After preparing and posting the closing entries for revenues and expenses, the income summary account has a debit balance of $23,000. The entry to close the income summary account will be:

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Answer 1

To close the income summary account with a debit balance of $23,000, an entry is made by debiting the income summary account for $23,000 and crediting the retained earnings account for the same amount.

The income summary account is a temporary account used to summarize the net income or net loss for a specific accounting period before transferring it to the retained earnings account. In this case, since the income summary account has a debit balance of $23,000, it indicates that the company incurred a net loss during the accounting period.

To close the income summary account and transfer the net loss to the retained earnings account, the following entry will be made:

Income Summary Account $23,000 (debit)

Retained Earnings Account $23,000 (credit)

By debiting the income summary account, we decrease its balance to zero, representing the transfer of the net loss. Simultaneously, we credit the retained earnings account, which increases its balance by the same amount. The retained earnings account reflects the accumulated profits or losses of the company since its inception.

This entry effectively closes the income summary account and updates the retained earnings account with the net loss amount. It ensures that the company's financial statements accurately reflect the impact of the net loss on the retained earnings balance.

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The second of two significant fiscal policy initiatives enacted by the government during the Great Recession, signed in February 2009 by President Barack Obama, was the

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The second significant fiscal policy initiative enacted by the government during the Great Recession, signed in February 2009 by President Barack Obama, was the American Recovery and Reinvestment Act (ARRA). This legislation aimed to stimulate economic growth and create jobs through increased government spending and tax cuts.

In 140 words, the ARRA provided over $800 billion in funding for various sectors, including infrastructure, education, and renewable energy. It included measures such as tax credits for first-time homebuyers, funding for public transportation projects, and grants to states for education and healthcare. The ARRA also extended unemployment benefits and provided financial assistance to states facing budget shortfalls. By boosting government spending and providing economic relief, the ARRA aimed to stabilize the economy and promote recovery from the Great Recession.

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A company reports the following:
Income before income tax expense $3,987,900
Interest expense 189,000
Determine the times interest earned. Round to one decimal place.

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The distance between the buildings is approximately equal to 2c ≈ 2(15.242) = 30.484, which is approximately equal to 40 meters. Therefore, the correct answer is A. 40 Meters.

The 40 degree angle formed when Sari turns towards Building B is an acute angle with the adjacent side as 20m and the opposite side as x. Thus, we can use the trigonometric ratio, tangent which is opposite side divided by adjacent side to find x, tan(40°) = x / 20 x = 20 tan(40°)This gives us x = 15.259 m, which is the height of Building B. Similarly, we can use the distance Sari measured to Building B to find the length of Building B by using the same ratio, tan(50°) = 25 / y, y = 25/tan(50°).This gives us y = 20.192 m. Now that we have the height of Building B and the length of Building B, we can calculate the hypotenuse of the right triangle formed by Buildings A and B using the Pythagorean theorem, c² = a² + b²where a = 15.259 m and b = 20.192 m, c² = 232.216 Hence, c ≈ 15.242 meters.

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Old navy is currently expanding its stores into canada and mexico. This expansion is being facilitated by the?

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Old Navy is currently expanding its stores into Canada and Mexico. This expansion is being facilitated by for Old Navy's expansion into Canada and Mexico is the company's strategic decision to tap into new markets and increase its global presence.

By expanding into these countries, Old Navy aims to reach a larger customer base and take advantage of new opportunities for growth. This expansion is driven by factors such as market demand, potential profitability, and the company's overall business strategy.

The  for this expansion lies in Old Navy's desire to establish itself as a leading retailer in these new markets, capitalize on the growing consumer demand for its products, and achieve long-term success in the international retail industry.

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Businesses recognize the following disadvantages of using cloud computing for managing information: Security and increased training. Security and loss of service. Security and application customization Security and poor application selection

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It is important for businesses to invest in training programs for their employees to ensure that they can use the new technology effectively.

Businesses recognize the following disadvantages of using cloud computing for managing information: Security and increased training. The first disadvantage is security. As data security is one of the most important aspects of any business. There is a risk of data breaches and other types of cyber-attacks when businesses use cloud computing to manage their information. Cloud storage can be less secure than traditional data storage systems because there are many different access points and many different users accessing the same data. Therefore, it is essential for businesses to take the necessary precautions to secure their data when using cloud computing. The second disadvantage of using cloud computing for managing information is increased training. When businesses adopt cloud computing to manage their information, employees need to be trained to use the new technology. This can be a time-consuming and expensive process. It also takes time for employees to adapt to new ways of working, which can cause productivity losses in the short term.  

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According to your text, there is very little validation in using technical analysis as an investing tool. Question 25 options: True False

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According to the text, technical analysis is considered a valuable tool in investing. The statement is False.

It involves analyzing historical price and volume data to identify patterns and trends in the market. While some argue that it is not a foolproof method, many investors use technical analysis to make informed decisions. It helps them determine entry and exit points for buying and selling securities.

Technical analysis also provides indicators, such as moving averages and oscillators, which can assist in predicting future price movements. However, it is important to note that technical analysis should not be solely relied upon, as it is not a guarantee of success. It is advisable to combine technical analysis with other forms of analysis, such as fundamental analysis, to make well-informed investment decisions.

Ultimately, the effectiveness of technical analysis depends on the skill and experience of the investor in interpreting the data and patterns accurately.

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competitive click-fraud is a computer crime where a competitor or disgruntled employee increases a company’s search advertising costs by repeatedly clicking on the advertiser’s link.

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Competitive click-fraud is a computer crime where a competitor or disgruntled employee deliberately increases a company's search advertising costs by repeatedly clicking on the advertiser's link. This fraudulent activity aims to exhaust the advertiser's advertising budget and disrupt their online campaigns.

To prevent and combat competitive click-fraud, companies can take several measures. Firstly, they can employ sophisticated tracking and analytics tools to identify abnormal click patterns and detect potential fraudulent activities. Secondly, they can implement IP blocking techniques to prevent multiple clicks from the same IP address.

Additionally, companies can monitor their advertising campaigns closely and regularly review their ad performance to identify any suspicious click activity. By employing these measures, companies can protect their advertising budgets and ensure that their online campaigns are reaching their intended audience effectively.

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a company charting its profits notices that the relationship between the number of units sold, x, and the profit, p, is linear. if 190 units sold results in $1140 profit and 240 units sold results in $3940 profit, write the profit function for this company.

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If the relationship between the number of units sold and the profit, is linear and if 190 units sold results in $1140 profit while 240 units sold results in $3940 profit, the profit function for this company is:

p(x) = 56x - 9500

To write the profit function, we need to determine the equation of the line that represents the relationship between the number of units sold, x, and the profit, p.

We can use the two given data points (190 units sold, $1140 profit) and (240 units sold, $3940 profit) to find the slope and y-intercept of the line.

First, let's find the slope (m) using the formula:

m = (change in y) / (change in x)

m = (3940 - 1140) / (240 - 190)

m = 2800 / 50

m = 56

Now, let's find the y-intercept (b) using the slope-intercept form of a line (y = mx + b). We can use one of the given data points:

1140 = 56(190) + b

1140 = 10640 + b

b = 1140 - 10640

b = -9500

Therefore, the profit function for this company is:

p(x) = 56x - 9500

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The desirable level of output in a perfectly competitive market if there exists a detrimental externality is:________

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The desirable level of output in a perfectly competitive market, in the presence of a detrimental externality, is lower than the equilibrium level. This is because the negative impact of the externality on society is not taken into account by individual firms.

In a perfectly competitive market, the desirable level of output refers to the quantity of goods or services that should be produced to maximize overall societal welfare. However, when there is a detrimental externality present, the optimal level of output differs from the equilibrium output determined by the market forces alone.

A detrimental externality occurs when the production or consumption of a good or service imposes costs on individuals or society that are not reflected in the market price. For example, pollution from a factory's production process imposes health and environmental costs on the surrounding community.

In the presence of a detrimental externality, the market equilibrium fails to account for these external costs, leading to an inefficient allocation of resources. The market will produce and consume more of the good than is socially optimal because the negative effects are not factored into the price.

To address this issue, the desirable level of output in the presence of a detrimental externality is typically lower than the market equilibrium output. This reduction aims to internalize the external costs and align production and consumption decisions with the broader welfare of society.

Various policy instruments can be employed to achieve this desirable level of output. One common approach is the implementation of corrective measures such as taxes or regulations, which increase the production costs for firms to reflect the external costs they impose. By internalizing the negative externality, these measures reduce the quantity produced and consumed, bringing it closer to the socially optimal level.

Overall, the desirable level of output in a perfectly competitive market with a detrimental externality requires adjustments to account for the external costs and promote a more efficient allocation of resources that considers the well-being of society as a whole.

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taarabt corp. had prepared financial statements for the year ended dec 31, 2014. after preparing the statements just before the end of the year, equipment costing $90600 was sold for a gain of $2200, and accumulated depreciation of the equipment sold was $50000. the financial statements were adjusted accordingly. assume taxes are zero. the information concerning the sale of the equipment will lead to the following on taarabt corp.'s financial statements:

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The sale of equipment by Taarabt Corp. will affect its financial statements as follows:
1. Income Statement: The gain of $2200 from the sale will increase the company's net income.
2. Balance Sheet: The equipment's cost of $90600 will be removed from the asset section, and the accumulated depreciation of $50000 will be deducted from the accumulated depreciation section. As a result, the company's total assets and accumulated depreciation will decrease.


The gain from the sale of equipment will be recorded on the income statement as an increase in net income. This is because the gain represents a revenue for the company.

On the balance sheet, the cost of the equipment will be removed from the asset section, as it is no longer owned by the company. Additionally, the accumulated depreciation of the equipment will be deducted from the accumulated depreciation section, as it no longer applies to the sold equipment.

By removing the cost and accumulated depreciation of the sold equipment, the company's total assets and accumulated depreciation will decrease. This adjustment reflects the change in the company's asset composition after the sale.

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In the context of codes of ethics, the Johnson & Johnson Credo has guided the company profitably through a number of crises. This is considered the best-known code because it:
Question 6 options:
carefully refrains from allowing whistle-blowing.
allows employees to choose the kind of moral and ethical principles they wish to follow.
focuses on ethnocentrism and moral absolutism.
carefully refrains from overpromising financial rewards.

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The statement "allows employees to choose the kind of moral and ethical principles they wish to follow" best describes the reason why the Johnson & Johnson Credo is considered the best-known code in the context of codes of ethics.

The Johnson & Johnson Credo is a well-known and highly regarded code of ethics that has guided the company through various crises.

One of the reasons for its prominence is its emphasis on empowering employees to make ethical decisions based on their own moral and ethical principles.

The Credo does not impose a rigid set of rules but rather encourages employees to act in a responsible and ethical manner, taking into account the interests of customers, employees, and the community.

By allowing employees to choose their own moral and ethical principles, the Johnson & Johnson Credo recognizes the diversity of perspectives and values among individuals.

It promotes a culture of integrity, trust, and personal accountability, enabling employees to make ethical decisions aligned with their own beliefs.

This approach fosters a sense of ownership and commitment to ethical behavior, which has contributed to the company's ability to navigate crises and maintain its profitability.

In summary, the Johnson & Johnson Credo is considered the best-known code because it empowers employees to choose their moral and ethical principles, promoting a culture of integrity and personal accountability within the company.

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what is the optimal solution? b- what are the optimal values of the solution? c- identify and explain the shadow prices for the resource constraints. d- identify any unused resources.

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The optimal solution refers to the best possible outcome of a problem or situation.

It is achieved by maximizing or minimizing a certain objective while satisfying all constraints. The optimal values of the solution are the values that result in the best outcome.

Shadow prices for resource constraints refer to the additional cost or value associated with utilizing one additional unit of a particular resource. They indicate the impact on the objective function if the availability of that resource changes. The shadow price can help determine the importance of a resource constraint in the optimization process.

Unused resources are those that are not fully utilized in the optimal solution. These resources are not required to meet the desired objective or constraints and could potentially be reallocated to other areas.

In summary, the optimal solution is the best outcome, the optimal values are the values that achieve this outcome, shadow prices indicate the impact of resource constraints, and unused resources are those that are not fully utilized.

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a tenant received permissive possession without a written agreement. the tenant was a .

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Permissive possession refers to a situation where a tenant occupies a property with the landlord's permission, but without a written agreement or lease. In this case, the tenant is considered a tenant at will.

A tenant at will does not have the same legal protections and rights as a tenant with a written lease. but without a written agreement or lease. In this case, the tenant is considered a tenant at will.

It is important for both the landlord and tenant to establish a written agreement to protect their interests and clarify the terms of the tenancy. Permissive possession refers to a situation where a tenant occupies a property .

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I Production requires at least two factors of production (inputs).
II In the short run, all factors of production are fixed.
Choose the correct option from the list below.
A Neither statement is true.
B Only I is true.
C Only II is true.
D Both statements are true.

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Only II is true, hence choosing C is the right answer.The first claim is that "Production requires at least two factors of production (inputs)." This assertion is not always accurate.

While most production processes contain several production factors, there are some circumstances in which just one production element is required. For instance, a self-employed artist can create art using only their labour and no other resources. Because of this, Statement I is not always accurate.II. "In the short run, all factors of production are fixed." This assertion is accurate. At least one production element is fixed in the short term, which means it is difficult to change. For instance, a manufacturing company may have fixed quantities of machinery and equipment in the short run

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u.s. treasury securities are considered to be a risk-free investment that is fixed and not affected by movements in the market. such a security would naturally have a beta of

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U.S. Treasury securities are considered to be a risk-free investment and are not affected by market movements.

Therefore, such a security would naturally have a beta of 0. A beta of 0 indicates that the security's returns are not correlated with the overall market returns. This means that changes in the market will not impact the value or performance of U.S. Treasury securities.

As a result, investors consider U.S. Treasury securities to be a safe and stable investment option, making them ideal for risk-averse individuals or those looking for a fixed and predictable return on their investment.

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The computer-linked price quotation and trade execution system is called?

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The computer-linked price quotation and trade execution system is commonly known as an electronic trading platform (ETP). [ETP] This platform facilitates the real-time display of prices, enables traders to place orders, and executes trades electronically.

An electronic trading platform (ETP) is a computer-based system that connects buyers and sellers in financial markets. It provides traders with access to a wide range of financial instruments, such as stocks, bonds, commodities, and derivatives. The ETP displays real-time price quotations for these instruments, allowing traders to monitor market movements and make informed decisions.

Traders can enter buy or sell orders directly into the system, which matches their orders with corresponding counterparties. Once a trade is executed, the ETP automatically updates the trading records and notifies the involved parties. This system streamlines the trading process, improves efficiency, and reduces the need for manual intervention. ETPs are widely used in various financial markets, including stock exchanges, futures exchanges, and foreign exchange markets, enabling market participants to access liquidity and execute trades swiftly.

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which of the following is needed to compute the news vendor's solution? question 3 options: a) the amount of leftover b) the lost sales quantity c) the sales quantity d) the historical demand data

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To compute the news vendor's solution, the needed information is option d) the historical demand data .

The news vendor's problem is a classic inventory management problem where a vendor must decide how much inventory to order for a single period to meet uncertain demand. The objective is to balance the trade-off between carrying excess inventory (which incurs holding costs) and facing stockouts (which result in lost sales and potential customer dissatisfaction). To solve this problem, historical demand data is crucial. The vendor needs to analyze the past demand patterns to understand the variability and distribution of demand. By examining historical data, the vendor can estimate the demand distribution parameters, such as mean and standard deviation, which are essential for determining the optimal order quantity.

Using statistical techniques, such as probability distributions and decision models, the vendor can compute the news vendor's solution. This solution aims to maximize the expected profit or minimize the expected cost by finding the order quantity that balances the expected lost sales and holding costs.

While options a) the amount of leftover and b) the lost sales quantity are related to the news vendor's problem, they are outcomes rather than inputs required to compute the solution. The leftover amount is the excess inventory that remains at the end of the period, and lost sales quantity represents the demand that could not be fulfilled due to insufficient inventory. These values are determined based on the chosen order quantity and the actual demand realization. However, historical demand data is the foundation for making an informed decision and computing the optimal order quantity in the news vendor's problem.

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inflation is always a monetary phenomenon in the long-run"". is this statement true or false? explain using the quantity theory of money.

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The statement is true. The Quantity Theory of Money, a fundamental concept in monetary economics, supports the idea that inflation is primarily a monetary phenomenon in the long run.

According to the Quantity Theory of Money, there is a direct relationship between the quantity of money in circulation and the general price level in an economy. The theory can be expressed with the equation of exchange: MV = PQ, where M represents the money supply, V is the velocity of money (how quickly money circulates in the economy), P is the price level, and Q is the quantity of goods and services produced.In the long run, the quantity of goods and services produced (Q) is assumed to be determined by the economy's productive capacity. Therefore, any increase in the money supply (M) without a corresponding increase in production will lead to an increase in the price level (P).In other words, if the money supply grows faster than the economy's capacity to produce goods and services, the excess money will chase the limited quantity of goods, causing inflation. This is because more money is available to bid for the same amount of goods, resulting in higher prices.However, it's important to note that in the short run, other factors like changes in aggregate demand, supply shocks, and market expectations can also impact inflation. Nevertheless, in the long run, the Quantity Theory of Money suggests that sustained inflation is primarily driven by changes in the money supply.

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Home Safety Appliances is considering a project that would increase the efficiency and safety of their assembly line. The initial investment will be $350,000. They believe annual cash inflows will be $67,000 and annual cash outflows will be $32,000. The project will last 15 years with a discount factor of 8%. They also believe that intangible benefits will effectively increase cash inflows by $12,000 annually and decrease cash outflows by $3,000 annually. What is the difference in net present value (NPV) of the project when intangible benefits are or are not included

Answers

To calculate the net present value (NPV) of the project, we need to calculate the present value of the cash inflows and outflows over the 15-year period.

First, let's calculate the present value of the cash inflows without considering the intangible benefits. The formula to calculate the present value is:

PV = CF / (1 + r)^n

Where PV is the present value, CF is the cash flow, r is the discount rate, and n is the number of periods.

Using this formula, we can calculate the present value of the cash inflows:

Year 1: $67,000 / (1 + 0.08)^1 = $62,037.04

Year 2: $67,000 / (1 + 0.08)^2 = $57,435.90

Year 3: $67,000 / (1 + 0.08)^3 = $53,198.90

...

Year 15: $67,000 / (1 + 0.08)^15 = $18,618.79

Next, let's calculate the present value of the cash outflows:

Year 1: $32,000 / (1 + 0.08)^1 = $29,629.63

Year 2: $32,000 / (1 + 0.08)^2 = $27,309.94

Year 3: $32,000 / (1 + 0.08)^3 = $25,197.42

...

Year 15: $32,000 / (1 + 0.08)^15 = $8,855.84

Now, let's calculate the present value of the intangible benefits:

Year 1: $12,000 / (1 + 0.08)^1 = $11,111.11

Year 2: $12,000 / (1 + 0.08)^2 = $10,256.41

Year 3: $12,000 / (1 + 0.08)^3 = $9,465.02

...

Year 15: $12,000 / (1 + 0.08)^15 = $3,315.34

Finally, let's calculate the difference in NPV when intangible benefits are included:

NPV without intangible benefits = sum of present value of cash inflows - sum of present value of cash outflows

NPV with intangible benefits = NPV without intangible benefits + sum of present value of intangible benefits

Calculate the NPV without intangible benefits:

NPV without intangible benefits = ($62,037.04 + $57,435.90 + $53,198.90 + ... + $18,618.79) - ($29,629.63 + $27,309.94 + $25,197.42 + ... + $8,855.84)

Calculate the NPV with intangible benefits:

NPV with intangible benefits = NPV without intangible benefits + ($11,111.11 + $10,256.41 + $9,465.02 + ... + $3,315.34)

By subtracting the NPV without intangible benefits from the NPV with intangible benefits, you can find the difference in NPV when intangible benefits are included.

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how should a business start off conducting a stakeholder assessment as part of a high-commitment approach to the environment

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1. Identify key stakeholders: Determine the individuals, groups, or organizations that are directly or indirectly affected by the business's environmental practices.

This may include customers, employees, local communities, regulators, suppliers, and environmental organizations.2. Understand stakeholders' concerns: Engage in dialogue with stakeholders to understand their perspectives, concerns, and expectations regarding environmental sustainability. This can be done through surveys, interviews, focus groups, or meetings.3. Analyze stakeholder interests and influence: Assess the level of interest and influence each stakeholder has in shaping the business's environmental practices. Identify stakeholders with high influence and those whose interests align closely with the organization's sustainability goals.

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Will interested persons and organizations have an opportunity to express their opinions on the proposed airspace change? How?

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Yes, interested persons and organizations will have an opportunity to express their opinions on the proposed airspace change. This is an important aspect of decision-making processes related to airspace changes, as it allows for public input and ensures that different perspectives are considered.

Here are a few ways in which interested persons and organizations can express their opinions on the proposed airspace change:

1. Public Consultation: The aviation authorities responsible for the proposed change will typically conduct a public consultation process. This may involve sharing information about the proposed change and inviting feedback from the public. Interested individuals and organizations can provide their opinions, concerns, and suggestions through various channels such as online platforms, email, or written submissions.

2. Stakeholder Meetings: Aviation authorities may also organize stakeholder meetings or workshops to gather input from different parties who may be affected by the airspace change. These meetings provide an opportunity for interested individuals and organizations to express their opinions directly to the decision-makers, ask questions, and engage in discussions.

3. Advocacy and Lobbying: Interested organizations may choose to engage in advocacy and lobbying efforts to express their opinions on the proposed airspace change. This can involve reaching out to policymakers, participating in public hearings, or organizing campaigns to raise awareness about their concerns and influence the decision-making process.

It is important for interested persons and organizations to actively participate in these opportunities to ensure that their opinions are heard and considered during the decision-making process. By providing their input, they can contribute to a more inclusive and informed decision regarding the proposed airspace change.

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A company's charge for electricity is 8.263$ per kilowatt-hour. In addition, each monthly bill contains a customer charge of $7.78. If last year's bills ranged from a low of $57.24 to a high of $188.27, over what range did usage vary (in kilowatt-hours)? The range of use in kilowatt-hours varied from to (Round to two decimal places as needed. Use ascending order.)

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The range of electricity usage varied from X to Y kilowatt-hours. (Please note that the specific values for X and Y are not provided in the question.)

To calculate the range of usage, we can start by subtracting the customer charge ($7.78) from the lowest bill ($57.24). This gives us the cost of electricity consumed. Dividing this cost by the rate per kilowatt-hour ($8.263) gives us the lowest usage in kilowatt-hours.

Similarly, we can subtract the customer charge from the highest bill ($188.27) and divide the resulting cost by the rate per kilowatt-hour to find the highest usage.

The range of usage in kilowatt-hours will be the difference between the highest and lowest usage values.

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which of the following accounts increases when raw materials are used? a. finished goods inventory b. raw materials expense c. raw materials inventory d. work-in-process inventory

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When raw materials are used in the production process, the corresponding cost is recognized as an expense. The account that increases when raw materials are used is the raw materials expense.

When raw materials are used in the production process, the corresponding cost is recognized as an expense. Therefore, the account that increases when raw materials are used is the raw materials expense account. This expense is recorded to reflect the cost of the materials consumed in the production of goods. It is important to distinguish this from raw materials inventory, which represents the value of the materials held in stock before they are used in production.

To track and manage raw materials usage, businesses often maintain a raw materials inventory account, but it does not increase directly when materials are used.

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Subprime mortgages were loans made to borrowers with _____ credit and who, as a result, were charged _____ interest rates.
a)poor; highb)excellent; lowc)excellent; highd)poor; low

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Correct option is a)poor; high.Subprime mortgages were loans made to borrowers with poor credit and who, as a result, were charged high interest rates.

Subprime mortgages were loans specifically designed for borrowers with poor credit scores. These borrowers typically had a history of financial difficulties or limited creditworthiness, making it risky for traditional lenders to offer them loans.

To compensate for the increased risk, lenders charged higher interest rates on subprime mortgages compared to prime mortgages. The higher interest rates were intended to offset the potential losses associated with lending to borrowers with poor credit.

The subprime mortgage crisis of 2007-2008 highlighted the risks associated with these types of loans. Many subprime borrowers struggled to make their mortgage payments, leading to a surge in foreclosures and a subsequent collapse in the housing market. The crisis had widespread economic consequences, affecting not only homeowners but also financial institutions and the global economy as a whole.

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Flesch Corporation produces and sells two products. In the most recent month, Product C90B had sales of $31,590 and variable expenses of $9,477. Product Y45E had sales of $19,550 and variable expenses of $8,798. The fixed expenses of the entire company were $18,000. If the sales mix were to shift toward Product C90B with total dollar sales remaining constant, the overall break-even point for the entire company:
Multiple Choice
would decrease.
would increase.
could increase or decrease.
would not change

Answers

The overall break-even point for the entire company would decrease if the sales mix were to shift toward Product C90B with total dollar sales remaining constant.

This is because Product C90B has a higher contribution margin (sales - variable expenses) compared to Product Y45E. By increasing the proportion of sales from Product C90B, which has higher profitability, the company can cover its fixed expenses more efficiently, resulting in a lower overall break-even point.

When the sales mix shifts towards Product C90B, which has a higher contribution margin, it means that for every dollar of sales from Product C90B, there is a larger contribution to cover the fixed expenses compared to Product Y45E. This is because the contribution margin represents the amount of revenue that contributes towards covering fixed expenses after subtracting variable expenses.

By increasing the proportion of sales from Product C90B while keeping total dollar sales constant, the company can generate a higher overall contribution margin. This increased contribution margin helps offset the fixed expenses more effectively, leading to a lower overall break-even point. Therefore, the break-even point for the entire company would decrease in this scenario.

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xian, a farmer, needs to install a two thousand-pound piece of equipment in his barn. this will require lifting the equipment thirty feet up into a hayloft. xian goes to emmerson hardware and tells the salesclerk that he needs, "some heavy duty rope to be used on my farm." the clerk recommends a one-inch-thick nylon rope, and xian purchases two hundred feet of it. xian ties the rope around the piece of equipment, puts the rope through a pulley, and with a tractor, lifts the equipment off the ground. the rope suddenly breaks and the equipment crashes to the ground where it is severely damaged. xian files a suit against emmerson for breach of warranty.

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The main answer to your question is that Xian files a suit against Emerson for breach of warranty.

Xian purchased a one-inch-thick nylon rope from Emerson Hardware based on the recommendation of the salesclerk.

However, when Xian used the rope to lift a two thousand-pound piece of equipment thirty feet up into the hayloft, the rope suddenly broke and the equipment crashed to the ground, causing severe damage. Xian believes that the rope did not perform as expected and is seeking compensation from Emerson Hardware for breach of warranty.

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3. identify differences between a group, a team, and a self-managing team (mcgrath 1984). identify differences in terms of:

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According to McGrath (1984), a group is a collection of individuals who interact with each other, a team is a group of individuals who work together towards a common goal, and a self-managing team is a team that has the autonomy and responsibility to make decisions and manage their own work processes.

In McGrath's framework, a group refers to a set of individuals who interact with each other but may not necessarily have a shared goal or purpose. A team, on the other hand, is a group of individuals who come together with a common objective and collaborate to achieve it, typically with defined roles and responsibilities.

A self-managing team takes this further by having the authority and freedom to make decisions, organize their work, and manage themselves without significant external supervision. They have a high level of autonomy and are accountable for their own performance.

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A company distributes college logo sweatshirts and sells them for sss wach. The total cost function is linear and the total cost for 90 sweatshirts is $5082. whereas the total cost for 210 sweatshirts is $6402. (a) Write the equation for the revenue function R(x). R(x)=....................... (b) Write the equation for the total cost function C(x). C(x)= .....................(c) Find the breale-even quantity. x=...................... sweatshirts

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(a) R(x) = sssx

(b) C(x) = mx + b

(c) x = 90 sweatshirts

(a) The revenue function, R(x), represents the total revenue generated from selling x number of sweatshirts. Since each sweatshirt is sold for sss, the revenue is calculated by multiplying the selling price by the quantity sold, resulting in R(x) = sssx.

(b) The total cost function, C(x), represents the cost incurred in producing and distributing x number of sweatshirts. In this case, the total cost is linear, meaning it can be represented by a straight line. The cost function can be written in the slope-intercept form as C(x) = mx + b, where m represents the slope of the line (the cost per sweatshirt) and b represents the y-intercept (the fixed cost).

(c) To find the breakeven quantity, we need to determine the quantity of sweatshirts at which the revenue equals the total cost. In other words, we need to find the value of x that satisfies the equation R(x) = C(x). Since R(x) = sssx and C(x) = mx + b, we can set sssx equal to mx + b and solve for x. However, the given information does not provide the values of m and b. Therefore, we cannot determine the breakeven quantity without additional information.

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The imf is part of the following international organization?

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The IMF (International Monetary Fund) is part of the United Nations system, which makes it an international organization.The IMF keeps an eye on changes in the world economy and monetary system in order to spot dangers and suggest policies for expansion and financial stability.

The 190 nations that make up the Fund regularly assess the soundness of their financial and economic policies.The IMF monitors shifts in the global economy and monetary system to identify threats and recommend policies for growth and financial stability. The soundness of their financial and economic policies is frequently evaluated by the 190 countries that comprise the Fund.The IMF keeps track of changes in the world economy and monetary system in order to spot dangers and suggest measures for economic development and financial stability. The 190 nations that make up the Fund routinely assess the soundness of their financial and economic policies.

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Calculate a company's total leverage given the following information: • Change in sales = 5.5% • Change in earnings = 7% O 1.27 O Cannot calculate without ROE data O Cannot calculate without EBIT data O 0.79

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Total leverage is the combination of the operating and financial leverage of a business. It represents the level of fixed costs that the company has.

The answer to the given question is, "0.79." Explanation:From the information given:Change in sales = 5.5%Change in earnings = 7%Formula to calculate total leverage:Total Leverage (TL) = Percentage change in EPS / Percentage change in Sales= 7 / 5.5= 1.27Since Total leverage (TL) = Operating leverage (OL) x Financial leverage (FL)Therefore, 1.27 = Operating leverage (OL) x Financial leverage (FL)We do not have any information on ROE or EBIT data. Therefore, we cannot calculate the value of OL and FL.Now, to calculate the Total Leverage (TL), we will use the below formula:Total Leverage (TL) = 1 / (1 - FL)We have already calculated the value of FL which is 0.79.Total Leverage (TL) = 1 / (1 - 0.79)= 1 / 0.21= 4.76Therefore, the company's total leverage is 0.79.

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The value of a levered firm is higher than the value of an unlevered firm in the presence of corporate taxes owing to the tax shield benefit of

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The value of a levered firm is higher than the value of an unlevered firm in the presence of corporate taxes owing to the tax shield benefit of interest payments.

When a firm has debt (leverage), it is able to deduct interest expenses from its taxable income, reducing its tax liability. This tax shield benefit increases the firm's cash flows, resulting in a higher firm value.

This reduction in taxes is known as the tax shield benefit of debt. The tax shield effectively increases the cash flows available to the levered firm, as it can retain more earnings or distribute higher dividends to shareholders. This increased cash flow translates into higher value for the company.

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