Absolute Company has a manufacturing facility in Brooklyn that manufactures robotic equipment for the auto industry. For Year​ 1, Absolute collected the following information from its main production​ line:Actual quantity purchased 200 unitsActual quantity used 110 unitsUnits standard quantity 100 unitsActual price paid $8 per unitStandard price $10 per unitAbsolute isolates price variances at the time of purchase. What is the materials price variance for Year 1?a. $400 favorableb. $400 unfavorablec. $220 favorabled. $220 unfavorable

Answers

Answer 1

Answer:

Direct material price variance= $400 favorable

Explanation:

Giving the following information:

Actual quantity purchased 200 units

Actual price paid $8 per unit

Standard price $10 per unit

To calculate the direct material price variance, we need to use the following formula:

Direct material price variance= (standard price - actual price)*actual quantity

Direct material price variance= (10 - 8)*200

Direct material price variance= $400 favorable


Related Questions

Slack Inc. borrowed $400,000 on April 1. The note requires interest at 12% and principal to be paid in one year. How much interest is recognized for the period from April 1 to December 31? a. $0. b. $48,000. c. $32,000. d. $36,000

Answers

Answer:

D.$36,000

Explanation:

Calculation for How much interest is recognized for the period from April 1 to December 31

First step is to find the 12% of the amount that was borrowed which is $400,000

$400,000×12%

=$48,000

Now let calculate for the amount of interest that is recognized from April 1 to December 31

Interest =$48,000×3/12

Interest =$12,000

Hence,

Interest =$48,000-$12,000

Interest=$36,000

Therefore the amount of interest that is recognized from April 1 to December 31 will be $36,000

A company makes cat food. Management is considering whether the hard cardboard box for packing a case of canned cat food should be made internally or purchased from another company. The costs of producing the cardboard boxes include:_________.
Variable cost per box $0.39
Total fixed costs of the factory $59,030 per year
Total boxes needed annually 21,962
Quote from the supplier, per box $0.22
How much will the company save (or lose) IN TOTAL if they accept the supplier's quote? If they lose money, put a negative sign in front of your answer. If they save money, just put in the number without any sign in front of it.

Answers

Answer:

Total relevant cost of     21,962 * $0.39   = $8,565.18

making internally

Less: Total relevant        21,962 * 0.22     = $4,831.64

cost of purchasing

Savings in cost                                            $3,733.54

Conclusion: Manufacturing the hard cardboard box internally will save cost of $3,733.54 as compared to cost of purchasing the same quantity of box needed from supplier.

Note: Fixed costs is not relevant cost as it is unavoidable.

The following information relating to a company's overhead costs is available.

Actual total variable overhead $74,000
Actual total fixed overhead $18,000
Budgeted variable overhead rate per machine hour $2.00
Budgeted total fixed overhead $16,000
Budgeted machine hours allowed for actual output 44,000

Based on this information, the total variable overhead variance is:

a. $2,000 favorable.
b. $6,000 favorable.
c. $2,000 unfavorable.
d. $6,000 unfavorable.
e. $1,000 favorable.

Answers

74,000 actual total variable overhead

Delta Lighting has 30,000 shares of common stock outstanding at a market price of $15 a share. This stock was originally issued at $31 per share. The firm also has a bond issue outstanding with a total face value of $280,000 which is currently selling for 82 percent of par. The cost of equity is 14 percent while the after-tax cost of debt is 6.8 percent. The firm has a beta of 1.48 and a tax rate of 30 percent. What is the weighted average cost of capital?

Answers

Answer:

the weighted average cost of capital is 11.57 % .

Explanation:

Market Value of Equity = Number of Common Shares Outstanding × Market Price per share

                                      = 30,000 shares × $15

                                      = $450,000

Market Value of Debt = Face Value × 82%

                                    = $280,000 × 82%

                                    = $229,600

WACC = Ke × (E/V) + Kd × (E/V)

           = 14.00 % × ($450,000/ $679,600) + 6.80 %  × ($229,600/ $679,600)

           = 9.27 % + 2.30 %

           = 11.57 %


Year
2016
2017
2018
2019
Cow
P
$300
$350
$370
$380
Q
1000
1050
1100
1200
Bicycle
P
$120
$130
$140
$150
Q
1200
1300
1500
1600

1. Calculate nominal GDP for each year
2. Calculate real GDP for each year
3. Calculate GDP deflator and inflation rate

Answers

Consumer sentiment suddenly crashes below early-pandemic levels in the US #accelerationism

Rinaldo then wants to know whether you understand the impact of errors on the trial balance. If there are errors in the accounts in the general ledger, the trial balance:

Answers

Answer: c. may or may not balance

Explanation:

Even though there are errors in the General Ledger, it is not a given that the Trial Balance will not balance. The purpose of the Trial balance is to match the debits in the company to the credits. This means that if the errors in the General Ledger were still put on the correct side then the Trial Balance would still balance.

For instance, if utility expenses were debited to Purchases in error, both accounts fall on the debit side of the Trial Balance so the Trial Balance would still balance regardless of the error.

The two-step flow supports the notion that consumption styles are primarily influenced by a "trickle-down" or "trickle-up" effect from mass media. Group of answer choices

Answers

Answer: False

Explanation:

The two-step communication is used in situations to explain that messages should be directed by the mass communicators to opinion leaders. Once this is done, the opinion leaders will then deliver such messages to other people.

The the notion that consumption styles are primarily influenced by a "trickle-down" or "trickle-up" effect from mass media is wrong.

At an output level of 53,000 units, you calculate that the degree of operating leverage is 3.21. If output rises to 57,000 units, what will the percentage change in operating cash flow be? Suppose fixed costs are $175,000. What is the operating cash flow at 46,000 units? The degree of operating leverage? that the degree of operating

Answers

Answer:

If output rises to 57,000 units, what will the percentage change in operating cash flow be?

24.23%

What is the operating cash flow at 46,000 units?

$45,613.84

The degree of operating leverage (at 46,000 units)?

4.84

Explanation:

degree of operating leverage = [quantity x (price - variable costs)] / {[quantity x (price - variable costs)] - fixed costs}

degree of operating leverage x {[quantity x (price - variable costs)] - fixed costs} = [quantity x (price - variable costs)]

3.21 x {[53000 x (contribution margin)] - fixed costs} = [53000 x (contribution margin)]

(3.21 x 53000 x contribution margin) - (3.21 x 175000) = 53000 x contribution margin

let C = contribution margin

170130C - 561750 = 53000C

117130C = 561750

C = 561750 / 117130 = 4.795953

operating cash flow (at 53,000) = (53,000 x $4.795953) - $175,000 = $79,185.52

operating cash flow (at 57,000) = (57,000 x $4.795953) - $175,000 = $98,369.32

% change = ($98,369.32 - $79,185.52) / $79,185.52 = 24.23%

operating cash flow (at 46,000) = (46,000 x $4.795953) - $175,000 = $45,613.84

% change in operating cash flows = ($45,613.84 - $79,185.52) / $79,185.52 = -43.4%

% change in sales = (46,000 - 53,000) / 53,000 = -13.21

degree of operating leverage = $220,613.84 / $45,613.74 = 4.84

The balance sheet of Cattleman's Steakhouse shows assets of $86,000 and liabilities of $14,400. The fair value of the assets is $89,400 and the fair value of its liabilities is $14,400. Longhorn paid Cattleman's $82,920 to acquire all of its assets and liabilities. Longhorn should record goodwill on this purchase of:

Answers

Answer:

The goodwill is $7,320

Explanation:

It is given that fair value of assets is $89,400 and fair value of liabilities is $14,400

Fair value difference = Fair value of assets - Fair value of liabilities

Fair value difference = $89,400 - $14,400

Fair value difference = $75,000

Hence, the fair value difference is $75,000

It is given that acquisition price is $82,920  and calculated fair value difference is $75,600. Calculation of goodwill is given below

Goodwill = Acquisition price - Fair value difference

Goodwill = $82,920 - $75,600

Goodwill = $7,320

Hence, the goodwill is $7,320.

Suppose that a museum of modern art discovers the following: adults are willing to pay $20 per ticket to see a Monet exhibit. Students are willing to pay less; 60% of students have WTP of $15, and 40% are willing to pay up to $10. There are no marginal costs to allowing more viewers into the museum. The museum manager decides to set the regular price at $20, and offer a student discount. What discount should it offer?

Answers

Answer:

50%

Explanation:

From the question we have here

If adults would pay 20$

Out of a 100% students:

60% would pay 15

40% would pay 10

If regular price = 20$

We are required to find discount

Discount = (20 - 10)/20 x 100

Discount = 0.5 x 100

Discount = 50%

The museum should offer 50percent discount.

An increase in taxes when the economy is above full employment ​ ______ aggregate demand and real​ GDP, and the price level​ ______.

Answers

Question options :

A. increases; falls

B. decreases; falls

C. does not change; does not change

D. increases; rises

Answer:

B. decreases; falls

Explanation:

let us understand this by looking at the logic behind it. First when the economy is at full employment, there is high demand since there will be increase in money supply through increased circulation from salaries and wages. If government increases taxes, this will reduce purchasing power as money supply will be reduced and therefore demand will be reduced. Also price will fall since according to the Law of demand and supply, if demand is more than supply, price will increase

which of the following quotes is the best way to tell your boss that you can't accept a new assignment right now?

a. I would like to work on this. but if I take this on I won't be able to meet my current deadline.

b. you know I already have this other deadline

c. I just don't know if I can get this all done

d. I don't have time sorry​

Answers

Answer:

a

Explanation:

it would be fine hopefully

The correct quotes are the best way to tell your boss that you can't accept a new assignment right now is "I would like to work on this. But if I take this on, I won't be able to meet my current deadline". Thus, option (a) is correct.

What is assignment?

An assignment is a judicial word used in the context of contract and property law. Assignment is the process through which one person, the assignor, passes rights or advantages to another, the assignee.

Assignment is providing someone to a specific job or piece of labor, or assigning someone to a specific location to complete a job.

The simplest approach to inform your supervisor that you can't take on a new job right now is to say, "I'd want to work on this, but if I take it on, I won't be able to fulfill my present deadline." Therefore, it can be concluded that option (A) is correct.

Learn more about assignment here:

https://brainly.com/question/25875756

#SPJ2

Suppose you purchase a $5,000 bond that pays 7% interest annually and matures in five years. If the inflation rate during the next five years is 4%, the estimated real rate of return is

Answers

Answer:

2.88%

Explanation:

Use the following formula to calculate the real rate of return

Real rate of return = [tex]\frac{( 1 + Nominal interest rate )}{( 1 + inflation rate)} -1[/tex]

Where

Nominal Interest rate = 7% = 0.07

Inflation rate = 4% = 0.04

Placing values in the formula

Real rate of return = [tex]\frac{( 1 + 0.07 )}{( 1 + 0.04)} -1[/tex]

Real rate of return = [tex]\frac{1.07}{1.04} -1[/tex]

Real rate of return = 1.0288 - 1

Real rate of return = 0.0288

Real rate of return = 2.88%

The Watts Company uses predetermined overhead rates to apply manufacturing overhead to jobs. The predetermined overhead rate is based on labor cost in Dept. A and on machine-hours in Dept. B. At the beginning of the year, the company made the following estimates:

Department A Department B
Direct labour cost $30,000 $40,000
Manufacturing overhead $60,000 $50,000
Direct labour hours 6,000 8,000
Machine hours 2,000 10,000

What predetermined overhead rates would be used in Departments A and B, respectively?

a. 50% and $8.00.
b. 50% and $5.00.
c. 110% and $15.00.
d. 200% and $5.00.

Answers

Answer:

The Watts Company

d. 200% and $5.00.

Explanation:

a) Data and Calculations:

Estimates:

                                              Department A                  Department B

Direct labour cost                        $30,000                           $40,000

Manufacturing overhead            $60,000  LH                    $50,000  MH

Direct labour hours                         6,000                                8,000

Machine hours                                2,000                               10,000

Department A:

Manufacturing overhead rate = $60,000/$30,000 x 100 = 200%

Department B:

Manufacturing overhead rate = $50,000/10,000 = $5.00

The Watts Company Department A will absorb manufacturing overhead at a rate of 200% of direct labor cost in order to arrive at an estimate of $60,000 ($30,000 x 200%).  The Department B will absorb manufacturing overhead at a rate of $5 per machine hour to arrive at an estimate of $50,000 (10,000 x $5).

The EOQ model assumes inventory: Multiple Choice can be delivered immediately upon order. is sold at a steady rate until it is depleted. will be available just as it is needed for production. is held at a constant level. has seasonal fluctuations.

Answers

Answer:

is sold at a steady rate until it is depleted

Explanation:

The EOQ means Economic order quantity that refers to a quantity which the company should purchase for its inventory

In this order quantity, the carrying cost and the ordering cost are equivalent to each other

Also we assume that the demand would remain the same and the inventory should be depleted at a fixed rate unless it reaches to a zero

Hence, the second option is correct

You expect General Motors​ (GM) to have a beta of 1.3 over the next year and the beta of Exxon Mobil​ (XOM) to be 0.9 over the next year.​ Also, you expect the volatility of General Motors to be​ 40% and that of Exxon Mobil to be​ 30% over the next year. Which stock has more systematic​ risk? Which stock has more total​ risk?

Answers

Answer:

As the beta of GM (1.3) is more than that of XOM (0.9), GM has more systematic risk than XOM.

The volatility of GM (40%) is higher than that of XOM (30%). Thus, GM has a higher total risk than XOM.

Explanation:

The systematic risk is the risk caused by factors that affect all of the market and are unavoidable. Such a risk is also known as a market risk and is measured by the beta of a stock. The market beta is always 1. A stock having a beta higher than 1 has higher systematic risk than market and a stock having a lower beta than 1 has a lower systematic risk than the market.

As the beta of GM (1.3) is more than that of XOM (0.9), GM has more systematic risk than XOM.

Total risk, on the other hand, is the risk that comprises of both systematic and unsystematic risk. The systematic risk is the market risk as mentioned above while the unsystematic risk is the firm specific risk and is avoidable. The total risk is measured by the standard deviation or volatility of the stock. The stock with higher volatility has higher total risk and vice versa.

The volatility of GM (40%) is higher than that of XOM (30%). Thus, GM has a higher total risk than XOM.

X-treme Vitamin Company is considering two investments, both of which cost $20,000. The cash flows are as follows: Year Project A Project B 1 $ 23,000 $ 20,000 2 10,000 9,000 3 10,000 15,000 Use Appendix B for an approximate answer but calculate your final answer using the formula and financial calculator methods. a-1. Calculate the payback period for Project A and Project B. (Round your answers to 2 decimal places.) a-2. Which of the two projects should be chosen based on the payback method

Answers

Answer:

Project A = 0.87 years

Project B =  1 year

2 Project should be chosen because it has a shorter payback period.

Explanation:

Payback calculates the amount of time it takes to recover the amount invested in a project from it cumulative cash flows.

For project A, the payback period is $20,000 / $23,000 = 0.87 years

For project B, the payback period is $20,000 / $20,000 = 1 year

Project should be chosen because it has a shorter payback period.

Two years ago, the private equity firm you are the general partner of purchased a portfolio of regional shopping center in Texas. The shopping centers have performed well but not as well as you would like. So you have to decided to convert them to super-regional centers in an effort to boost their profits. Which of the following marketing-related step will you need to take in order to affect this transformation?

A. You will need to expand the width and length of your product mixes.

B. You will need to reduce your target market, and focus on a smaller geographical area.

C. You will need to reduce the number of stores in the shopping center.

D. You will need to upgrade the architectural designs of the stores.

Answers

Answer:

Correct Answer:

C. You will need to reduce the number of stores in the shopping center.

Explanation:

In the private firm, there are series of portfolio business which is being managed with the regional shopping center being one of them. In a situation the regional shopping center needs to be upgraded to super-regional center, then, there will be need to reduce the number of stores in the shopping center.

All of the following are considered process innovation EXCEPT A. organizational innovation. B. nonneutral technical progress. C. neutral technical progress. D. labor saving technical progress.

Answers

Answer:

B. nonneutral technical progress.  

Explanation:

If Ben invests $3500 at 4% interest per year, how much additional money must he invest at 5 1 2 % annual interest to ensure that the interest he receives each year is 4 1 2 %

Answers

Answer:

Additional $1,750 must be invested by Ben.

Explanation:

Note: The question is not complete as some dots are omitted. The question is therefore given correctly before answering it as follows:

If Ben invests $3500 at 4% interest per year, how much additional money must he invest at 5 1/2 % annual interest to ensure that the interest he receives each year is 4 1/2 %.

The question is now answered as follows:

From the question, we have:

Initial amount invested = $3,500

Interest rate on initial amount invested = 4%, or 0.04

Interest amount from initial amount invested = Initial amount invested * Interest rate on initial amount invested = $3,500 * 4% = $140

Let y represents the additional amount to invest. Therefore, we have:

Interest rate of additional amount invested = 5 1/2% = 5.5% = 0.055

Interest amount from additional amount invested = y * Interest rate of additional amount invested = y * 0.055 = y0.055

Total interest amount = Interest amount from initial amount invested + Interest amount from additional amount invested = $140 + y0.055

New amount invested = Initial amount invested + y = $3,500 + y

Interest rate of new amount invested = 4 1/2% = 4.5% = 0.045

Interest amount from new amount invested = New amount invested * ($3,500 + y) * 0.045 = $157.50 + y0.045

Since total interest amount must equal interest amount from new amount invested, we equate the two and solve as follows:

Total interest amount = Interest amount from new amount invested

$140 + y0.055 = $157.50 + y0.045

We can now solve for y as follows:

y0.055 - y0.045 = $157.50 - $140

y0.01 = $17.50

y = 17.50 / 0.01

y = $1,750

Therefore, additional $1,750 must be invested by Ben.

Your client is 40 years old; and she wants to begin saving for retirement, with the first payment to come one year from now. She can save $5,000 per year; and you advise her to invest it in the stock market, which you expect to provide an average return of 9% in the future.

Answers

Answer:

14,000

Explanation:

im smart

Investing activities on the statement of cash flows generate cash inflows and outflows related to borrowing from and repaying principal to creditors and completing transactions with the company’s owners such as selling or repurchasing shares of common stocks and paying dividends.
A. True
B. False

Answers

Answer: False

Explanation:

The cash flow from investing activities is a cash flow section that shows cash generated or the cash that is spent which relates to activities involving investment and this include buying physical assets, the investments in securities, or sale of assets or securities.

Therefore, the above analysis I the question is wrong.

Journalize the following sales transactions for Salem Sportswear. Explanations are not required.

Aug. 1 Salem sold $69,000 of women's sportswear on account, credit terms of 3 / 10, n / 60. Cost of goods is $38,000.
5 Salem received a $3,500 sales return on damaged goods from the customer. Cost of goods damaged is $1 ,750.
10 Salem receives payment from the customer on the amount due, less the return and discount.

Journalize the sales transactions.

Aug 1 : Salem sold $69,000 of women's sportswear on account, credit terms of 3 / 10, n / 60. Cost of goods is S38,000.
Begin by preparing the entry to journalize the sale portion of the transaction.

Answers

Answer:

Aug. 1

Trade Receivable $69,000 (debit)

Cost of Sales  $38,000 (debit)

Sales Revenue $69,000 (credit)

Inventory  $38,000 (credit)

Aug 5

Sales Revenue  $3,500 (debit)

Inventory  $1 ,750 (debit)

Trade Receivable  $3,500 (credit)

Cost of Sales  $1 ,750 (credit)

Aug 10

Cash $63,535 (debit)

Discount allowed $1,965 (credit)

Trade receivable $65,500 (credit)

Explanation:

Aug 1

Recognize the Cost of Sale and the Assets of Trade Receivables.

Aug 5

De-recognize the Cost of Sales and Assets of Trade receivables to the extent of the goods that were returned.

Aug 10

Recognize the Cash Asset received less the cash discount of 3 % and also recognize the discount allowed expense to the amount of discount allowed.

Bank's Balance Sheet Assets Liabilities and Owners' Equity $1,600 $250 Securities $1,000 Capital (owners' equity) $150 Reserves$200 Deposits Loans $800 Debt Suppose the owners of the bank borrow $100 to supplement their existing reserves.
This would increase the reserves account and ______ the ______ account.
This would also bring the leverage ratio from its initial value of __________ to a new value of_______
Which of the following is true of the capital requirement?
a. The higher the percentage of assets a bank holds as loans, the higher the capital requirement.
b. A minimum leverage ratio for all banks.
c. Its intended goal is to protect the interests of those who hold equity in the bank.

Answers

Answer:

1. This would increase the reserves account and increase the debt account.

Borrowing refers to debt and so it will increase the debt account.

2. This would also bring the leverage ratio from its initial value of 13.33 to a new value of 14.

The bank leverage ratio refers to its Assets divided by Capital (Owners equity).

Before the $100 was borrowed, the leverage ratio was;

= (Reserves + loans + securities)/Capital

= ( 200 + 800 + 1,000) / 150

= 13.33

After the $100 was borrowed

= ( 200 + 800 + 1,000 + 100) /150

= 14.

3. a. The higher the percentage of assets a bank holds as loans, the higher the capital requirement.

The capital requirement is meant to protect depositors in case the loans are defaulted on as the loans are created from the funds depositors bring in. Should the loans be defaulted on, they will be paid from the capital therefore if the bank holds more loans, it will have to hold more capital to ensure it can cover those loans.

All else being equal, a marketing channel that has a high cost per exposure will have a ________ return on investment.

Answers

Answer:

all else being equal, a marketing channel that has a high cost per exposure will have a low return on investment

If the capital stock is fixed and something happens to raise the marginal product of capital for any given quantity of capital, then the real rental price of capital will:

Answers

Answer: B) rise

Explanation:

The real rental price of capital refers to the cost of borrowing capital which is the interest payment on the capital less the capital gains made. As a result it is equal to the marginal product of capital which shows how much extra, a unit of capital enables the entity to produce.

Therefore, if marginal product of capital rises, as is the case in the question, so will the real rental price of capital.

answered - expert verified
changing role of women in the past 25 year
relating to joint families . nuclear families
women as a bread earner of the family.
changes in the requirement trend of mixers.
washing machines , micro wave and standard
of living
SEE ANSWERS

Answers

expert ithegrhrhrrhhehrhhrhrgegrgrhrhbbenehehhe

Answer:

hloooooooooooooooooooooooooooooooo

National Bank has several departments that occupy both floors of a two-story building. The departmental accounting system has a single account, Building Occupancy Cost, in its ledger. The types and amounts of occupancy costs recorded in this account for the current period follow.

Depreciation—Building $31,500
Interest—Building mortgage 47,250
Taxes—Building and land 14,000
Gas (heating) expense 4,375
Lighting expense 5,250
Maintenance expense 9,625
Total occupancy cost $112,000

The building has 7,000 square feet on each floor. In prior periods, the accounting manager merely divided the $112,000 occupancy cost by 14,000 square feet to find an average cost of $8 per square foot and then charged each department a building occupancy cost equal to this rate times the number of square feet that it occupied. Diane Linder manages a first-floor department that occupies 900 square feet, and Juan Chiro manages a second-floor department that occupies 1,800 square feet of floor space. In discussing the departmental reports, the second-floor manager questions whether using the same rate per square foot for all departments makes sense because the first-floor space is more valuable. This manager also references a recent real estate study of average local rental costs for similar space that shows first-floor space worth $40 per square foot and second-floor space worth $10 per square foot (excluding costs for heating, lighting, and maintenance).

Required
a. Allocate all occupancy costs to the Linder and Chiro departments using the current allocation method.
b. Allocate the depreciation, interest, and taxes occupancy costs to the Linder and Chiro departments in proportion to the relative market values of the floor space. Allocate the heating, lighting, and maintenance costs to the Linder and Chiro departments in proportion to the square feet occupied (ignoring floor space market values). Analysis Component
c. Which allocation method would you prefer if you were a manager of a second-floor department? Explain.

Answers

Answer:

National Bank

a. Allocation of Occupancy costs to Linder and Chiro Departments, using the current allocation method:

                                     Linder's Department    Chiro's Department

First-floor square feet            900                                1,800

Average occupancy cost        $8                                    $8

Total Occupancy costs         $7,200                           $14,400

b. Allocation of Occupancy costs to Linder and Chiro Departments, using the relative market values of the floor space:

                                               Linder's Department    Chiro's Department

First-floor square feet                            900                      1,800

Relative market value per square foot $40                       $10

Total Occupancy costs:

 Depreciation, interest & taxes       $36,000                 $18,000

 Heating, lighting, & maintenance

 (Rate = $1.375)                                 $1,237.50               $2,475

Total occupancy costs                    $37,237.50            $20,475

c. As a manager of a second-floor department I would prefer the second method, where only the heating, lighting, and maintenance costs are based on the average cost and the rest of the occupancy costs are based on the relative market values of the floor space.  The reason is that it looks more justified given that the two floors do not have the same market value.  Assuming that the two floors command the same market value, then the first method is okay.

Explanation:

a) Data and Calculations:

Depreciation—Building          $31,500

Interest—Building mortgage   47,250

Taxes—Building and land        14,000     $92,750

Gas (heating) expense              4,375

Lighting expense                      5,250

Maintenance expense             9,625      $19,250

Total occupancy cost         $112,000

Total square feet = 14,000

Average occupancy cost based on square feet = $8 ($112,000/14,000)

Building = 7,000 square feet on each floor

Diane Linder's first-floor department = 900 square feet

Juan Chiro's second-floor department = 1,800 square feet

Market rental costs (excluding costs for heating, lighting, and maintenance):

First-floor space = $40 per square foot

Second-floor space = $10 per square foot

Online content created by an individual outside of a professional or commercial organization is a criterion of

Answers

Answer:

This question is incomplete, the options are missing. The options are the following:

a) Online advertisements  

b) User Generated Content (UGC)

c) Blogs

d) Wikis

And the correct answer is the option B: User Generated Content (UGC).

Explanation:

To begin with, the name of "User Generated Content" or UGC refers specifically to the content that is generated by an user who uploaded online on the social medias or web sites with the purpose of creating a content that mainly may promote a product from a firm. In addition to that, the firms are the ones who stimulate this type of content due to the fact that tends to be very cheap for them and sometimes may reach a large audience as the same time that increase the credibility of the products to the fact that the consumers themselfs are the ones who promote the product.

Schwab’s customers can assemble their own investment portfolios with its mutual fund evaluator tool, an example of

Answers

Answer:

A choiceboard.

Explanation:

This is generally described to be a graphical view or a teaching pattern where a tutor allows the said students to use these graphical knowledge to learn and understand a concept been impacted to them at their own pace. This choiceboard is been set up for so many reasons which may include; the encouraging of communication by giving the children means to request a particular object, also giving children certain visual prompt to say the correct words, it is also seen to streamline the selection of choice down there which could be a selection of choices.

Other Questions
What is the value of x express p/q form of 0.375 Which of the following statements does not define what art is?a.Art combines balance, proportion, composition, and imagery.b.Art is appreciated by all individuals when examined carefully.c.Art is a reproduction of reality, emotions, or circumstances.d.Art is controversial because many people do not share the same appreciation of art. find the type of index fossil that existed for the shortest period of time A double-convex thin lens is made of glass with an index of refraction of 1.52. The radii of curvature of the faces of the lens are 60 cm and 72 cm. What is the focal length of the lens Fernando noticed that the percentage of federal income taxes his employer deducts from his paycheck each week has increased. This means he has less money to spend. However, he has heard that the company he works for just received a large contract from the federal government to build more high-tech helicopters for the military. Olivia is happy that the percentage she pays in federal income taxes has decreased this year. She is thrilled that the candidate who ran on a platform of tax cuts won. She is finally able to purchase a new car and to save money for a down payment on a home. At dinner that night, her friend tells her that his unemployment benefits have just been reduced, will run out soon, and wont be renewed. What is the relationship between taxes and government spending in these two scenarios? what were the strategies used by british to rule the indian countryside? how can i solve this factorial? A 6,2- P6- A 5,3 + P5 Explain Why nose and tongue are equally important like other sense organs? Is a mother's love strong enough to cause the destruction of masterpieces worth millions of dollars? If the confession of the mother of an accused art thief is to be believed, the answer is yes. The story begins in October of 2012, when works by Picasso, Monet, Matisse, and others were stolen from a museum in the Netherlands. In July of 2013, Olga Dogaru disclosed that her son hid the stolen art in her tiny Romanian town. When he was arrested, she decided to remove the evidence that could connect him to the crime. She placed all the paintings in a wood-burning stove and set them afire. Initial forensic investigation of the stove indicates that Dogaru is telling the truth and the art was burned.What is the main idea of this passage?A.A mother's love led to the theft of millions of dollars of artistic masterpieces.B.Paintings worth millions of dollars were recovered from a tiny Romanian town.C.Stolen art was probably destroyed when a mother burned paintings to protect her son.D.The investigation of an art theft in October of 2012 has led to the arrest of the suspect's mother.E.I don't know. Which of these is NOT discrete data: A. number of home-runs hit in a professional baseball game B. air pressure in a car tire C. cars per household in a town D. number of pills in a container of vitamins Find a (Round to the nearest tenth). PLS HURRY!! The data give the average number of days in May that are clear I really need help A ___________ gives theoretical probabilities of each possible event in an experiment.A. probability outcomeB. sample spaceC. random eventD. probability distribution please help me find the value of x Excerpt from Let's Get It Started!Gillian WhiteSome people do not think that recycling paper is important. Paper Falls apart easily and becomes part of the earth quickly after itis buried. For this reason, some people do not think that throwing away paper is harmful. But what they forget is that trees areused to make paper. In fact, every person uses about two trees' worth of paper each yearl Trees are so important to nature. Theyhelp keep the air clean. Plus, many animals make their homes in trees. By recycling paper instead of throwing it away, we canmake the world a better place.The lines, They help keep the air clean, Plus, many animals make their homes in trees. By recycling paper instead of throwing it away,we can make the world a better place," are an example of which logical fallacy?A)ad hominemB)false causationC)circular reasoningD)sweeping generalization A fish fank was 3/4 full, and then 1/3 of the water leaked out,5) How full was the fish tank after the water leaked out?6) If there was 20 gallons of water left in the fish tank after the water leaked out,how many gallons of water does the fish tank hold when it is full? What is the pOH of a solution at 25.0C with [H3O+]=4.8106 M? Regarding immigrants in the United States, progressive reformers Group of answer choices favored quickly assimilating new arrivals into American society. supported limiting the number of new arrivals. argued that the growing immigration population had created social problems. both supported limiting the number of new arrivals, and argued that the growing immigration population had created social problems. All these answers are correct. increased from 1432 to 2219. Which of the following is the approximate percent of increase22. Between the years 2000 and 2010, the number of births in the town of Danevillein the number of births during those ten years?a. 55%b. 36%c. 64%d. 42%