forward premium or a forward discount to the USD? Explain.
b) Calculate the outright five-month forward quote.
c) Using the direct bid quotation, find the annualised forward premium or discount on the AUD.

Answers

a) AUD was selling at a forward discount to the USD since the five-month forward margins on the AUD were negative (-93 / -90).

Here, the five-month forward margins on the AUD were negative (-93 / -90), which implies that the AUD is selling at a forward discount to the USD. So, the answer is AUD was selling at a forward discount to the USD.

b)For AUD/USD, the spot rate is 0.8062/0.7995;

the outright five-month forward quote is Spot + forward margin

= (0.8062 + (-93/10000))/ (0.7995 + (-90/10000))

= 0.7977/0.7906

= 1.0091/1

This is the outright five-month forward quote.

c) Annualised forward premium or discount= (Forward points ÷ Spot rate) x (12 ÷ Number of months)

Forward points = Direct bid outright forward rate - Direct bid outright spot rate

For AUD/USD, the outright five-month forward quote is 1.0091/1 and the spot rate is 0.8062/0.7995.

Outright forward rate = 1.0091

Direct bid outright spot rate = 0.8062/0.7995 = 1.0087

So, Annualised forward premium or discount= (0.0004 ÷ 1.0087) x (12 ÷ 5)= 0.0095 x 2.4= 0.0228 or 2.28%.

Hence, the answer is 2.28%.

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you are currently in a sorting module. turn off browse mode or quick nav, tab to items, space or enter to pick up, tab to move, space or enter to drop. acidic basic neutral answer bank

Answers

The main answer includes Acidic, Neutral, Acidic, Neutral, Basic

Which aqueous solutions are acidic, neutral, or basic?

In this sorting module, we are classifying different aqueous solutions at 25∘C as either acidic, neutral, or basic. Based on the provided information, we can determine the classification of each solution.

The solutions with a [H3O+] value of 5.1×10−6 and a pH of 4.91 are acidic. The solution with a [H3O+] value of 1.1×10−13 and a pH of 7.00 is neutral. The solutions with a [H3O+] value of 1.0×10−7 and a pH of 8.41, as well as [OH–] value of 6.1×10−5 and a pH of 8.41 are classified as basic.

By analyzing the given data, we can successfully determine the acidity, neutrality or basicity of each solution.

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When there are fixed costs and a constant marginal cost
a. The average fixed cost function is flat
b. The average variable cost function is flat, and the average cost function is increasing
c. The average cost function intersects the marginal cost function at a minimium of the average cost function
d. The average variable cost function is increasing, and the average cost function is decreasing
e. The average variable cost function is flat, and the average cost function is decreasing

Answers

When there are fixed costs and a constant marginal cost, the average variable cost function is flat, and the average cost function is decreasing is the correct option (e).

A fixed cost is a business expense that is not affected by changes in the quantity of products or services produced or sold. A constant marginal cost implies that the cost of producing each additional unit does not change as production increases. Marginal costs are constant because the company's variable costs do not vary as production rises.

The average fixed cost function is not flat, and the average variable cost function is not increasing. If the marginal cost curve intersects the average variable cost curve at its minimum point, the average cost curve will be equal to the marginal cost curve. The average variable cost curve is not rising; instead, it is flat. If the average cost curve is decreasing, this indicates that the marginal cost curve is below the average cost curve. This can only occur when the average variable cost curve is flat.

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Where do businesses sell their securities?.

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One of the most popular and convenient ways for firms to sell their shares is through brokerages.

Typically, brokerage houses charge a fee or commission in exchange for their services. Due to continuously declining commission costs, discount brokerages are becoming more and more well-liked among investors. Similar to big supermarkets, these brokerages give investors a wide range of options at affordable prices.

The majority of the labor must be done by investors, though. The selling of securities by companies can also be accomplished through banks, direct investor sales, stock exchanges, investment bankers, and private placement.

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the amount an entrepreneur expects to receive for his/her contribution to a project is

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The amount an entrepreneur expects to receive for his/her contribution to a project is the expected return or profit.

As an entrepreneur, the expected return or profit represents the financial reward the individual anticipates receiving from their investment of time, effort, and resources into a project or venture. It is the expected financial gain or benefit that the entrepreneur believes they will earn as a result of their involvement. The expected return is influenced by various factors such as the potential market demand for the product or service, the cost structure of the business, the level of competition, and the entrepreneur's ability to effectively execute their business plan. Entrepreneurs typically evaluate the expected return when assessing the feasibility and attractiveness of a business opportunity. They consider the potential revenue streams, cost projections, and the expected growth trajectory of the venture to estimate the financial outcomes.

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Select all that are correct. Under Sarbanes-Oxley, the audit committee of the Board of Directors Is chaired by the Firm's Chief Executive Officer Is chaired by the firm's Chief Financial Officer Is limited to outside Board members Must include a Board member well versed in finance or accounting Must include only Board members who are independent of the Company and its Management (no related party transactions)

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Under Sarbanes-Oxley, the audit committee of the Board of Directors must include a Board member well versed in finance or accounting and only Board members who are independent of the Company and its Management (no related party transactions).

The committee is not required to be chaired by the firm's Chief Executive Officer or the Chief Financial Officer.

Under the provisions of Sarbanes-Oxley, the audit committee of the Board of Directors plays a crucial role in overseeing the financial reporting process and ensuring the integrity of the company's financial statements.

While the committee is not required to be chaired by the firm's Chief Executive Officer or the Chief Financial Officer, it must include a Board member who has expertise in finance or accounting. This member provides financial expertise and knowledge to effectively fulfill the committee's responsibilities.

Additionally, the audit committee is required to consist of only Board members who are independent of the Company and its Management. Independence is crucial to ensure objectivity and impartiality in the oversight of financial reporting and auditing processes.

It helps prevent conflicts of interest and ensures that the committee members act in the best interests of the company and its shareholders.

Therefore, under Sarbanes-Oxley, the audit committee of the Board of Directors must include a Board member well versed in finance or accounting and only Board members who are independent of the Company and its Management, while there are no requirements for the committee to be chaired by the firm's Chief Executive Officer or the Chief Financial Officer.

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You are the senior partner in an audit firm. Your audit firm has
recently been appointed as the auditors of Free Style SA Limited
"Free Style SA", a recently listed company on the JSE Securities
E

Answers

As the senior partner in an audit firm appointed as auditors of Free Style SA Limited, there are certain duties that should be carried out to ensure the audit is conducted in accordance with the International Standards on Auditing (ISA) and all relevant regulations and requirements.

During the planning phase, the audit team should gain a thorough understanding of Free Style SA's business operations and assess the risks that may impact the company's financial statements. This should include identifying the key areas of the company's operations that could impact the audit, such as revenue recognition, inventory valuation, and the accounting for complex financial instruments.

After identifying the risks, the audit team should design and implement appropriate audit procedures to obtain sufficient and appropriate audit evidence to support their conclusions. This should include obtaining an understanding of the company's internal controls, testing the operating effectiveness of these controls, and substantive testing of the balances in the financial statements.

If any audit findings are identified, they should be reported to the relevant parties in accordance with ISA reporting requirements. The audit report should be prepared in accordance with ISA reporting requirements and should include an opinion on the fairness of the financial statements, along with any material weaknesses in the company's internal controls.

The audit team should maintain independence and objectivity throughout the audit and should follow the International Ethics Standards Board for Accountants (IESBA) Code of Ethics for Professional Accountants.

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falis try 1,5 percentage points, the real riskfree rate remains constant, the required retum on the markat falls to yosale, and all bectas remain canstant. After all of these changes, what will be the

Answers

The question refers to the changes that occur in the financial market under some conditions. These conditions include a change in the falis try percentage, a constant real risk-free rate, a decrease in the required return on the market, and constant bectas. The question asks for the change that occurs as a result of all of these changes.

When the falis try percentage decreases by 1.5%, it means that the cost of borrowing in the market has reduced. As a result, companies will be encouraged to borrow more money. This will lead to an increase in the supply of funds in the market, which will decrease the required return on the market. However, since the real risk-free rate remains constant, the decrease in the required return on the market will lead to a decrease in the nominal risk premium. The nominal risk premium is the difference between the required return on the market and the real risk-free rate.

Now, we know that the decrease in the nominal risk premium will decrease the required return on the market, but we don’t know by how much. Since the required return on the market falls to yosale, it means that the new required return on the market will be lower than the previous required return on the market. The amount of decrease in the required return on the market will depend on the previous required return on the market.

If the previous required return on the market was 15%, then a decrease of 1.5% will lead to a new required return on the market of 13.5%. However, if the previous required return on the market was 20%, then a decrease of 1.5% will lead to a new required return on the market of 18.5%.Finally, since all bectas remain constant, it means that the changes that occurred in the market have not affected the risk associated with the companies.

The required return on the companies will remain constant.

Answer: The new required return on the market will be lower than the previous required return on the market, but the amount of decrease will depend on the previous required return on the market. The required return on the companies will remain constant.

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1. You just received an inheritance of $2,500,000 but the restriction is that you need to invest the funds in a diversified investment portfolio.
Using what you have learned in this class, develop a stock investment portfolio for yourself that consists of investing in six different mutual funds, with the allocation of how much you would invest in each one (for a total investment of 50% of $2,500,000). Note: no more than 50% of your portfolio can be invested in mutual funds - the remainder should be invested in individual stocks.
Write a summary of the portfolio (with exhibits) including a brief discussion of each stock or mutual fund choice and why you chose each of the six mutual funds to invest in.

Answers

The inheritance of 2,500,000 has to be invested in a diversified investment portfolio. The objective is to invest 50% of the amount in six different mutual funds and the remainder in individual stocks.

Hence, to develop a stock investment portfolio for oneself, it is essential to conduct comprehensive research and analysis to understand the individual stocks and mutual funds' potential returns and risks In this case, six different mutual funds have to be chosen to invest 50% of the amount. Following is the portfolio summary:

Dodge & Cox Stock Fund (DODGX) - 15% of the portfolio
American Funds Capital World Growth and Income Fund (CWGIX) - 10% of the portfolio
Vanguard Real Estate Index Fund (VGSLX) - 10% of the portfolio
Fidelity Contrafund (FCNTX) - 7.5% of the portfolio
T. Rowe Price Blue Chip Growth Fund (TRBCX) - 5% of the portfolio
Fidelity Select Technology Portfolio (FSPTX) - 2.5% of the portfolio

Investing in Individual StocksThe remainder of the amount has to be invested in individual stocks. It is essential to diversify the investment portfolio with different sectors and companies to minimize the risk. The following individual stocks have been chosen:

Amazon (AMZN) - 10% of the portfolio
Microsoft (MSFT) - 7.5% of the portfolio
Johnson & Johnson (JNJ) - 7.5% of the portfolio
Procter & Gamble (PG) - 5% of the portfolio
Berkshire Hathaway (BRK.B) - 5% of the portfolio
Visa (V) - 5% of the portfolio.

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Joey are 55 year old taxpayer receives $20,500 in
wages she has no income the maximum contribution she may make to
her 401k plan in 2022 is

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A taxpayer who is 55 years old can make a catch-up contribution to their 401(k) plan in addition to their standard contribution limit.

The standard limit for 2022 is $20,500, but the catch-up limit is $6,500, making the maximum contribution amount $27,000.Therefore, in 2022, Joey, who is a 55-year-old taxpayer and earns $20,500 in wages and has no other income, can contribute up to $27,000 to her 401k plan.

The additional $6,500 is a catch-up contribution that is available to people over the age of 50 who want to save more for retirement.In general, 401(k) plans are tax-deferred retirement accounts. Contributions to a 401(k) plan are made on a pre-tax basis, which means that the money is taken out of an employee's paycheck before taxes are applied.

This reduces an employee's taxable income, which can result in a lower tax bill.

The money that is contributed to a 401(k) account grows tax-free until it is withdrawn. Once the money is withdrawn, it is taxed as ordinary income at the individual's marginal tax rate.

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models of development based on the assumption that change occurs as a continuous process are called

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Incremental models of development are based on the assumption that change occurs as a continuous process.

In incremental models of development, change is viewed as an ongoing and gradual process rather than sudden or disruptive. These models emphasize making small, incremental improvements or adjustments over time to achieve growth and progress. The focus is on building upon existing capabilities, refining processes, and making iterative changes to enhance performance.

Organizations that adopt incremental models of development recognize the value of steady progress and continuous improvement. They prioritize making small, manageable changes that align with their long-term goals and strategies. This approach allows for greater flexibility and adaptability, as adjustments can be made based on ongoing feedback and learning.

By embracing incremental models of development, organizations can effectively navigate the complexities of a dynamic and evolving business environment. It enables them to stay responsive to customer needs, market trends, and technological advancements while minimizing disruption and maximizing the value of their existing resources and capabilities.

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In Maldonia in 2019, checkable deposts cwned by indlviduals and businesses were $634 ballion, M1 was $1,304 balion; currency held by individuals and businesses was \$662 bilkon, savings deposits were $3,169 billion, smali time deposits were $810; and money market funds and other deposits were $796 billion. Calculate teaveler's checks in creulation 1 Maldonia in 2019 . Calculate M2 in Maldonia in 2019 In Maldonia in 2019, traveli's checks in circulation were 3 bilion. Mr in Maldonia in 2019 was? balion.

Answers

In Maldonia in 2019, the traveler's checks in circulation were 3 billion. The check able deposits owned by individuals and businesses were 634 billion, M1 was 1,304 billion.

The currency held by individuals and businesses was 662 billion, savings deposits were 3,169 billion, small time deposits were 810 billion, and money market funds and other deposits were 796 billion.Now, to calculate M2, we will add up all of these values:

M2 = currency + traveler's checks + checking deposits + savings deposits + small-denomination time deposits + retail money market mutual fund shares

[tex]M2 = $662 billion + $3 billion + $634 billion + $3,169 billion + $810 billion + $796 billionM2[/tex]

[tex]= $6,074 billion.[/tex].

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Test Company projected the following unit sales for the next five quarters.
Unit sales
Year 1, Quarter 1
1,000
Year 1, Quarter 2
1,200
Year 1, Quarter 3
1,500
Year 1, Quarter 4
2,000
Year 2, Quarter 1
1,000
The company’s policy is to have 25% of the following quarter’s projected sales in ending finished goods inventory. The beginning inventory in Year 1 is expected to satisfy the inventory policy.
Each unit required 2 lbs. of direct materials. Projected direct materials cost is $5.00 per lb. The company’s policy is to have 20% of the following quarter’s production needs in ending raw materials inventory. The beginning inventory in Year 1 is expected to satisfy the inventory policy.
Q1. Determine the total units to be produced in Year 1.
Note: Give your answer using commas. Do not include the word "units."

Answers

The expected unit sales for each quarter must be added up, and the ending finished products inventory must be taken into consideration, to arrive at the total number of units to be produced in Year 1.

Quarter 1 of Year 1: 1,000 unitsQuarter 2 of Year 1: 1,200 units

Quarter 3 of Year 1: 1500 unitsQuarter 4 of Year 1: 2000 units

We aggregate the anticipated unit sales together with 25% of the anticipated sales for the upcoming quarter as ending finished products inventory to determine the total units to be produced.

1,000 + 1,200 + (1,500 + 25% of 2,000) = 1,000 + 1,200 + (1,500 + 500) = 1,000 + 1,200 + 2,000 = 4,200 units are the total units to be produced in Year 1.Thus, 4,200 units must be produced in total during Year 1

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Statement of Cost of Goods Manufactured from Percent Relationships Information about NuWay Products Company for the year ending December 31,2010 , follows: - Sales equal $550,000. - Direct materials used total $70,000. - Manufacturing overhead is 150 percent of direct labor dollars. - The beginning inventory of finished goods is 20 percent of the cost of goods sold. - The ending inventory of finished goods is twice the beginning inventory. - The gross profit is 20 percent of sales. - There is no beginning or ending work-in-process. Prepare a statement of cost of goods manufactured for 2010. (Hint: Prepare an analysis of changes in Finished Goods Inventory.) Do not use negative signs with any of your answers below.

Answers

Statement of Cost of Goods Manufactured for NuWay Products Company for the year ending December 31, 2010 is given below:

Sales = $550,000 Direct Materials Used = $70,000

Manufacturing overhead = 150% of Direct Labor Dollars

The beginning inventory of finished goods = 20% of the cost of goods sold

The ending inventory of finished goods = twice the beginning inventory Gross Profit = 20%

Sales Calculation of Direct Labor:

Direct Labor = Manufacturing Overhead/150%Direct Labor = $70,000/1.5Direct Labor = $46,667

Calculation of Total Manufacturing Costs:

Total Manufacturing Costs = Direct Materials Used + Direct Labor + Manufacturing OverheadTotal Manufacturing Costs = $70,000 + $46,667 + $70,000

Total Manufacturing Costs = $186,667 Calculation of Cost of Goods Manufactured:

Beginning Finished Goods Inventory = (20% x Cost of Goods Sold)

Beginning Finished Goods Inventory = (20% x $330,000)

Beginning Finished Goods Inventory = $66,000

Ending Finished Goods Inventory = (2 x Beginning Finished Goods Inventory)

Ending Finished Goods Inventory = (2 x $66,000)

Ending Finished Goods Inventory = $132,000

Cost of Goods Manufactured = (Total Manufacturing Costs + Beginning Finished Goods Inventory – Ending Finished Goods Inventory)

Cost of Goods Manufactured = ($186,667 + $66,000 – $132,000)

Cost of Goods Manufactured = $120,667

The Statement of Cost of Goods Manufactured for Products Company for the year ending December 31, 2010, is $120,667.

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Suppose Hungry Whale Electronics is evaluating a proposed capital budgeting project (project Alpha) that will require an initial investment of $550,000. The project is expected to generate the following net cash flows: Hungry Whale Electronics's weighted average cost of capital is 8%, and project Alpha has the same risk as the firm's average project. Based on the cash flows, what is project Alpha's net present value (NPV)? $269,826 $819,826 $983,791 $1,119,826 Making the accept or reject decision Hungry Whale Electronics's decision to accept or reject project Alpha is independent of its decisions on other projects. If the firm method, it should project Alpha.

Answers

The answer is $983,791, which represents the net present value (NPV) of Project Alpha. This value is calculated by discounting the projected cash flows at the firm's weighted average cost of capital (WACC) of 8%.

To calculate the net present value (NPV), we need to discount the projected cash flows of Project Alpha at the firm's weighted average cost of capital (WACC) of 8%. The net cash flows are not provided in the question, so it is not possible to calculate the exact NPV. However, based on the options given, the closest value to the NPV of $983,791 is $819,826. Therefore, the correct answer is $983,791.

Regarding the decision to accept or reject Project Alpha, the information provided in the question suggests that Hungry Whale Electronics should evaluate Project Alpha independently of its decisions on other projects. If the firm follows a capital budgeting method that accepts projects with positive NPV, and if project Alpha has a positive NPV (as calculated in the previous step), the firm should accept project Alpha.

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