Nola Company manufactured and sold 10,000 units last year for $175 per unit, although they had budgeted to sell 12,000 units for $180 per unit. Nola purchased and used 20,000 feet of direct materials for $400,000. Nola paid direct labor $300,000 for 15,000 hours. Manufacturing overhead cost $650,000, half variable and half fixed. Variable overhead is usually applied at a rate of 100% of direct labor costs. Fixed overhead was budgeted to cost $400,000. Production standards call for each unit to use 2.5 feet of materials costing $18 per foot, and 2 hours of labor costing $18 per hour. Calculate all nine variances and indicate whether they are favorable or unfavorable.

Answers

Answer 1

Fixed overhead is $400,000, the same as budgeted, so there is no variance. Hence, there are four favorable variances and five unfavorable variances.

Calculation of all nine variances:

Sales Volume Variance is unfavorable = [(Actual sales units - Budgeted sales units) * Budgeted selling price] = [(10,000 - 12,000) * $180] = $-360,000

Price Variance is favorable = (Actual price - Standard price) * Actual quantity = ($175 - $180) * 10,000 = $-50,000

Quantity Variance is unfavorable = (Actual quantity - Standard quantity) * Standard price = [(20,000 / 2.5) - 10,000] * $18 = $-72,000

Material Cost Variance is favorable = (Actual cost - Standard cost) * Actual quantity

= ($400,000 - (10,000 * 2.5 * $18)) = $-50,000

Material Price Variance is favorable = (Actual price - Standard price) * Actual quantity = ($400,000 / 20,000 - $18) * 20,000 = $-40,000

Material Usage Variance is unfavorable = (Actual quantity - Standard quantity) * Standard cost = [(20,000 / 2.5) - 10,000] * $18 = $-72,000

Labor Rate Variance is unfavorable = (Actual rate - Standard rate) * Actual hours = ($20 - $18) * 15,000 = $-30,000

Labor Efficiency Variance is unfavorable = (Actual hours - Standard hours) * Standard rate = (15,000 - 10,000) * $18 = $-90,000

Total variable overhead variance is unfavorable = Actual overhead - (Actual direct labor * Variable overhead rate) = $325,000 - ($300,000 * 1) = $25,000

Fixed overhead is $400,000, the same as budgeted, so there is no variance. Hence, there are four favorable variances and five unfavorable variances.
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Related Questions

You have been appointed as the Marketing Manager of Makro, Massmart CEO Mitchell Slape has assigned you tasks and requires you to write a report that will be presented at the next Massmart Board meeting. You are encouraged to conduct further research on the company.
Background issues
1Massmart . is a South African firm that owns local brands such as Game, Makro, Builder's Warehouse, Cambridge Food and Cash & Carry stores.
2Massmart announces a price freeze in all their brands for the duration of the 21-day nationwide lockdown. This will involve. suspending price adjustments that were scheduled, as part of the normal
course of business, before the lockdown was announced. Fresh produce, which is procured daily from fresh produce markets around the country, is the only category that is not included in this announcement.
3Commenting on the decision, Massmart CEO Mitchell Slape said: "This is an unprecedented time for South Africa and the. world. As we all come to terms with the impact of the Covid-19 pandemic, we must do everything we can to support our customers. We are grateful to our suppliers who support this principled position.’
Assess the situation that Makro is facing in the South African retail industry that prompted them to freeze prices.
Task 3
Advise the Board about the quick actions you took at Makro due to COVID-19 (25 Marks)

Answers

As the Marketing Manager of Makro, some of the quick actions that can be taken in response to COVID-19 are; Communicating with Customers: Makro can quickly communicate with its customers through email, SMS, or social media, reassuring them of the steps being taken to ensure their safety and well-being.

Makro can also provide updates about any changes to store hours, policies, or services offered, as well as any new safety protocols that are being implemented. Creating an Online Shopping Platform: Makro can quickly establish or improve its online shopping platform for customers to shop from home. This will help Makro to increase sales as customers are able to shop for essential items while in isolation. Implementing Safety Measures: Makro can introduce various safety measures such as temperature checks for employees, hand sanitizers, and the use of face masks, to make customers feel safe.

Makro can also put up posters and signs about health guidelines provided by the World Health Organization (WHO) throughout the stores. Educating Employees: Makro can educate employees on the symptoms of COVID-19 and how to prevent its spread. Makro can also provide training on how to handle customers who may have symptoms of the virus and establish protocols on how to handle any suspected or confirmed cases within the store. Makro can also implement remote working to reduce the number of employees in stores. Avoiding Exploitative Practices: Makro can avoid price gouging or taking advantage of the current situation to make excessive profits. Instead, Makro can maintain fair pricing and offer discounts where possible to make essential items more affordable for customers. Finally, Makro can use its platforms to educate customers about the virus and encourage them to follow health guidelines provided by WHO. By following these quick actions, Makro will be able to effectively respond to the pandemic while also continuing to meet the needs of its customers.

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Transactions that impose costs on parties not directly involved in the transaction represent Select one:
A. government intervention to reduce income inequality. B. a form of public good, as the costs are shared with the public. C. a market failure due to price distortion. D. a market failure characterized by an externality.

Answers

D. a market failure characterized by an externality.

Transactions that impose costs on parties not directly involved in the transaction represent a market failure due to the presence of an externality.

In economics, a market refers to the interaction between buyers and sellers, where goods, services, or resources are exchanged. It is a mechanism through which supply and demand are coordinated to determine prices and allocate resources.

Markets can take various forms, such as product markets where consumer goods and services are traded, labor markets where workers offer their skills in exchange for wages, and financial markets where stocks, bonds, and currencies are bought and sold.

Markets are guided by the forces of supply and demand, where sellers aim to maximize profits and buyers seek to maximize utility. Market outcomes are influenced by factors like competition, government regulations, consumer preferences, and market participants' behavior. Efficient markets promote economic growth, while market failures may lead to suboptimal outcomes requiring intervention or regulation.

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A series of events takes place when an externality is internalized. Place the events in logical order. Start by clicking the first item in the sequence or dragging it here Drag the items below into the box above in the correct order, starting with the first item in the sequence. New regulations impose emission limits on all new woodstoves. Widespread use of residential woodstoves affects air quality. Air quality improves as the new woodstoves come into use. he costs of implementing the design changes are partly borne by makers and partly passed on to consumers. Makers update woodstove designs.

Answers

When an externality is internalized, it typically follows a logical sequence of events. the widespread use of residential woodstoves.

It affects air quality due to the emissions they produce. To address this issue, new regulations are implemented, imposing emission limits on all new woodstoves. In response to these regulations, makers of woodstoves update their designs to meet the new emission standards. However, implementing these design changes comes with costs that are shared between the makers and consumers.

Finally, as the new woodstoves with improved designs come into use, air quality gradually improves. This sequence reflects the process of internalizing the externality and addressing the negative impact it has on the environment.

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Diversification is the process of firms expanding their
operations by entering new businesses. Is it better for a company
to expand in related or unrelated businesses? and why?

Answers

The choice between expanding in related or unrelated businesses depends on factors such as a company's goals ,capabilities, and market dynamics, with related diversification often offering advantages through leveraging existing knowledge and resources.

How does diversification impact a company's expansion strategy?

Whether diversification impact a company's expansion strategy to expand in related or unrelated businesses depends on various factors, including the company's goals, capabilities, and the specific market dynamics. However, in general, expanding in related businesses often offers certain advantages over unrelated businesses.

Expanding in related businesses allows a company to leverage its existing knowledge, resources, and capabilities. By entering industries or markets that are closely aligned or synergistic with the company's core competencies, it can benefit from economies of scope, shared resources, and transferable skills. This can lead to cost efficiencies, better utilization of existing assets, and improved operational effectiveness.

Related diversification also provides opportunities for cross-selling, bundling of products or services, and building a strong brand reputation across multiple related industries. It enables a company to capitalize on its existing customer base, distribution channels, and relationships, potentially leading to increased market share and revenue growth.

However, unrelated diversification has its own merits in certain cases. It can provide risk reduction by spreading investments across different industries and market cycles. It also offers the potential for higher returns if the company identifies attractive growth opportunities in unrelated markets.

Ultimately, the decision between related and unrelated diversification depends on careful analysis, considering factors such as market dynamics, competitive landscape, the company's core competencies, and the potential synergies or risks associated with entering new businesses.

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company- Td bank
Don't copy from other sources.
Recommendations on strategic directions for the
company that are supported by 2 of the following:
i. SPACE Matrix
ii. BCG Matrix
iii. IE Matrix
iv. QSPM

Answers

TD Bank is a Canadian banking organization that has been providing financial services for more than 150 years. In a order to provide of appropriate strategic directions for TD Bank, an assessment of the company's competitive and of financial situation is necessary.

This is where the SPACE Matrix, BCG Matrix, IE Matrix, and QSPM come into Bank's internal and external evaluation and strategic position assessment using the SPACE matrix may yield recommendations for strategic directions. To create a SPACE Matrix, first, TD Bank must examine the internal and external components of the SWOT analysis  are Internal factors include strengths and weaknesses, while external factors include opportunities and threats. TD Bank should then categorize each factor into one of four categories: defensive, aggressive, conservative, or competitive. use the BCG matrix to assess its product portfolio and determine the ideal future direction. In the BCG matrix, there are four categories: stars, cash cows, and dogs. TD Bank should classify its product portfolio into one of the categories. TD Bank can make informed strategic decisions based on the analysis of its products.

TD Bank must keep investing in market development and maintain its competitive position. TD Bank should consider diversification in the long run, after establishing a solid market position and strong financial position. TD Bank should assess its business portfolio regularly and react to market changes to stay competitive. QSPM:Finally, TD Bank may use a Quantitative Strategic Planning Matrix (QSPM) to assess its strategic options and determine the ideal course of are action. The QSPM evaluates potential strategic directions and recommends a prioritized set of activities that will help TD Bank should concentrate on expanding its product range and customer base, as well as investing in the are the mainly development of new markets. Reducing costs and enhancing customer service should be the primary focus. are Concentrating on building a more extensive geographic reach is essential addressed  the SPACE matrix, BCG Matrix, IE Matrix, and QSPM. Additionally, we have provided a detailed analysis of the company's current position, evaluated its options and provided strategic recommendations.

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Han signed a 3-year contract last year (in 2021) to earn $210 a day for 8 hours of work. Assume Han sleeps 8 hours a day giving her a total of 16 hours a day she could work. At the time Han signed the contract, she felt her optimal labour hours was to work 8 hours a day. Exactly one year later (in 2022), Han now feels that her optimal labour hours should be less.
(a) Suppose that the price level has increased by 5% from the previous year. Create a graph using leisure and consumption that shows Han’s budget constraint based on the real wage rate in 2021 versus 2022. Be sure to include Han’s indifference curves for 2021 and 2022 given the contract requires her to work for 8 hours a day. Can we say anything about Han’s labour supply curve based on this information? (Could you show me the graph?) (price level increase but the wage is fixed because of the contract?)

Answers

To create the graph, you would have two axes: leisure (hours of leisure per day) on the horizontal axis and consumption (measured in dollars) on the vertical axis.

The budget constraint represents the combinations of leisure and consumption that Han can afford based on the real wage rate.

In 2021, with a fixed wage of $210 per day and 8 hours of work, Han's budget constraint would be a straight line with a slope of -210. This indicates that Han can earn $210 per day and has 16 - 8 = 8 hours available for leisure. The budget constraint would intersect the vertical axis at $210 x 8 = $1,680, representing the maximum consumption Han can achieve with no leisure time.

In 2022, if the price level increases by 5%, the cost of goods and services would also increase by the same percentage. Assuming Han's wage remains fixed at $210 per day due to the contract, her real wage (purchasing power of her wage) would decrease. The budget constraint for 2022 would shift inward parallel to the original budget constraint, reflecting the reduced purchasing power.

Han's indifference curves represent her preferences for different combinations of leisure and consumption. Given that the contract requires her to work for 8 hours a day, her indifference curves for both 2021 and 2022 would be L-shaped, reflecting her preference for the combination of 8 hours of work and a certain level of consumption.

Based on this information, we can infer that Han's labor supply curve would be upward-sloping in this context. As the real wage rate decreases due to the increase in the price level, Han may choose to work fewer hours and allocate more time to leisure, as indicated by the inward shift of the budget constraint. This suggests a negative relationship between the real wage rate and Han's labor supply, leading to a backward bending labor supply curve.

I hope this explanation helps you visualize the graph and understand the implications for Han's labor supply curve.

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Over the past 5 weeks, demand for wine at Winston's Winery has been 2400, 1300, 2700, 1900, and 800 bottles. Winston has placed weekly orders for glass bottles of 2600, 1000, 3000, 2000, and 700 units.

Answers

Over the past 5 weeks, Winston's Winery has experienced varying demand for wine with the number of bottles sold ranging from 800 to 2700. In the same period, Winston has placed weekly orders for glass bottles, with the order size ranging from 700 to 3000 units. It is evident that Winston's order size does not always align with the level of demand for wine.

In cases where the order size exceeds the demand for wine, Winston may end up with excess inventory that may not be utilized, which could result in wastage or increased storage costs. On the other hand, when the order size is lower than the level of demand, Winston may run out of stock, which could lead to lost sales and dissatisfied customers.

To optimize inventory management, Winston needs to ensure that his order size aligns with the level of demand for wine. This can be achieved by forecasting demand accurately and adjusting order sizes accordingly. Additionally, Winston can consider implementing an inventory management system that tracks inventory levels in real-time, allowing him to adjust order sizes and avoid stockouts or overstocking. By adopting these measures, Winston can ensure that his inventory levels are optimized, resulting in increased efficiency and profitability.

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Dept A transfer out $500 of units Case I: They are totally finished Casell: The go into Dept B for more work Do the entry for each case

Answers

The Work in Process Inventory account for Department A is credited to show the reduction in the work in process inventory balance for that department as the units have been transferred out.

Case I: Units are totally finished

In this case, when Department A transfers out $500 of finished units, the entry would be:

Debit Finished Goods Inventory Account - $500

Credit Work in Process Inventory Account - $500

The Finished Goods Inventory account is debited because finished goods have been produced and transferred out of Department A. The Work in Process Inventory account is credited to reflect the reduction in the work in process inventory balance for Department A.

Case II: Units go into Dept B for more work

In this case, when Department A transfers out $500 of units that go into Department B for more work, the entry would be:

Debit Work in Process Inventory Account (Department B) - $500

Credit Work in Process Inventory Account (Department A) - $500

The Work in Process Inventory account for Department B is debited to reflect the increase in the work in process inventory balance for that department. The Work in Process Inventory account for Department A is credited to show the reduction in the work in process inventory balance for that department as the units have been transferred out.

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What are the arguments against international free trade and what
policies does the government have to restrict it?

Answers

There are several arguments against international free trade. One of the main concerns is that it can lead to job losses in certain industries as companies may choose to relocate to countries where labor is cheaper.

Additionally, free trade can lead to a race to the bottom in terms of labor and environmental standards as countries compete to attract investment. There are also concerns that free trade can lead to an unequal distribution of the benefits, with larger and more powerful countries being able to negotiate more favorable deals.

To restrict international free trade, governments can implement a variety of policies. Tariffs, or taxes on imported goods, can be imposed to make foreign products more expensive and less competitive with domestically produced goods. Quotas can also be put in place to limit the amount of a particular product that can be imported.

Non-tariff barriers such as regulations and standards can also be used to make it more difficult for foreign companies to enter domestic markets. Finally, governments can negotiate trade agreements that include provisions to protect domestic industries and workers.

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Consider a world with the following initial endowments for Ali and Amin. Ali has 15 pizzas
and 20 six-packs of cola. Amin has 25 pizzas and 10 six-packs of cola.
a) Draw an Edgeworth box depicting this situation. (For consistency, put six-packs of
cola on the x-axis and pizzas on the y-axis). Label the initial point A.
(3 m)
b) At the initial endowment point, Ali is willing to give up one pizza for one six-pack of
cola and Amin is willing to give up three pizzas for one six-pack of cola. Draw an
indifference curve for Ali and an indifference curve for Amin that might show this
situation, in the Edgeworth box. (You don’t need to use the exact numerical
information. Concentrate on the relationship between Ali and Amin’s MRS). Is point
A Pareto-efficient? Explain.
(4 m)
c) Given the situation at the initial endowment point, shade in the area of gains from
trade. Explain why Ali and Amin would be willing to trade in this area.
(4 m)
d) Although there are many possibilities, draw a Pareto-efficient point, given the initial
endowments. Label the Pareto-efficient point B. Draw an indifference curve for both
Ali and Amin at that point. What is true about the MRS for Ali and Amin at the
Pareto-efficient point?

Answers

The Pareto-efficiency of point A in the Edgeworth box is determined.

Depict the situation?

a) In the Edgeworth box, the x-axis represents the quantity of six-packs of cola and the y-axis represents the quantity of pizzas. At the initial endowments, Ali has 15 pizzas and 20 six-packs of cola, so the initial point A can be represented as (20, 15) in the Edgeworth box.

b) To depict the willingness to trade between Ali and Amin, we can draw indifference curves for both individuals. Indifference curves represent the combinations of pizzas and six-packs of cola that provide equal levels of satisfaction for each individual.

For Ali, we can draw an indifference curve that shows a willingness to give up one pizza for one six-pack of cola. This curve will slope downward from left to right, indicating that Ali is willing to trade pizzas for six-packs of cola at a constant rate.

For Amin, we can draw an indifference curve that shows a willingness to give up three pizzas for one six-pack of cola. This curve will be steeper than Ali's curve, indicating that Amin has a higher marginal rate of substitution (MRS) between pizzas and six-packs of cola.

Point A, representing the initial endowment, may or may not be Pareto-efficient. To determine this, we need to consider whether there is any possible reallocation of resources that could make at least one person better off without making the other person worse off. If the indifference curves of Ali and Amin intersect at point A, it suggests that a Pareto-improvement is possible. However, without further information about the shape and position of the indifference curves, it is not possible to definitively determine the Pareto-efficiency of point A.

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Solve it in excel please
Question 2: (7.5 points): B3, C3, D3 On 1/1/2019 Karma corporation invested in held to maturity securities the face value was $300,000 the maturity date is 1/1/2030. The security market rate was 10% a

Answers

The initial cost of the investment is equal to the face value of the securities, which is $300,000.

Question 2: (7.5 points): B3, C3, D3

On January 1, 2019, Karma Corporation made an investment in held-to-maturity securities with a face value of $300,000. The securities have a maturity date of January 1, 2030, and the prevailing market rate at the time of investment was 10%.

To calculate:

B3: Determine the initial cost of the investment.

The initial cost of the investment is equal to the face value of the securities, which is $300,000.

C3: Calculate the annual interest income.

The annual interest income can be calculated by multiplying the initial cost of the investment by the market interest rate of 10%.

D3: Determine the carrying value of the investment at the end of the year.

The carrying value of the investment at the end of the year can be calculated by subtracting the annual interest income from the initial cost of the investment.

By performing these calculations, we can determine the initial cost of the investment, the annual interest income, and the carrying value of the investment at the end of the year. These calculations provide important financial information about Karma Corporation's investment in held-to-maturity securities and its impact on the company's financial statements.

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The Shasta College HELO program teaches students how to operate heavy machinery while out in the woods. The program operates on Sierra Pacific land, and produces revenue by delivering processed logs to SP. When trees get cut down (processed), they are delivered to Sierra Pacific in exchange for payment. Since this logging operation is not a manufacturing operation, the depreciation expense incurred on the heavy equipment is considered to be a period cost, not a product cost. In one to three paragraphs, answer the following questions: * Will the depreciation expense, in this case, show up on the Selling and Administrative Expense budget, or the Manufacturing Overhead budget? Explain. * is depreciation a cash expenditure? Explain. * Explain the difference between a product cost and a period cost. * Can depreciation ever be considered part of product cost (as part of Manufacturing Overhead)? Give an example.

Answers

In this case, the depreciation expense for the heavy equipment used in the HELO program would show up on the Selling and Administrative Expense budget.

This is because the logging operation is not considered a manufacturing operation, and therefore the depreciation expense is classified as a period cost. Manufacturing overhead costs are typically associated with the production of goods and include things like indirect labor, materials, and factory utilities.

Depreciation is not a cash expenditure. Instead, it represents the allocation of the cost of a long-term asset over its useful life. Even though no actual cash is being spent on depreciation, it is still an important expense to consider when calculating net income and cash flows.

The difference between a product cost and a period cost is that product costs are associated with the production of goods or services and are included in the cost of goods sold. These costs can be directly traced to the products being produced and include things like direct materials, direct labor, and manufacturing overhead. Period costs, on the other hand, are not directly tied to the production process and are expensed during the period in which they are incurred. Examples of period costs include selling and administrative expenses like marketing and salaries.

While depreciation is typically considered a period cost, it can be considered part of the product cost if it is included in the Manufacturing Overhead budget. For example, if a company produces custom-made machinery and includes the cost of depreciation on that machinery as part of its manufacturing overhead costs, then the depreciation expense would be considered part of the product cost.

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Ben hotel has 50 big rooms and 50 small rooms. The rack rate for big room sale is $80 and small room sale is $40. The big and small room are always sell in the same amount. The marginal cost per room is $15. The paid occupancy % is 85%. Assume rooms are sold at rack rate.
What is the total daily room revenue ? $
What is the total daily room contribution margin? $
What is the equivalent room occupancy?

Answers

The correct answers are:Total daily room revenue = $6000Total daily room contribution margin = $4500Equivalent room occupancy = 85%

Given: Ben hotel has 50 big rooms and 50 small rooms. The rack rate for big room sale is $80 and small room sale is $40. The big and small room are always sold in the same amount. The marginal cost per room is $15. The paid occupancy % is 85%.Formula to calculate:Marginal Revenue (MR) = Marginal Cost (MC)Revenue = Price * QuantityLet's calculate the answers step by step:Total big room sales revenue = 50 * $80 = $4000Total small room sales revenue = 50 * $40 = $2000.

Total daily room revenue = $4000 + $2000 = $6000 (ANS)Contribution Margin = Revenue - Variable CostsVariable Costs = Marginal Costs * QuantityVariable cost of one big room = $15Variable cost of one small room = $15Total variable cost = 50 * $15 + 50 * $15 = $1500Contribution margin = $6000 - $1500 = $4500 (ANS)Equivalent Room Occupancy = Occupancy % * QuantityOccupancy % = 85%Quantity = 50 (Big room) + 50 (Small room) = 100Equivalent room occupancy = 85/100 * 100 = 85% (ANS)

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JAR-700 tour company uses two measures of activity, routes and passengers in its cost formulas used for budgeting and performance evaluation. The cost formula for tour operating costs is $56,900 per month plus $2,878 per route plus $17 per passenger. The company expected in August to perform 87 routes and serve 259 passengers, but the actual activity was 92 routes and 262 passengers. The actual tour operating costs in August was $305,300. The spending variance for tour operating costs in August would be closest to: Multiple Choice. a. $21,030 Favorable. b. $14,441 Favorable. c. $6,589 Unfavorable. d. $6,589 Favorable. e. $21,030 Unfavorable

Answers

c. $6,589 Unfavorable. The spending variance for tour operating costs in August would be closest to $6,589 Unfavorable.

To calculate the spending variance for tour operating costs, we need to compare the actual costs with the budgeted costs based on the actual activity levels. The cost formula for tour operating costs is given as $56,900 per month plus $2,878 per route plus $17 per passenger. The budgeted activity levels for August were 87 routes and 259 passengers, while the actual activity levels were 92 routes and 262 passengers. To calculate the budgeted tour operating costs, we can plug in the budgeted activity levels into the cost formula: Budgeted tour operating costs = $56,900 + ($2,878 * 87) + ($17 * 259) = $56,900 + $250,086 + $4,403 = $311,389. The actual tour operating costs in August were $305,300. Therefore, the spending variance is the difference between the actual costs and the budgeted costs: Spending variance = Actual costs - Budgeted costs = $305,300 - $311,389 = -$6,089. Since the spending variance is negative, it indicates an unfavorable variance. Therefore, the closest option is c. $6,589 Unfavorable.

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The form helps avoid limited agency if the agent already has a buyer contract. (a) Exclusive Buyer-Broker Agreement (b) For Sale by Owner Commission Agreement (c) Non-Exclusive Buyer-Broker Agreement (d) Seller-Broker Agreement

Answers

A non-exclusive buyer-broker agreement is an agreement that can be used to help avoid limited agency if the agent already has a buyer contract. The correct option is c.

Non-exclusive buyer-broker agreements are essentially contracts that are put in place when a buyer needs assistance finding a property to purchase. This kind of agreement is typically arranged with a licensed real estate agent or a broker who will help a buyer search for a property, but there's no guarantee that the buyer will use the agent or the broker for the purchase of the property.

Non-exclusive buyer-broker agreements usually include provisions that allow the buyer to work with multiple brokers and agents during the home buying process. The agreement may contain some restrictions on how much the agent will be paid when the buyer ultimately purchases a property. These kinds of agreements can help buyers feel more comfortable working with an agent or a broker to locate a property without being tied down to that person or firm when it comes time to actually purchase a property.

Non-exclusive buyer-broker agreements can be used to avoid limited agency if the agent already has a buyer contract. When a real estate agent is in a limited agency situation, they represent both the buyer and the seller in a transaction. This kind of situation is not ideal for a buyer because the agent's loyalties may be divided, and they may not be working solely in the buyer's best interests.

A non-exclusive buyer-broker agreement can help avoid this kind of limited agency situation because it doesn't require the agent to represent the buyer in a transaction. The correct option is c.

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Genius PLC has grown rapidly since its stock market flotation five years ago. Despite its rapid growth the company has been able to finance all its new development from retained earnings and employs no debt in its capital structure. The company’s earnings for the year that has just ended was 80€ MILLION, a new high, and with 200 million shares outstanding this produced EPS (earnings per share) of 40p. Last year the company re-invested 80% of its earnings and recorded a rate of growth of earnings 32%, well above the minimum rate of return of 20% sought by investors in its sector of the market. Exactly this growth is also expected for next year for the earnings. The company has now opened stores in all the larger cities in the UK and new stores it plans to open will be located in towns with smaller markets that will produce lower turnover and profits per store. For the next 4 years or so it is anticipated that expansion will continue to be profitable, but less so than in the past even if the process is managed with the same degree of efficiency that has characterised the company’s development over the last few years. As the coverage of the UK market becomes more complete it is planned to reduce the amount of annual investment. It is anticipated that the company will again invest 80% of its earnings next year, 60% of its earnings the following year and 40% the subsequent year. It is expected that the rate of return on new investment will fall to 35% next year, 30% the year after, and 25% three years from now. After the next three years management believes that there is unlikely to be scope for any investment offering internal rates of return of more than 20%. With the disappearance of opportunities for profitable growth it is intended in 4 years time to increase the dividends to 75% of earnings.

a. Estimate the value of the company using both the dividend and earnings based models, as well as the current price of the company’s shares. Set out the assumptions on which the models are based and discuss how appropriate they appear to be in this context. Determine the contribution of Growth opportunities to the estimated value of the company.

b. How would the value of the company change if the required Rate of Return was 15% ? Alternatively if it was 25% ? Comment on your reply.

c. Determine the expected price/earnings ratio today. Explain the determinants of the PE in reference to the two valuation models used.

d. A member of the board suggests identifying an appropriate price-earnings ratio for Genius PLC and using this as a multiplier to derive a value for the company. Comment on this suggestion.

e. The government issued a 15 year bond offering an interest rate of 12 per cent 10 years ago. Since then interest rates have fallen sharply. The bond now has five years to run to maturity and the government has just issued a five year bond offering an interest rate of 6 per cent. Determine a value for the bond that has five years to run to maturity, assume the bond has a face value of £100 and interest is paid annually. Explain your answer.

Answers

In this scenario, Genius PLC has experienced rapid growth and has been able to finance its development through retained earnings without employing debt. The company's earnings for the previous year reached a new high of €80 million, resulting in an EPS of 40p.

To estimate the value of the company, dividend and earnings-based models can be used. The dividend model calculates the value based on expected dividends and the required rate of return. The earnings-based model estimates the value based on future earnings and the expected rate of return. The assumptions made for these models include the growth rate of earnings, the percentage of earnings reinvested, the rate of return on new investments, and the dividend payout ratio. The appropriateness of these assumptions depends on the company's historical performance, market conditions, and future growth prospects. The contribution of growth opportunities to the estimated value of the company will indicate the significance of future expansion for its overall value.

The value of the company will change if the required rate of return is adjusted. A lower required rate of return, such as 15%, would increase the value of the company, as investors would be willing to pay a higher price for each unit of earnings. Conversely, a higher required rate of return, such as 25%, would decrease the value of the company. The change in value reflects the risk and return expectations of investors. A lower required rate of return indicates a higher confidence in the company's future prospects and profitability, while a higher required rate of return suggests higher perceived risk.

The expected price/earnings (P/E) ratio can be determined by dividing the current share price by the earnings per share (EPS). The determinants of the P/E ratio in reference to the two valuation models used are the expected growth rate, the required rate of return, and investor sentiment. A higher growth rate and a lower required rate of return would result in a higher P/E ratio, indicating that investors are willing to pay a premium for the company's expected future earnings. Conversely, a lower growth rate or a higher required rate of return would lead to a lower P/E ratio, suggesting a lower valuation for the company.

Using a price-earnings ratio as a multiplier to derive a value for the company can be a valid approach if the chosen ratio accurately reflects the market's perception of the company's value. However, selecting an appropriate P/E ratio requires careful consideration of various factors, such as industry benchmarks, comparable companies, growth prospects, and risk. Relying solely on a single ratio may oversimplify the valuation process and may not capture all the relevant factors that contribute to the company's value. A more comprehensive analysis, incorporating multiple valuation models and factors, would provide a more robust estimate of the company's value.

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Other things being equal, the more inelastic the demand for a taxed good
a. the greater the excess burden of the tax.
b. the greater the portion of the tax paid by sellers.
c. the less the portion of a tax on sellers that can be shifted to buyers.
d. the greater the portion of the tax paid by buyers.

Answers

Answer: correct answer is d. the greater the portion of the tax paid by buyers.

Explanation:

When the demand for a taxed good is inelastic, it means that consumers are less responsive to changes in price. In this case, when a tax is imposed on the good, the burden of the tax is likely to be passed on to consumers to a greater extent.

Here's why:

Inelastic demand: When demand is inelastic, consumers are less sensitive to price changes. They continue to purchase the good even when the price increases due to the tax.

Less shifting to buyers: When demand is inelastic, sellers have limited ability to shift the tax burden to buyers by increasing the price. Consumers are willing to pay a higher price, and the demand remains relatively unchanged. As a result, sellers bear a smaller portion of the tax burden.

Greater portion paid by buyers: With a more inelastic demand, the burden of the tax falls primarily on consumers. They end up paying a larger portion of the tax through higher prices, as they are less likely to reduce their quantity demanded significantly in response to the price increase caused by the tax.

Therefore, the more inelastic the demand for a taxed good, the greater the portion of the tax paid by buyers.

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Stellantis NV chief executive Carlos Tavares is looking to give
the global auto manufacturer a major tech upgrade.
In a presentation on Tuesday, Mr. Tavares outlined plans to hire
thousands of softwar

Answers

Stellantis NV is making a bold move to prioritize technology and sustainability in their business strategy, and Tavares' plans could potentially drive the company's growth and innovation in the coming years.

Stellantis NV CEO Carlos Tavares is planning to give the global auto manufacturer a significant technological upgrade. In his presentation on Tuesday, he shared his intentions to hire thousands of software engineers to work on advanced driver assistance systems and other cutting-edge technologies. The goal is to stay competitive in the rapidly changing automotive industry and meet the increasing demand for electric and self-driving vehicles. Tavares believes that a strong technology focus is crucial for the company's long-term success. He also highlighted Stellantis' commitment to sustainability, stating that the company plans to invest heavily in electrification.

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Question 3: (6 marks): CLO 3 At the end of the first year of operations 2020, Ali Establishment has the following: Ali Establishment Trial Balance for the month ended December 31, 2020 Accounts title

Answers

To prepare the financial statements for Ali Establishment at the end of 2020, an income statement, owner's equity statement, and balance sheet need to be prepared.

To prepare the financial statements for Ali Establishment, we will start with the income statement. The income statement shows the revenue earned and expenses incurred during the year. We calculate the net income by subtracting the total expenses from the total revenue.

Next, we prepare the owner's equity statement, which shows the changes in the owner's capital account. We begin with the opening capital balance, add net income, subtract any withdrawals made by the owner, and arrive at the closing capital balance.

Lastly, we create the balance sheet, which presents the company's assets, liabilities, and owner's equity at the end of the year. We list the assets (such as cash, accounts receivable, office supplies, etc.) on one side, and the liabilities and owner's equity (including accounts payable, notes payable, unearned revenue, and capital) on the other side.

By preparing these financial statements, we gain insights into the financial performance, equity position, and overall financial health of Ali Establishment at the end of the first year of operations.

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The complete question is: Question 3: (6 marks): CLO 3 At the end of the first year of operations 2020. Ali Establishment has the following: Ali Establishment Trial Balance for the month ended December 31, 2020

(Please find attached)

Required: Prepare financial statements: Income statement, Owner's equity statement and balance sheet.

How do i say this question in my own words and use examples from the textbook!
If you were defending the Cherokee and other native nations before the U.S. Supreme Court in the 1830s, what arguments would you make? If you were supporting Indian removal, what arguments would you make? Provide BOTH arguments ( Chapter 10)

Answers

I say this question in my own words and use examples from the textbook!
If you were defending the Cherokee and other native nations before the U.S. Supreme Court in the 1830s,

If you were presenting a case on behalf of the Cherokee and other Native nations to the U.S. Supreme Court during the 1830s, what points would you emphasize to support their cause? On the other hand, if you were advocating for Indian removal, what arguments would you put forth? Please provide arguments for both perspectives, referring to examples from Chapter 10 of the textbook.

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Consider the SKAB project’s gated community apartment
construction. SKAB projects, a real estate builders and
construction company, is planning to construct a gated community
apartment in Hyderabad.

Answers

Gated community apartments are residential complexes that are enclosed within a secured perimeter and provide additional amenities and services for the residents. These communities often include features such as security gates, common recreational areas, swimming pools, fitness centers, landscaped gardens, and more.

When planning the construction of a gated community apartment, several factors need to be considered:

Location: Choosing the right location is crucial. Factors such as accessibility, proximity to essential services, transportation options, and the overall desirability of the area should be taken into account.

Market Demand: Conducting market research to understand the demand for gated community apartments in the target location is important. Analyzing the preferences, needs, and purchasing power of potential buyers or tenants can help in designing the project to cater to their requirements.

Design and Amenities: The design of the apartments and the overall layout of the community should be aesthetically appealing and functional. The amenities offered, such as clubhouses, parks, playgrounds, parking facilities, and security features, should align with the target market's preferences.

Regulatory Compliance: Adhering to local building codes, regulations, and obtaining the necessary permits and approvals is essential to ensure the legality and safety of the construction project.

Cost and Budgeting: Developing a comprehensive budget that includes all aspects of construction, including land acquisition, materials, labor, infrastructure, amenities, marketing, and contingency plans, is crucial for successful project execution.

Project Management: Efficient project management practices should be implemented to ensure timely completion, quality control, and effective coordination among the various stakeholders involved in the construction process.

Sustainability: Incorporating sustainable practices and technologies into the construction and operation of the gated community apartments can have environmental and economic benefits. This may include energy-efficient designs, waste management systems, water conservation measures, and green spaces.

In summary, constructing a gated community apartment involves careful consideration of location, market demand, design, amenities, regulatory compliance, cost management, project management, and sustainability. Each of these aspects contributes to the overall success of the project and the satisfaction of the residents.

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Analyse how resources and capabilities might provide sustainable
competitive advantage on the basis of their Value, Rarity,
Inimitability and Organisational support (VRIO)
( STRATEGIC MANAGEMENT AND P

Answers

By assessing resources and capabilities through the VRIO framework, organizations can identify and leverage their competitive advantages, leading to sustained success in the marketplace.

The VRIO framework is a strategic management tool that helps assess the competitive advantage of a firm's resources and capabilities. It examines four key dimensions: value, rarity, inimitability, and organizational support.

Firstly, resources and capabilities must create value for the organization by enabling it to exploit opportunities or overcome challenges in a way that competitors cannot easily replicate. This value can be in the form of cost savings, increased revenue, or improved customer satisfaction.

Secondly, rarity refers to the degree of scarcity or uniqueness of the resources and capabilities. If a firm possesses rare resources that are not widely available in the industry, it can gain a competitive advantage by differentiating itself and offering something valuable and distinct.

Thirdly, inimitability relates to the difficulty for competitors to imitate or replicate the resources and capabilities. If a firm has resources or capabilities that are difficult to imitate due to factors like intellectual property protection, complex organizational processes, or specialized knowledge, it can maintain a competitive advantage.

Lastly, organizational support refers to the firm's ability to leverage and sustain its resources and capabilities through effective organizational structures, processes, and culture. It involves aligning the organization's systems and practices to support the utilization and development of valuable, rare, and inimitable resources and capabilities.

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Which is not a reason for the failure of quality initiatives? Quality is not a priority No real organization measures Misguided leadership Suppliers as partners Laissez-Faire Altitude

Answers

Laissez-Faire altitude is a reason for the failure of quality initiatives.So correct answer is E

The quality initiatives can be successful when organizations put the customer's needs first, and the focus is on the customer's satisfaction, with continuous efforts to improve the processes that generate the product or service. The quality initiatives' failure could be attributed to a lack of commitment, inadequate resources, or an absence of leadership support. However, suppliers as partners is not a reason for the failure of quality initiatives. Therefore, it is an incorrect option. Quality initiatives usually fail when quality is not a priority, or no real organization measures are put in place, or when there is a misguided leadership.Laissez-Faire leadership style also contributes to the failure of quality initiatives. When this style is in place, the leadership is not involved in the process, and they have an absence of involvement in decision-making.

They tend to be aloof, and they only care about the results. This style is not suitable for quality initiatives as it discourages teamwork, and employees tend to work independently without sharing knowledge. When the leadership is absent, and they don't provide a clear direction or support, employees will have a lack of guidance, and the process is bound to fail.

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3) Zinogre Inc. sells light bulbs. During the period they sold
$100,000 of lightbulbs. The cost of goods sold related to those
sales was $35,000 and operating expenses were $15,000. What was the
gross

Answers

The gross profit for Zinogre Inc. can be calculated by subtracting the cost of goods sold from the total sales. In this case, the gross profit would be $65,000.

Gross profit is a measure of a company's profitability before accounting for operating expenses. It represents the amount of money left after deducting the direct costs associated with producing or purchasing the goods sold. In this scenario, the cost of goods sold is $35,000, which is subtracted from the sales of $100,000. Therefore, the gross profit is $65,000. This amount does not include operating expenses such as salaries, rent, or utilities, which would be considered in calculating the net profit.

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How could Finnvold conduct an organizational diagnosis that would lead off his implementa- tion? Be specific about how he could ensure mutual engagement.

Answers

Organizational diagnosis is an investigative tool that helps to identify strengths and weaknesses of the business and to design and implement change. Finnvold could conduct an organizational diagnosis by following the steps below:Step 1: Define the problem Finnvold should define the problem that needs to be addressed.

It will help him to identify the objectives of the study and select the right tools and techniques to analyze the data.Step 2: Collect dataFinnvold can use a variety of tools and techniques to collect data about the organization, including surveys, interviews, observation, and document review. The data collected should help to understand the organization's culture, structure, processes, and systems.Step 3: Analyze the dataFinnvold should analyze the data collected and identify the areas that need improvement. The analysis will help to understand the cause and effect relationship between different factors in the organization.

Develop a report Finnvold should develop a report that summarizes the findings of the study and provides recommendations for improvement. The report should be presented in a way that is easy to understand and should highlight the benefits of the proposed changes.Step 5: Implement the changesFinnvold should work with the management team to implement the changes. It is important to ensure that all stakeholders are involved in the process and their feedback is considered. By doing so, mutual engagement can be ensured. In conclusion, Finnvold can conduct an organizational diagnosis by following these steps, and ensure mutual engagement by involving all stakeholders in the process of implementing the changes.

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The interest rate for the debt of X company is 14%. What is the
after-tax cost of debt if the income tax rate is 25%.

Answers

To determine the after-tax cost of debt for X company, we need to consider the interest rate on the debt and the income tax rate. In this case, the interest rate is given as 14%, and the income tax rate is 25%.

The after-tax cost of debt is the effective interest rate that a company incurs on its debt after taking into account the tax savings resulting from the tax-deductibility of interest payments. It represents the net cost of borrowing for the company.

To calculate the after-tax cost of debt, we need to subtract the tax savings from the interest rate. The tax savings can be calculated by multiplying the interest rate by the income tax rate. In this case, the interest rate is 14% and the income tax rate is 25%. Multiplying these values gives us 3.5% (14% * 25%).

Finally, to get the after-tax cost of debt, we subtract the tax savings (3.5%) from the interest rate (14%). The result is 10.5%, which represents the after-tax cost of debt for X company.

Therefore, based on the given information, the after-tax cost of debt for X company is 10.5%, considering an interest rate of 14% and an income tax rate of 25%.

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Riddle, J. (2010). The Museum Company. In D. Z. Milosevic, P. Patanakul, & S. Srivannaboon (Eds.), Case studies in project, program, and organizational project management (pp. 149-151). Hoboken, NJ: John Wiley & Sons Inc.
The Museum Company is a critical incident that talks about the company’s cash inflow issue. Despite being very good at what it did and having a large backlog of contracts, MC had no positive cash flow at the end of each month. To respond to the issue, the company set-up project management training that, they believed, could potentially help the company’s leaders identify/solve the cash inflow problem. Baseline costs are time-phased budgets used to measure and monitor the cost performance of projects. They ensure that each phase of a project is profitable and on-time. This case analysis will help students demonstrate how to manage resources which help mitigate the company’s cash inflow problem. Description In your analysis of this case, you must ensure that you include the following: • An introductory paragraph and brief summary of the Museum Company case • An explanation the benefits of project cost management (provide at least three benefits), providing details as to how cost management was conducted in this case. • Explain the components of a robust cost Management Plan and discuss how cost management was conducted in this case. • A short paragraph as conclusion with your recommendations for improvement, as you see necessary.

Answers

The Museum Company case study highlights the cash inflow problem faced by the company despite the existence of a large backlog of contracts.

The company management sought to identify and solve the cash inflow problem, leading to the establishment of project management training. The project aimed to help the company's leaders solve the issue by identifying it earlier before it became uncontrollable.Project cost management is the process of monitoring, controlling, and organizing the project cost, which includes tools and techniques to make sure the project is completed within the approved budget.

Increased Cost Control: Project cost management ensures that cost variations are identified early and appropriate steps are taken to address the issue. They should consider restructuring some of their existing procedures and strategies to address the underlying issues. The company should also introduce measures that can help them save costs and increase their revenue. Additionally, they should regularly review the cost management plan and adjust it accordingly.

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"China is a country that uses a fixed exchange rate. If there is a recession in the US, what should China do to minimize the impact? Please draw diagrams and explain using the Mundell-fleming model.
Give a long answer, please. Urgent. Thank you."

Answers

The Mundell-Fleming model is an economic framework that analyzes the interactions between monetary and fiscal policy, exchange rates, and capital flows in an open economy.

In order to minimize the impact of a recession in the US, China, as a country that uses a fixed exchange rate, can employ various policy measures within the Mundell-Fleming model. One possible approach is for China to implement expansionary monetary policy to stimulate its domestic economy and counter the negative effects of the US recession. This can be achieved by lowering interest rates and increasing the money supply, which encourages investment and consumption. Additionally, China could also use expansionary fiscal policy by increasing government spending or reducing taxes to boost aggregate demand and support economic growth.

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If you put up $24,000 today in exchange for a 7.00 percent, 11-year annuity, what will the annual cash flow be? Multiple Choice $5,093.17 $3,043.03 $3,200.57 $3,361.83 $2,181.82

Answers

The annual cash flow of the annuity will be approximately $3,043.

.

to calculate the annual cash flow of an annuity, we can use the present value of an annuity formula:

pv = pmt × [1 - (1 + r)⁽⁻ⁿ⁾] / r

where:

pv = present value (initial investment) = $24,000

pmt = annual cash flow

r = interest rate per period = 7.00% = 0.07

n = number of periods = 11

substituting the given values into the formula:

$24,000 = pmt × [1 - (1 + 0.07)⁽⁻¹¹⁾] / 0.07

solving for pmt:

pmt = $24,000 × 0.07 / [1 - (1 + 0.07)⁽⁻¹¹⁾]

    = $24,000 × 0.07 / (1 - 1.7183)

    = $24,000 × 0.07 / (-0.7183)

    ≈ $3,043.03 03.

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eck My Work 00 eBook Problem 7-05 Holly wants to have $210,000 to send a recently born child to college. She sets up a 529 plan and wants to know how much she must invest at the end of each year for the next 16 years if the funds can earn 5 percent. Use Appendix C to answer the question. Round your answer to the nearest dollar. $ If she can earn 7 percent, how much less will she have to invest each year? Use Appendix C to answer the question. Round your answer to the nearest dollar. Check My Work O Joon Key

Answers

If holly can earn a 7% interest rate, she would have to invest approximately $6,193 less each year compared to the 5% interest rate scenario.

to calculate the amount holly must invest at the end of each year for the next 16 years, we can use the future value of an ordinary annuity formula.

the formula to calculate the future value of an ordinary annuity is:

fv = p * [(1 + r)ⁿ - 1] / r

where:

fv = future value (target amount)

p = payment (amount to be invested each year)

r = interest rate

n = number of periods (years)

let's calculate the investment amount needed at a 5% interest rate:

fv = $210,000

r = 5% = 0.05

n = 16

$210,000 = p * [(1 + 0.05)¹⁶ - 1] / 0.05

now, let's solve for p:

p = ($210,000 * 0.05) / [(1.05¹⁶) - 1]

p ≈ $7,574.43

hence, holly must invest approximately $7,574 at the end of each year for the next 16 years if the funds can earn a 5% interest rate.

to calculate how much less she would have to invest each year at a 7% interest rate, we can use the same formula with a new interest rate:

r = 7% = 0.07

now, let's solve for the new investment amount:

p = ($210,000 * 0.07) / [(1.07¹⁶) - 1]

p ≈ $6,192.92

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By using our services, you agree to our use of cookies OK Learn more 1. 2017 2821 $540,870 272,835 2019 $ 296,774 Sales 2020 $360,580 182, 040 21,166 2018 $ 199,848 101,224 151,387 $ 151,400 75,700 Cost of goods sold Accounts receivable 26,286 20,329 11,651 10,386 Compute trend percents for the above accounts, using 2017 as the base year. For each of the three accounts, state whether the situation as revealed by the trend percents appears to be favorable or unfavorable. Trend Percent for Net Sales: Numerator: Denominator: Trend percent 2021: 1 2020: 1 2019: 1 2018: 2017: Is the trend percent for Net Sales favorable or unfavorable? Trend Percent for Cost of Goods Sold: Numerator: Denominator: 2021: 2020: 2019: 2018: 2017: Is the trend percent for Cost of Goods Sold favorable or unfavorable? Trend Percent for Accounts Receivable: Numerator: 1 Denominator: 2021: 7 2020: 1 2019: 2018: 2017: is the trend percent for Accounts Receivable favorable or unfavorable? = = = = = = = = |||| = = |||| = = = = Trend percent Trend percent 96 22 2 %6 % *1 % %6 % %6 2 % %6 %6 %6 % %