Directly allocating S1 and S2 costs to P1 gives P1's total cost. P1 costs $32,000 plus $8,000 from S1 for a total of $40,000. P2's total cost. Let S2's cost allocation rate per employee be $0.25. P2 costs $36,000 plus ($0.25 * 200 employees) for $36,050.
The step technique allocates S1 and S2 costs to P1, starting with S1 since it has the highest service cost. S1 is allocated $2 for every machine hour. S1 allocates $3,000 since P1 requires 1,500 machine hours. P1 costs $32,000 (its own cost) plus $3,000 (S1) and $4,000 (S2), totaling $39,000. The reciprocal method uses S1 and S2's mutual services to calculate P1's total cost. S1's cost allocation rate per machine hour is $0.5. P1 costs $32,000 plus $0.5 * 1,500 machine hours, totaling $32,750.
The step technique allocates S1 and S2 expenses to P2, starting with S1. S1's budgeted cost is $2 * 2,500 = $5,000 if P2 consumes 2,500 machine hours. P2's overall cost is $45,000: $36,000 (its own cost), $5,000 (S1), and $4,000 (S2).
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Comparative advantage Sam and Madeline are partners at a management consulting firm. They are trying to determine which of them has a comparative advantage in creating the 25 slides required for a sales pitch to a prospective client. Sam can create 20 slides per hour. For other activities, he can bill clients $400 per hour. Sam's opportunity cost of creating slides is per slide. Madeline's opportunity cost of creating slides is 35% higher than Sam's. However, as the junior partner, her billing rate is 30% lower. Based on all of these facts, has a comparative advantage in creating slides.
Sam has a comparative advantage in creating slides. Comparative advantage is determined by comparing opportunity costs.
Sam's opportunity cost of creating slides is the forgone billing rate per slide, which is $20 ($400 per hour divided by 20 slides per hour). Madeline's opportunity cost is 35% higher, which would be $27 per slide.
Although Madeline's opportunity cost is higher in terms of the actual cost per slide, it is important to consider the relative billing rates as well. As the junior partner, Madeline's billing rate is 30% lower than Sam's, which means her billing rate is $280 per hour. Comparing the opportunity cost in terms of the billing rate, Sam's opportunity cost per slide is $20, while Madeline's opportunity cost is $27. Therefore, Sam has a lower opportunity cost and a comparative advantage in creating slides.
Sam's ability to create slides more efficiently allows him to produce them at a lower cost compared to Madeline. This means that it would be more beneficial for the firm to allocate the task of creating slides to Sam, as he can produce them at a lower opportunity cost and ultimately maximize the firm's overall productivity and profitability.
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Budgeted sales in Washburn Company over the next four months are given below:
September October November December
Budgeted sales $100,000 $160,000 $180,000 $120,000
Twenty-five percent of the company's sales are for cash and 75% are on account. Collections for sales on account follow a stable pattern as follows: 50% of a month's credit sales are collected in the month of sale, 30% are collected in the month following sale, and 15% are collected in the second month following sale. The remainder is uncollectible. Given these data, cash collections for December should be:
The average price per piano that Marwick's Pianos, Inc. pays to a major producer is $1,500. We can create both conventional and contribution-format income statements in order to analyse the company's revenue.
Contrarily, the income statement using the contribution style divides expenses into their fixed and variable components. It divides fixed costs from variable costs, such as cost of products sold. The amount available to pay for fixed expenditures and add to operating income is represented by the contribution margin, which is what is provided.
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"A Lifetime of Reading Taught Min Jin Lee How to Write About Her Immigrant World" by Min Jin Lee
What is the main idea?
What is the thesis of the reading ?
what is a good quote and what it mean of the quote ?
ENG 100.5
Main idea: Min Jin Lee's lifetime of reading has shaped her ability to effectively write about her immigrant world.
Thesis: The thesis of the reading is that Min Jin Lee's lifelong dedication to reading has played a crucial role in shaping her skills as a writer and enabling her to authentically portray the immigrant experience in her works.
Good quote: "Reading taught me how to write about my immigrant world." This quote emphasizes the direct connection between Min Jin Lee's reading habits and her ability to effectively write about her experiences as an immigrant
How has Min Jin Lee's lifetime of reading influenced her writing about her immigrant world?Min Jin Lee's essay highlights the profound impact that her extensive reading has had on her writing about the immigrant experience. By immersing herself in literature, she has gained a deep understanding of storytelling techniques, character development, and narrative structure.
This extensive reading has allowed her to explore and depict the complexities and nuances of the immigrant world in a compelling and authentic manner. Through her own experiences as an immigrant and her engagement with literary works, she has honed her writing skills and developed a unique voice that resonates with readers.
Lee's thesis emphasizes the invaluable role of reading in shaping her ability to effectively convey the immigrant experience through her writing.
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Consider the following scenario: c = currency-deposit ratio = 0.20 rr = required reserve ratio = 0.10 er = Excess-reserve-deposit ratio = 0.90 So, currently the money multiplier is 0.10 . Suppose that, all else the same, the Fed eliminates the reserve requirements. Then, the money multiplier changes to . Now, suppose that after the elimination of the reserve requirements, the excess reserve ratio increases to er = 1.80. As a result, the money multiplier changes to 0.85
If the Fed eliminates reserve requirements, the money multiplier increases to an unknown value. When the excess reserve ratio increases to 1.80, the money multiplier decreases to 0.85.
In the given scenario, the initial conditions are:
c = currency-deposit ratio = 0.20
rr = required reserve ratio = 0.10
er = excess-reserve-deposit ratio = 0.90
Money multiplier = 1/rr = 1/0.10 = 10
When the Fed eliminates reserve requirements, the required reserve ratio becomes zero, which means banks are not required to hold any reserves. In this case, the money multiplier changes to an unknown value, as it depends on the behavior of banks and the public regarding their deposits and currency holdings.
However, if after the elimination of reserve requirements, the excess reserve ratio increases to er = 1.80, the money multiplier changes to 1/(rr + er) = 1/(0.10 + 1.80) = 1/1.90 = 0.5263. This means that for every unit of reserves held by the banks, the money supply will increase by approximately 0.5263 units.
The increase in the excess reserve ratio indicates that banks are holding a larger proportion of reserves compared to deposits. This reduces the money multiplier, as a higher ratio of excess reserves implies a lower lending capacity of banks, resulting in a lower money supply multiplier.
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Question 2 1 pts Valeria purchased a home for $320,000 six years ago. A recent hurricane partially damaged the home. The fair market value of the house before the damage was $475,000. After the damage by the hurricane, the value of the house fell to $300,000. How much and what type of loss does Valeria recognize? O a $320,000 1231 loss O a $175,000 personal casualty loss O a $155,000 passive activity loss O a $175,000 at risk loss
Valeria purchased a home for $320,000 six years ago. A recent hurricane partially damaged the home. The fair market value of the house before the damage was $475,000. After the damage by the hurricane, the value of the house fell to $300,000.What type of loss does Valeria recognize and how much?
Valeria recognizes a $175,000 personal casualty loss.
Option O a $175,000 personal casualty loss.
Valeria's basis is $320,000.The fair market value before the damage is $475,000.The fair market value after the damage is $300,000.The loss incurred due to the damage to the house is calculated as follows: $475,000 - $300,000 = $175,000.Loss deduction for a personal casualty is calculated as follows:
Decrease in the value of the property or the adjusted basis of the property, whichever is less: $175,000.Less reimbursement received: None.
Personal casualty loss allowed: $175,000.Valeria will be able to recognize a $175,000 personal casualty loss for the damage caused by the hurricane.
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The majority of the basic money supply (m2) in the united states
is in the form of:
a. savings account
b. gold and traveler's checks
c. transactions accounts and currency in circulation
d. Certificate
The correct answer is option c. The majority of the basic money supply (m2) in the united states is in the form of transactions accounts and currency in circulation.
This is because Transactions accounts, such as checking accounts, and currency in circulation (physical cash) make up a significant portion of the basic money supply. These are the most commonly used forms of money for everyday transactions, facilitating the exchange of goods and services in the economy.
While savings accounts (a) and certificates (d) may be included in the broader definition of money supply, they are not typically considered part of the basic money supply (M2).
Gold and traveler's checks (b) are less commonly used as a medium of exchange compared to transactions accounts and currency.
Therefore correct answer is option C. Transactions accounts an currency in circulation.
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Tiananmen Square events occurred a) during Deng Xiaoping period b) during Mao's reign c) during Xi Jinping period d) during Jiang Zemin period. e) and were actively financed by Stalin. 14. The labor market in the Japanese economy a) has fewer labor unions than US b) has paternalistic attitude towards labor c) has lower level of foreign workers. d) all are correct. e) both b and care correct
The correct answer is d). all are correct. the Tiananmen Square events occurred in China, they are not directly related to the labor market in the Japanese economy.
Explanation: The labor market in the Japanese economy has fewer labor unions than the US, has a paternalistic attitude towards labor, and has a lower level of foreign workers. All three statements are correct. In Japan, labor unions have historically been less prevalent compared to the United States, with a smaller percentage of the workforce being unionized. The Japanese employment system often emphasizes a paternalistic relationship between employers and employees, with a focus on long-term employment, company loyalty, and job security.
Additionally, Japan has relatively lower levels of foreign workers compared to some other countries. Therefore, options a), b), and c) are all correct statements about the labor market in the Japanese economy, making option d) the correct answer. Option e) is not correct since it combines options b) and c), which are both correct.
Please note that while the Tiananmen Square events occurred in China, they are not directly related to the labor market in the Japanese economy.
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According to the traditional Economic model,
Group of answer choices
employees seek to maximize both their own and the company's well-being.
employees sometimes seek to maximize their own well-being, and sometimes they seek to maximize the company's well-being.
employees seek to maximize the company's well-being.
employees seek to maximize their own well-being.
According to the traditional Economic model, employees seek to maximize their own well-being. This means that employees prioritize their own interests and try to make decisions that will benefit them personally, such as negotiating for higher wages or seeking better job opportunities.
However, this does not mean that employees do not also consider the well-being of the company they work for. In fact, it is often in an employee's best interest to ensure that the company is successful, as this can lead to job security and potential for career growth.
Additionally, some companies offer incentives or bonuses that align with the employees' goals, which can motivate them to work harder and contribute more to the success of the company. However, ultimately, an employee's primary goal is to maximize their own well-being, while also recognizing that the well-being of the company is important for their own success.
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Assume that there are two identical firms serving a market in which the inverse demand
function is given by
P =100-2Q. The marginal costs of each firm are $10 per unit.
Calculate the Cournot equilibrium outputs for each firm, the product price, and the profits
of each firm.
The Cournot model is an economic theory used to describe how firms compete with each other when they produce similar but differentiated products. It is an oligopoly model that assumes that each firm produces the same type of good and competes with each other to capture a portion of the market.
The model gets its name from Antoine Augustin Cournot, a French mathematician who first proposed it in his book, Recherches sur les principes mathématiques de la théorie des richesses, in 1838.
The Cournot equilibrium is a concept that refers to the condition where each firm chooses the optimal quantity of output given the output choice of its rival. At this equilibrium, each firm is producing the quantity of output that maximizes its profit, given the output choice of its rival.
The inverse demand function for the market is given as:P = 100 - 2Q
where P represents the price of the product and Q represents the total quantity demanded by consumers in the market. Since there are two identical firms in the market, each firm's demand function will be half of the total market demand. Thus, the demand function for each firm is given by:P = 50 - Q
The marginal cost of each firm is $10 per unit. Therefore, the cost function for each firm is:C(Q) = 10Qwhere Q represents the quantity produced by the firm.
Using these functions, we can find the Cournot equilibrium outputs for each firm:
Q1 = (50 - Q2)/2 + 10Q2 = (50 - Q1)/2 + 10
Substituting the first equation into the second equation, we get:
Q2 = (50 - [(50 - Q2)/2 + 10])/2 + 10
Simplifying the equation, we get:
Q2 = 15 + Q2/4
Dividing by (3/4), we get:
Q2 = 60
Therefore, the Cournot equilibrium quantity for each firm is Q1 = Q2 = 60/2 = 30. The total market quantity is therefore Q = 60.The product price is given by the demand function:P = 50 - QP = 50 - 60P = -10
Since the price cannot be negative, we know that the price is zero. Each firm earns profits equal to the difference between revenue and cost:π = (P - MC) * Q
where π represents profit, P represents price, MC represents marginal cost, and Q represents quantity.
The profits of each firm are therefore:π1 = (0 - 10) * 30 = -300π2 = (0 - 10) * 30 = -300
Both firms are earning negative profits at the Cournot equilibrium. This indicates that there is excess capacity in the market and that the firms could increase their profits by reducing their output.
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2.4 An automotive company uses a kanban system to support its transmission assembly. The following information is known about the component on the assembly: Annual usage = 45 000 (300 days per year) S
An automotive company uses a kanban system to support its transmission assembly. The company must maintain a minimum of 3000 units of inventory.
A kanban system is a lean manufacturing technique that aids in the efficient management of the supply chain. The following details are known about the component on the assembly:
Annual Usage = 45000 (300 days per year)
Safety Stock = 150%
Lead Time = 5 days
Work in Progress = 1000
Suppliers Lead Time = 10 days
The inventory management calculations for the given data are as follows:
Average demand per day = Annual usage / Number of working days
= 45,000 / 300= 150
Average demand during lead time = Average demand per day * Lead time
= 150 * 5= 750
Safety stock = 150% of average demand during lead time
= 1.5 * 750
= 1125
Reorder point = Average demand during lead time + Safety stock
= 750 + 1125= 1875
The minimum amount of inventory that the company should keep is the sum of safety stock and reorder point, which is 1125 + 1875 = 3000 units.
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If you were in charge of U.S. economic policy right now, what are 1 or 2 specific policies or reforms you would implement to address the challenges facing the American economy right now?
Please give a high quality answer specific to the US
If I were in charge of U.S. economic policy right now, there are two specific policies or reforms that I would prioritize to address the challenges facing the American economy.
Infrastructure Investment:
One of the key policies I would implement is a comprehensive infrastructure investment plan. The United States is in dire need of modernizing its infrastructure, including transportation systems, broadband networks, energy grids, and water systems. By allocating substantial funds towards infrastructure projects, we can not only create immediate job opportunities but also enhance the country's productivity, competitiveness, and long-term economic growth. This investment would not only address critical infrastructure deficiencies but also stimulate various industries and boost private sector investments.
Skills Development and Workforce Training:
To ensure the American economy remains resilient and adaptable, I would focus on strengthening skills development and workforce training programs. By aligning education and training initiatives with emerging industries and future job market demands, we can equip workers with the necessary skills to thrive in a rapidly evolving economy. This would involve partnering with educational institutions, employers, and industry associations to identify skill gaps, design targeted training programs, and provide financial incentives to individuals and businesses for participating in upskilling and reskilling initiatives. Such efforts would enhance workforce productivity, reduce unemployment, and promote inclusive economic growth.
These two policies would not only address immediate challenges but also contribute to the long-term prosperity of the American economy. By investing in infrastructure and human capital, we can create a solid foundation for sustainable economic development, job creation, and improved living standards for all Americans.
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1B–Computing ROI and Residual Income
The CFO of Gentry Autogroup, Allison Gentry is debating an
investment. The investment is
projected to
earn $100,000 annually and will require the company to acqu
The CFO of Gentry Autogroup, Allison Gentry, is considering an investment that is projected to earn $100,000 annually. The investment requires the acquisition of new equipment at a cost of $800,000.
Return on Investment (ROI) is a financial metric used to assess the profitability of an investment. It is calculated by dividing the net income generated by the investment by the initial cost of the investment.
In this case, if the investment is projected to earn $100,000 annually and the cost of the investment is $800,000, the ROI can be calculated by dividing $100,000 by $800,000 and multiplying by 100 to express it as a percentage.
Residual Income is another performance measure that takes into account the opportunity cost of the company's equity. It is calculated by subtracting the equity charge from the net income. The equity charge is calculated by multiplying the company's cost of equity by the investment's equity capital. The residual income provides an indication of the profitability of the investment after considering the cost of the company's equity.
Both ROI and Residual Income can be useful metrics for evaluating the investment. They provide insights into the profitability and value creation potential of the investment. The decision to proceed with the investment would depend on various factors such as the company's required rate of return, risk tolerance, and strategic objectives.
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What is manifest destiny? Explain how this affected
American-Mexican relations and the geography of America?
Manifest destiny was the belief that the United States was destined to expand across the continent from the Atlantic Seaboard to the Pacific Ocean. And it impacted in the American-Mexican relations, because it was one the bases of a war between both countries.
Also the manifest destiny changed the geography of America, due that this country grew territorially thanks to the expansionist policies of the pointed manifest.
The manifest destiny was driven by a sense of mission, which led to territorial expansion, especially in the American West and the Southwest.
The feeling of expansion was reinforced by the concept of "American exceptionalism," which held that the United States was unique among nations because of its democratic institutions, entrepreneurial spirit, and economic opportunities.
The demand for land and the desire for wealth and power were also driving factors that fueled the idea of manifest destiny. All this affected the American-Mexican relations, as the United States' territorial expansion threatened Mexico's sovereignty.
The Mexican-American War, which began in 1846, was a result of tensions over Texas, which was annexed by the United States in 1845.
The war ended in 1848 with the signing of the Treaty of Guadalupe Hidalgo, which forced Mexico to cede a large portion of its territory to the United States, including California, Arizona, New Mexico, Nevada, Utah, and parts of Colorado, Wyoming, Kansas, and Oklahoma.
The geography of America was also affected by manifest destiny, as the United States expanded its territory westward.
The Louisiana Purchase of 1803, which doubled the size of the United States, was a significant step in the country's territorial expansion.
The Oregon Territory, which was acquired from Great Britain in 1846, added to the country's land holdings.
The Mexican Cession of 1848, which included California and other western territories, increased the United States' size and geographic diversity.
In conclusion, manifest destiny was a belief that drove the United States to expand its territory from the Atlantic Seaboard to the Pacific Ocean. It had a significant impact on American-Mexican relations and the geography of America.
The idea of manifest destiny was driven by a sense of mission, American exceptionalism, the demand for land, and the desire for wealth and power.
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There are four fare classes on a flight with the following rates:
Y: $800
B: $500
M: $350
T: $200
The EMSR of the next seat is $425. According to EMSRa, what is the lowest fare class open?
The lowest fare class open according to EMSRa is T. As we can see, the EMSR value for T is the lowest at $200. This means that the next seat available for sale should be at the T fare class since it provides the minimum revenue requirement for the airline.
EMSRa stands for "Equivalent Minimum Stay Revenue". It is a revenue management tool that helps airlines to determine the lowest fare class available for sale based on the expected revenue from the seat. The EMSR value is calculated by multiplying the fare by the minimum stay requirement for that fare class.
In this scenario, we have four fare classes with the following rates: Y $800, B $500, M $350, and T $200. To determine the EMSR value, we need to know the minimum stay requirement for each fare class. Let's assume that the minimum stay requirement for Y is 7 days, for B is 3 days, for M is 2 days, and for T is 1 day. Now, let's calculate the EMSR value for each fare class: For Y: EMSR = $800 x 7 = $5,600 For B: EMSR = $500 x 3 = $1,500 For M: EMSR = $350 x 2 = $700 For T: EMSR = $200 x 1 = $200
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uation Mental ability Emotional intelligence Linguistic ability Interpreting others, Teenus ement C. Helping someone else become less upset D. Trying again if you fail Controlling your impulses tests
Valuation is the process of assigning a value or worth to something, such as an asset or company. It involves analyzing various factors and using different valuation methods to determine the fair value.
Valuation: Assessing the worth of something.
Mental ability: Cognitive skills and intelligence.
Emotional intelligence: Understanding and managing emotions.
Linguistic ability: Proficiency in language skills.
Interpreting others: Understanding others' intentions and emotions.
Helping someone else become less upset: Providing support and comfort.
Trying again if you fail: Demonstrating perseverance and resilience.
Controlling your impulses: Managing impulsive behaviors.
Tests: Assessments measuring knowledge and abilities.
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What is the earned (EV/BCWP) for accounts 03110, 03210, and 03310? Budget Actual Budget Earned EV Account Code UOM PV Quantity Total 03110 Formwork SF 4,000 03210 Rebar Ton 10 6,000 900 1,600 03310 Pl
The earned value (EV/BCWP) for accounts 03110, 03210, and 03310 are as follows: 03110 Formwork: $1,600, 03210 Rebar: $900, and 03310 Place & Finish: $0.
The earned value (EV/BCWP) represents the budgeted cost of work performed. It indicates the value of the work that has been completed according to the project plan. In the given scenario, the earned value for account 03110, which is Formwork, is $1,600. This means that the completed work for Formwork is valued at $1,600.
Similarly, the earned value for account 03210, which is Rebar, is $900. This represents the value of the completed work for Rebar.
However, the earned value for account 03310, which is Place & Finish, is $0. This suggests that no work has been completed or earned for this account at the given point in time.
The earned value provides insights into the progress of the project, comparing the actual work completed against the planned budgeted work. It helps project managers assess performance and determine if the project is on track, over budget, or under budget.
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economic studies conducted in industrially advanced countries suggest there is
The size of the average yearly rate of inflation and the central bank's degree of independence are inversely related.
Which institution is the central bank?
An organization that controls a nation's or monetary union's currency, monetary policy, and commercial banking system is known as the central bank, reserves bank, or monetary authority.
Economic research done in industrialized nations suggests there may Inverse correlation exists between the amount of the average annual inflation rate and the level of independence of the central bank.
Therefore, The term "inflation" describes shifts over time in the average level of prices for goods and services across the whole economy.
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Assume n=1
(Question 1) At i=(12+n)%, what is the annual equivalence amount for the infinite series shown next. $100+10m $100+10n 100+10n +00 $60+8n $ 60+8n $60+8n Ininin 0 1 2 3 4 5 6 7 8 9 10 11 12 Years
To calculate the annual equivalence amount for the infinite series, we need to determine the present value of the series. The formula for the present value of an infinite series is:
Present Value = Annual Cash Flow / (Discount Rate - Growth Rate)
In this case, the annual cash flow is $100 + 10n, the discount rate is 12% + n, and the growth rate is 8.
Substituting the values into the formula, we get:
Present Value = ($100 + 10n) / (0.12 + n - 0.08)
= ($100 + 10n) / (0.04 + n)
Now, since we are looking for the annual equivalence amount, we need to multiply the present value by the discount rate. The discount rate in this case is i = 12% + n.
Annual Equivalence Amount = Present Value * Discount Rate
= (($100 + 10n) / (0.04 + n)) * (0.12 + n)
To calculate the specific annual equivalence amounts for each year, we substitute n=1 into the equation:
Year 0: (($100 + 10(1)) / (0.04 + 1)) * (0.12 + 1)
Year 1: (($100 + 10(1)) / (0.04 + 1)) * (0.12 + 1)
Year 2: (($100 + 10(1)) / (0.04 + 1)) * (0.12 + 1)
...
Year 12: (($100 + 10(1)) / (0.04 + 1)) * (0.12 + 1)
Please note that the values in the equation remain the same for each year since n=1. Therefore, the annual equivalence amount for each year will be the same.
For each year, substitute the values into the equation and calculate the result to find the annual equivalence amount.
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(Use the data below for Questions 7-17.) Company Pacquires 80% of Company S for $600,000 on 1/1/19. P did not pay a "control premium" for the acquisition. On that date, S reported common stock of $200
The amount allocated to the controlling interest under the acquisition method is $480,000.
Given, Company Pacquires 80% of Company S for $600,000 on 1/1/19. P did not pay a "control premium" for the acquisition. On that date, S reported common stock of $200.
Now we need to calculate the amount allocated to the controlling interest under the acquisition method.
The acquisition method allocates the purchase price to the individual assets and liabilities of the acquired company based on their fair market values as of the acquisition date, with any excess being recorded as goodwill. The amount allocated to the controlling interest under the acquisition method can be calculated as follows:
Cash consideration paid by P: $600,000
Purchase price allocated to S's net assets: $600,000 x 80% = $480,000S's net assets at fair market value: $600,000
Purchase price allocated to goodwill: $120,000 ($600,000 - $480,000)Therefore, the amount allocated to the controlling interest under the acquisition method is $480,000.
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Cooper's Bags Company manufactures cloth grocery bags to be sold to grocery stores and other retailers. Cooper's Bags Company sells the bags in cases of 1,000 bags. The bags come in three sizes: Large
Cooper's Bags Company manufactures cloth grocery bags in three sizes: large, medium, and small.
The bags are sold in cases of 1,000 bags to grocery stores and other retailers. The company produces bags based on customer demand and offers customization options such as logo printing and color choices. The bags are made from durable and eco-friendly materials, promoting sustainability and reducing single-use plastic waste. Cooper's Bags Company aims to provide high-quality products that meet the needs of both retailers and environmentally conscious consumers.
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Which of the following is used in the computation of the fixed overhead volume variance?
Group of answer choices
Total Actual Costs: Yes; Budget Costs: Yes; Applied Costs: Yes
Total Actual Costs: No; Budget Costs: Yes; Applied Costs: Yes
Total Actual Costs: Yes; Budget Costs: Yes; Applied Costs: No
Total Actual Costs: Yes; Budget Costs: No; Applied Costs: Yes
The computation of the fixed overhead volume variance includes the following: Total Actual Costs: Yes; Budget Costs: Yes; Applied Costs: No.
The fixed overhead volume variance is a measure used to evaluate the difference between the actual level of activity and the budgeted level of activity in relation to fixed overhead costs. It helps assess the impact of production volume on fixed overhead expenses. In the computation of this variance, the following components are considered:
1. Total Actual Costs: Yes - The actual fixed overhead costs incurred during a specific period are included in the calculation of the fixed overhead volume variance. This includes all the actual expenses related to fixed overhead, such as rent, utilities, depreciation, and other fixed costs.
2. Budget Costs: Yes - The budgeted fixed overhead costs, which are determined in advance based on the expected level of activity, are also considered. These costs serve as the benchmark against which the actual costs are compared to assess any variances.
3. Applied Costs: No - The applied fixed overhead costs are not used in the computation of the fixed overhead volume variance. Applied costs are the overhead costs allocated or absorbed into the cost of production based on a predetermined rate or allocation method.
By comparing the actual fixed overhead costs incurred with the budgeted costs, the fixed overhead volume variance helps identify whether the actual level of activity (volume) differs from the planned level and the corresponding impact on fixed overhead expenses.
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Maria missed class and couldn’t figure out when the next class assignment was due. The only classmate she knew in class was Hanna, but they recently had a disagreement. She decided to touch base with Hanna and keep the interaction positive to try to obtain the needed information. What ability did Maria demonstrate?
a. Contextual dialectics
b. Communication apprehension
c. Role delimited interaction
d. Social communication competence
The answer is d. Social communication competence.
Maria demonstrated social communication competence in this scenario. Social communication competence refers to the ability to effectively and appropriately communicate with others in various social situations. It involves understanding social norms, adapting communication strategies, and maintaining positive interactions.
By reaching out to Hanna despite their recent disagreement and aiming to keep the interaction positive, Maria displayed her social communication competence. She recognized the importance of maintaining a cordial relationship with Hanna to obtain the needed information about the class assignment. This ability to navigate social dynamics and communicate effectively in challenging situations is an essential aspect of social communication competence. It helps individuals build and maintain relationships, resolve conflicts, and achieve their communication goals in interpersonal interactions.
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8. Suppose output is a linear homogeneous function of inputs x and y given by z=f(x,y). (a) Prove that the average product of x is a function of the ratio. (b) Show that if average product of x increa
if the average product of x increases, the marginal product of x must be greater than the average product of x.
(a) To prove that the average product of x is a function of the ratio of x and y, we need to show that APx = f(x/y).
The average product of x (APx) is calculated by dividing the total product of x (TPx) by the quantity of x used (x). Mathematically, APx = TPx / x.
Let's express TPx in terms of the ratio of x and y:
TPx = f(x,y) ...(1)
Now, substitute equation (1) into the formula for APx:
APx = TPx / x
= f(x,y) / x
= f(x/y * y, y) / x
= f(x/y, 1) / x
We can see that APx is expressed as a function of the ratio x/y. Therefore, the average product of x is a function of the ratio x/y.
(b) To show that if the average product of x increases, the marginal product of x must be greater than the average product of x, we can compare the conditions for marginal product (MPx) and average product (APx).
The marginal product of x (MPx) is the additional output produced by using one more unit of x, while the average product of x (APx) is the average output per unit of x.
Mathematically, MPx = ∂f/∂x ...(2)
APx = f(x,y) / x ...(3)
If APx is increasing, it means that each additional unit of x contributes more to the total output than the average product of x. In other words, the marginal product of x must be greater than the average product of x for APx to increase.
To prove this, we can compare MPx and APx:
MPx = ∂f/∂x > APx
Since MPx represents the additional output produced by using one more unit of x, it should be greater than the average output per unit of x (APx) for APx to increase.
Therefore, if the average product of x increases, the marginal product of x must be greater than the average product of x.
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accounting costs are often unsatisfactory from the economist's point of view because
Accounting costs are unsatisfactory to economists because they typically focus on explicit, monetary expenses and do not account for implicit costs, such as opportunity costs and time value of money.
Costs refer to the expenses or sacrifices incurred in the production or acquisition of goods, services, or resources. They represent the value of resources used or foregone to achieve a particular outcome. Costs can be categorized into various types, including explicit costs (such as wages, raw materials, and rent) and implicit costs (such as opportunity costs and the foregone income from alternative uses of resources). In addition, costs can be fixed (remain constant regardless of production levels) or variable (vary with changes in production). Understanding and managing costs is crucial for businesses to assess profitability, make pricing decisions, allocate resources efficiently, and evaluate the financial viability of projects or investments.
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Identify and explain the four assumptions that underpin the perfect competition hypothesis. 2. Why is profit maximised when marginal revenue equals marginal cost at the production level? 3. 4. What is the form of the perfectly competitive firm's demand curve? Why? Will a completely competitive firm shut down in the short run if price (P) is less than average total cost (ATC)? Using a hypothetical situation, explain why or why not.
The four assumptions that underpin the perfect competition hypothesis are:a) Many buyers and sellers: There are numerous buyers and sellers in the market, none of whom can individually influence the market price.
Homogeneous products: The goods or services offered by each seller are identical or very similar, leading to perfect substitutability. c) Perfect information: Buyers and sellers have complete and accurate information about prices, quantities, and market conditions. d) Free entry and exit: Firms can freely enter or exit the market without barriers, ensuring that long-term profits are driven to zero.Profit is maximized when marginal revenue (MR) equals marginal cost (MC) at the production level because MR represents the additional revenue earned from selling one more unit, while MC represents the additional cost incurred in producing one more unit. When MR is greater than MC, producing an additional unit generates more revenue than cost, increasing profit. Conversely, when MC is greater than MR, producing an additional unit incurs higher costs than the revenue generated, decreasing profit. Thus, profit is maximized when the additional benefit from producing one more unit equals the additional cost incurred.
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(1%) Which of the following statements are correct? i) If a producer manufactures a unit elastic product, he/she can influence total revenue by changing the price. ii) The Reserve Bank can limit inflation by decreasing the supply of money. iii) Public goods are excludable in nature. iv) Perfectly inelastic supply is a vertical line. v) The elasticity of products changes over time. A) i, ii, iii & v B) i, iii & v D) ii, iv & v C) ii, iii & iv E) i & iii
The statement is:
E) i & iii
i) If a producer manufactures a unit elastic product, he/she can influence total revenue by changing the price.
is true because in the case of a unit elastic product, a change in price will result in an equal percentage change in quantity demanded, leading to no change in total revenue.
iii) Public goods are excludable in nature. This statement is in. Public goods are non-excludable, meaning that it is not possible to exclude individuals from consuming them once they are provided. Examples of public goods include national defense and street lighting.
The other statements are in:
ii) The Reserve Bank can limit inflation by decreasing the supply of money. This statement is partially . The Reserve Bank can influence inflation by adjusting the money supply, but it is not the only factor that affects inflation. Other factors such as fiscal policy, market conditions, and external shocks also play a role in determining inflation.
iv) Perfectly inelastic supply is a vertical line. This statement is in. Perfectly inelastic supply refers to a situation where the quantity supplied does not respond to changes in price. In this case, the supply curve would be a horizontal line, not a vertical line.
v) The elasticity of products changes over time. This statement is in. The elasticity of a product is determined by its characteristics and market conditions, and it does not necessarily change over time. However, consumer preferences, technology advancements, and market dynamics can impact the demand elasticity of a product.
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Hi, please read the post below and respond based on the post
please
A request for a quote (RFQ) is an inquiry that a company can
send to a supplier to commence a transaction between the two. An
exampl
A request for a quote (RFQ) is an inquiry that a company can send to a supplier to commence a transaction between the two.
An example of an RFQ is when a company sends an inquiry to a supplier to provide a quote for the supply of raw materials, goods or services. The RFQ usually specifies the requirements, specifications and quantities needed. It is important for the supplier to provide an accurate and competitive quote that will win them the business. The quote should be clear and easy to understand, with all the relevant information and pricing. It is also important for the supplier to respond to the RFQ in a timely manner, as the company may be considering other suppliers and a delay in the response could result in the loss of business. Overall, the RFQ is an important document that helps to initiate the procurement process and provides the supplier with an opportunity to win new business.
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Regarding the marketing mix of 4 Ps, which P Ferrari does most
effectively and which P it does not? What kind of moves did Ferrari
take to improve them?
Ferrari is most effective in the 'Product' aspect of the marketing mix, consistently delivering high-performance luxury sports cars that embody exclusivity, craftsmanship, and cutting-edge technology.
The brand's emphasis on innovation, design excellence, and superior performance has enabled Ferrari to establish itself as a leader in the luxury automotive industry. Ferrari has made significant moves to continuously improve its product offerings. The company invests heavily in research and development to enhance the performance, efficiency, and safety of its vehicles. It also focuses on customization options to meet individual customer preferences. Furthermore, Ferrari maintains strict quality control measures to ensure that its products consistently meet the highest standards.
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the process of transition for an employee home from an international assignment is known as:
The process of transitioning an employee back home from an international assignment is known as repatriation.
Repatriation is the term used to describe the process of reintegrating an employee into their home country or organization after completing an international assignment. It involves managing the employee's return and helping them adjust to their home environment.
Repatriation is a critical phase in the overall process of international assignments. It aims to facilitate a smooth transition for the employee, both personally and professionally, as they reestablish their presence in their home country or organization. The repatriation process typically includes various activities such as debriefing sessions, career counseling, reverse cultural training, employee development and support in reconnecting with colleagues and networks.
The purpose of repatriation is to maximize the benefits gained from the international assignment, retain the employee's skills and knowledge within the organization, and ensure their successful reintegration into the home workplace. Effective repatriation programs and support can help mitigate the challenges and reverse culture shock that employees may experience upon returning home.
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Gaining its popularity amongst European players (with over 20,000 paddle courts), the game has made its way to the Saudi audience. When it comes to Padel 101’s target audience, we can see a wide range in the market. According to a recent statistic, padel mainly attracts players between 25-50 years old, with a majority of female participation. However, after one quick visit to Padel 101, we found the majority of players to be younger than the age range above, and equal participation from both genders. After our observation, it is clear to us that the Saudi youth are taking an interest in sports activities, as part of an overall healthier lifestyle. Padel 101 has created a space where people can exercise in a fun way, while also being able to socialize. This has resulted in an audience made up of (mostly) teenagers and young adults, who are looking for healthy activities to participate in.
In conclusion, the Saudi youth is becoming increasingly conscious about their overall health and well-being, and this is reflected in their interest in sports activities. Padel 101 offers them a space where they can participate in a fun and healthy sport while socializing with their peers.
Padel 101 is a sports activity center that has become quite popular among European players, and it has made its way to the Saudi audience. The target audience for this game is quite diverse, with a wide range in the market. According to recent statistics, padel attracts players between the ages of 25-50, with the majority being females. However, upon one quick visit to Padel 101, the majority of players were younger than the age range above, and equal participation from both genders was observed. The Saudi youth are taking an interest in sports activities, as part of an overall healthier lifestyle. Padel 101 has created a space where people can exercise in a fun way, while also being able to socialize. This has resulted in an audience made up of mostly teenagers and young adults, who are looking for healthy activities to participate in. Gaining its popularity amongst European players with over 20,000 paddle courts, the game has made its way to the Saudi audience. While there is a wide range of audience in the market, recent statistics show that padel mainly attracts players between the ages of 25-50, with the majority being female players. However, the observation made after one quick visit to Padel 101 revealed that the majority of players were younger than the above-mentioned age range, and both genders had equal participation. It is, therefore, clear that the Saudi youth are taking an interest in sports activities, as part of an overall healthier lifestyle. With Padel 101, they can enjoy exercising while socializing with their peers. As a result, Padel 101 has created an audience mostly made up of teenagers and young adults looking for healthy activities to participate in.
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