Phillippe is an inside salesperson who earns a base annual salary of $24,000 plus a 5% commission on total sales that he makes during the pay period. During a semimonthly period, he made $27,500 in sales. What is Phillippe's gross pay for the period? (Do not round interim calculations. Round final answer to 2 decimal places.)
A) $2,298.07
B) $2,390.38
C) $2,375.00
D) $2,422.50

Answers

Answer 1

Phillippe's gross pay for the period is D. $2,422.50.

The inside salesperson, Philippe earned a base annual salary of $24,000 and 5% commission on the total sales that he made during the pay period. In a semimonthly period, he earned $27,500 in sales.

The first process is to find the commission earned by Philippe. 5% commission on $27,500 is:5/100 × $27,500= $1,375

Therefore, Philippe earned a commission of $1,375.

Then, calculate the gross pay for the period.

The gross pay is the total pay including the base salary and the commission earned.

Gross pay = base salary + commission earned= $24,000 + $1,375= $25,375

Therefore, Philippe's gross pay for the period is $25,375. So, Answer: D) $2,422.50

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Related Questions

Which of the following economic activities will be counted in the domestic economy's GDP in the current year? O a. A consumer buys a used camera. O b. The federal government spends on unemployment benefits. O c. A consumer buys an imported car. O d. Government spends on national defence.

Answers

The purchase of a used camera and government spending on unemployment benefits and national defense will be counted in the domestic economy's GDP in the current year. However, the purchase of an imported car will not be included in GDP. In the current year, the economic activities that will be counted in the domestic economy's Gross Domestic Product (GDP) are as follows:

a. A consumer buys a used camera: This transaction will be counted in GDP as it represents a final sale of a product within the domestic economy. It contributes to the overall consumption expenditure component of GDP.

b. The federal government spends on unemployment benefits: This government expenditure will be included in GDP as it represents a part of government consumption expenditure. It contributes to the overall aggregate demand in the economy.

c. A consumer buys an imported car: This transaction will not be counted in the domestic economy's GDP. GDP measures the value of final goods and services produced within a country's borders, and imports represent goods produced in other countries.

d. Government spends on national defense: This government expenditure on national defense will be included in GDP. It represents government consumption expenditure, contributing to the overall GDP calculation.

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Section B [5*8-40 Marks] 1. What are the different criteria that a design thinking should meet? Using any organizational example (product or service), describe in detail how the application of design thinking has improved business performance and promoted innovation for that organization? (min 500 words) [3+5 marks]

Answers

Design thinking encompasses various criteria that a design process should meet in order to be effective. These criteria include:

1. Human-Centered Approach: Design thinking puts the end-users and their needs at the center of the design process. It emphasizes empathy, understanding the users' perspectives, and developing solutions that address their challenges and aspirations.

2. Iterative and Collaborative: Design thinking involves an iterative process where ideas are generated, prototyped, and tested, leading to continuous improvement. It promotes collaboration among multidisciplinary teams, encouraging diverse perspectives and collective creativity.

3. Creative Problem Solving: Design thinking encourages thinking outside the box, fostering innovation and creative problem-solving. It involves challenging assumptions, reframing problems, and exploring alternative solutions beyond conventional approaches.

4. Prototyping and Testing: Design thinking emphasizes rapid prototyping and testing of ideas to gather feedback and validate assumptions. It helps identify flaws early, refine designs, and make data-informed decisions.

5. User Feedback and Iteration: Continuous feedback from users and stakeholders is crucial in design thinking. It enables designers to iterate and refine their solutions based on real-world insights, ensuring that the final design meets user needs effectively.

Now, let's examine how the application of design thinking has improved business performance and promoted innovation for a specific organization: Apple Inc.

Apple Inc. is renowned for its innovative products, such as the iPhone, iPad, and Mac. The company's success can be attributed, in part, to its consistent application of design thinking principles. Apple's design thinking approach is evident in its product development, user experience, and overall business strategy.

One key aspect of Apple's design thinking is its human-centered approach. Apple deeply understands its target customers and their desires for intuitive, user-friendly, and aesthetically appealing products. The company invests significant effort in studying user behaviors, preferences, and pain points. By empathizing with users, Apple creates products that seamlessly integrate into their lives and meet their needs effectively.

Additionally, Apple's design thinking process involves iterative and collaborative approaches. The company fosters cross-functional collaboration among designers, engineers, and marketers to leverage diverse perspectives. Apple's teams engage in brainstorming, prototyping, and testing cycles to refine their designs. For example, when developing the iPhone, Apple conducted extensive user testing, resulting in a sleek and intuitive interface that revolutionized the smartphone industry.

Prototyping and testing are vital stages in Apple's design thinking process. The company creates numerous prototypes, allowing it to gather feedback early and make iterative improvements. Apple's emphasis on user feedback ensures that its products align with users' expectations. By incorporating user insights, Apple refines its designs, leading to seamless and engaging experiences.

The design thinking approach has been instrumental in Apple's product innovation and differentiation. It has enabled the company to introduce groundbreaking features and functionalities. For instance, Apple's introduction of the App Store revolutionized the mobile app ecosystem, providing users with a vast selection of applications that enhanced the overall experience of their devices. This innovation has been a significant driver of Apple's business success and customer loyalty.

Moreover, design thinking has influenced Apple's business strategy beyond product development. The company applies design thinking principles to its retail stores, creating a unique and immersive shopping experience. Apple stores prioritize user engagement and offer hands-on product interactions, making customers feel connected and empowered.

In conclusion, Apple Inc. exemplifies the successful application of design thinking principles. Through its human-centered approach, iterative process, prototyping, and user feedback, Apple has continuously improved its business performance and driven innovation. By understanding user needs and creating intuitive and visually appealing products, Apple has established itself as a leader in the technology industry, setting benchmarks for design excellence and user experience.

Design thinking is an iterative problem-solving process that is typically used to solve problems that are unknown or ill-defined.

Design thinking is a solution-based approach to problem-solving. This approach is useful when the problem is not well defined or there is a need to discover multiple solutions or options. The design thinking process is creative, iterative, user-focused, and involves empathy for the end-user. Design thinking criteria are as follows:

Empathy: As a design thinker, you must develop empathy for your target audience. It will help you to understand the user's needs, interests, and pain points.

Define: You must define the problem that you are trying to solve. It will help you to understand the needs and goals of your target audience.

Ideate: At this stage, you have to generate multiple ideas that can help you solve the problem.

Prototype: You have to build a prototype of your solution.

Test: You have to test your solution to see how it works with the end-users.

One of the best examples of design thinking is Apple. Apple has always focused on user experience. They have been successful in creating a loyal customer base that is willing to pay a premium price for their products. The company has been able to create a strong brand image because of its user-friendly products. Apple has been able to apply design thinking in all areas of their business from hardware to software design. Apple's design thinking approach has helped the company to innovate in the following ways:

Empathy: Apple has always been focused on user experience. The company has been able to create products that are easy to use and intuitive. This has helped the company to create a loyal customer base that is willing to pay a premium price for their products.

Define: Apple has been able to define the problem that it is trying to solve. The company has been able to understand the needs and goals of its target audience. This has helped the company to create products that are relevant to its users.

Ideate: Apple has been able to generate multiple ideas that have helped the company to create new products and services.

Prototype: Apple has been able to build prototypes of its products that have helped the company to test its solutions.

Test: Apple has been able to test its solutions to see how they work with the end-users. The company has been able to get feedback from its users that has helped it to improve its products and services.

Overall, Apple's design thinking approach has helped the company to innovate in all areas of its business. The company has been able to create user-friendly products that have helped it to create a strong brand image.

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An equation where Y=6 could be represented on a graph where Y is on the vertical axis and X is on the horizontal axis as Select one: O a. a horizontal line form the origin with slope equal to 6. O b. a straight line along the vertical axis beginning at the point Y=6. O c. a single point (Y=6) and a horizontal line rightwards from that point. d. a vertical line from the origin with slope equal to 6.

Answers

The option B is correct.  An equation where Y=6 could be represented on a graph where Y is on the vertical axis and X is on the horizontal axis as a straight line along the vertical axis beginning at the point Y=6.

A straight line along the vertical axis beginning at the point Y=6. An equation where Y=6 can be represented on a graph where Y is on the vertical axis and X is on the horizontal axis as a straight line along the vertical axis beginning at the point Y=6. A horizontal line from the origin with slope equal to 6 can be represented as y=6. It is a horizontal line parallel to the x-axis. The line is always at y=6, regardless of x, so its slope is zero. A straight line along the vertical axis beginning at the point Y=6 can be represented as x=0. It is a vertical line parallel to the y-axis. It is always at x=0, regardless of y, so it has an undefined slope. A single point (Y=6) and a horizontal line rightwards from that point cannot be represented for the given condition. A vertical line from the origin with slope equal to 6 can be represented as x=6. It is a vertical line parallel to the y-axis. It is always at x=6, regardless of y, so it has an undefined slope.

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making predictions is one of the six data analytics problem types. how does data factor into such problem types?

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Data is fundamental to prediction problems, providing the necessary inputs for model training, enabling the discovery of patterns, and facilitating informed forecasting.

Data plays a central role in the six data analytics problem types, including prediction. Prediction is the process of estimating unknown future values or events based on historical data patterns. In this problem type, data serves as the foundation for building predictive models and making informed forecasts.

To address prediction problems, data is collected and organized, typically in the form of structured or unstructured datasets. The data is then preprocessed to clean and transform it into a suitable format for analysis. Feature selection and engineering techniques may be applied to extract relevant information from the data, ensuring that the predictive models capture meaningful patterns.

Next, statistical and machine learning algorithms are employed to train predictive models using historical data. These models learn from patterns and relationships within the data and create a representation of the underlying processes. The trained models can then be used to predict future outcomes based on new, unseen data.

The accuracy and reliability of predictions heavily rely on the quality and quantity of the data. Sufficient and representative data ensures that the models generalize well and produce reliable predictions. Furthermore, ongoing data collection and monitoring are necessary to refine and update the models over time, as the patterns and dynamics of the underlying processes may evolve.

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1. Who can use the skills and methods of Design Thinking?
2. What is the purpose of Design Thinking?
3. What are the essential mental strategies to think like a designer?
4. What is the human-centered approach?
5. What are the three core activities of Design Thinking?
6. How can a person think like a designer?
7. Why is the visual representation important in design process?
8. Make a comparison between Design Thinking Manager and Traditional Thinking Manager with three items.

Answers

Whether you work in business, government, schooling, or not-for-profit, plan thinking can assist you with creating design thinking in view of the necessities of your clients.

2. What is the purpose of Design Thinking?

Even though design thinking is an idea that is based on designers' workflows for mapping out the stages of design, its goal is to give all professionals a standard innovation process so they can come up with creative solutions to problems, whether they are design-related or not.

3. What are the essential mental strategies to think like a designer?Client centricity and compassion. Finding solutions that respond to human requirements and user feedback is at the heart of design thinking.Collaborative work.The concept

4. What is the human-centered approach?

Human-focused plan is a critical thinking strategy that puts genuine individuals at the focal point of the improvement interaction, empowering you to make items and administrations that resound and are custom fitted to your crowd's necessities.

5. What are the three core activities of Design Thinking?

The Three Phases of Design Thinking: Immersion, Ideation and Prototyping.

6. How can a person think like a designer?

It permits us to consider some fresh possibilities and comprehend critical thinking on a marginally more profound level. Configuration thinking has demonstrated to work on the world around. Taking into account its capacity to produce noteworthy arrangements in a less problematic, yet imaginative way, it is something beyond a cycle - it is a development.

7. Why is the visual representation important in design process?

The designer is able to immediately control, promote, or evaluate specific characteristics of the design that is currently in progress thanks to the visual representation in design, which is viewed here as a transaction between conceptual and visual knowledge.

8. Make a comparison between Design Thinking Manager and Traditional Thinking Manager with three items.

Design thinking is a method for coming up with creative solutions to problems that are hard to define or complicated for people to solve. The needs of the business are the focus of traditional problem-solving strategies, which are well-suited to clearly defined technical issues.

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First, answer question number one to discuss how models are used as an analytic tool in microeconomics. Then, select two of the remaining questions and in no less than 250 words debate how it is used as an analytic tool in microeconomics.
1.) Output, Price, and Profit: The Importance of Marginal Analysis
The following graph illustrates a firm’s profits in perfect competition. Using the graph describe how-to calculate the following:
The firm’s profit per unit of output
The firm’s total profit
Revenue and Cost (Per Bushel)
$2.25 $1.50
0
B
MC AC
A D = MR = AR
50,000 Bushels of Corn
(Per Year)
$3.00
6

Answers

Microeconomic models are analytical tools used to simplify and analyze economic behavior, including consumer choices, firm decisions, and market dynamics.

Microeconomic models are utilized as powerful analytic tools in specific areas of microeconomics, such as consumer choice and production analysis. In consumer choice, models like the utility maximization model enable economists to understand how individuals make decisions about which goods and services to consume based on their preferences and budget constraints. These models help predict changes in demand and assess the welfare implications of various policy interventions, considering factors like substitution effects and income effects.

In production analysis, microeconomic models allow economists to study firm behavior and production decisions. For instance, the production function model helps determine the optimal combination of inputs, such as labor and capital, to minimize costs or maximize output. Cost curves, such as the average cost curve (AC) and marginal cost curve (MC), are essential tools for analyzing firm behavior and profitability. They aid in identifying the level of production where firms can maximize their profits by equating marginal cost with marginal revenue.

Overall, microeconomic models serve as analytical tools in specific areas of study within microeconomics, enabling economists to understand consumer behavior, analyze firm decisions, and make predictions about market outcomes. These models facilitate informed decision-making, policy evaluations, and the exploration of different scenarios to gain insights into the functioning of microeconomic systems.

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To what extend do you think indifference curve analysis is useful in modeling consumer behavior?

Answers

Indifference curve analysis is a useful method for modeling consumer behavior to a great extent. It helps economists and analysts understand how consumers make choices between different goods and services. Indifference curve analysis assumes that consumers make decisions based on their preferences for a combination of two or more goods.

It helps economists model consumer behavior by mapping out all of the possible combinations of two or more goods that would provide the consumer with the same level of satisfaction or utility. Through indifference curve analysis, economists can better understand how consumers make trade-offs between different goods based on their level of satisfaction or utility. This can help businesses make better decisions about which products to produce and which marketing strategies to employ. Indifference curve analysis can also help businesses determine the optimal prices for their products. By understanding the preferences of consumers and how they make trade-offs between different goods, businesses can adjust their pricing strategies to maximize profits while still satisfying the needs of their customers.

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explain the following table in detail.exolain the
calculation aspects wherever applicable
Historical ES (95%) daily downside risk Annualised downside risk Downside potential Omega Sortino ratio Upside potential Upside potential ratio Omega-sharpe ratio 2 -0.0211 -0.0294 0.0067 0.0091 0.106

Answers

The table you provided contains various risk and performance measures for a historical ES (Expected Shortfall) calculation. Let's break down each measure and explain its meaning:

1. Historical ES (95%):
Historical ES, also known as Conditional Value-at-Risk (CVaR), measures the expected loss beyond a specified confidence level. In this case, it is calculated at the 95% confidence level. The value of -0.0211 represents the expected shortfall or average loss beyond the 5th percentile of the distribution.

2. Daily downside risk:
Daily downside risk quantifies the potential loss of an investment on a daily basis. The value of -0.0294 indicates the estimated average daily loss.

3. Annualised downside risk:
To provide a standardized measure, daily downside risk is annualized to reflect the expected loss over a one-year period. The value of -0.0294 represents the annualized average loss.

4. Downside potential:
Downside potential is the estimated upside return of an investment. It measures the potential gains in periods when the investment performs positively. The value of 0.0067 suggests a relatively low upside potential.

5. Omega:
Omega is a risk-adjusted performance measure that compares the average return to the average downside deviation. It provides an indication of the reward-to-risk ratio. The value of 0.0091 represents the calculated Omega ratio.

6. Sortino ratio:
The Sortino ratio measures the risk-adjusted return of an investment by focusing on the downside volatility. It considers only downside deviation while excluding upside volatility. A higher Sortino ratio suggests a better risk-adjusted return. The value of 0.106 represents the calculated Sortino ratio.

7. Upside potential:
Upside potential refers to the estimated upside return of an investment. It quantifies the potential gains during periods when the investment performs positively. The value of 0.0 indicates a lack of upside potential.

8. Upside potential ratio:
The upside potential ratio is a risk-adjusted performance measure that compares the average return to the average upside deviation. It provides an indication of the reward-to-risk ratio for positive returns. The value of N/A suggests that the upside potential ratio was not calculable or not provided in the table.

9. Omega-sharpe ratio:
The Omega-Sharpe ratio combines the Omega and Sharpe ratios to provide a more comprehensive risk-adjusted performance measure. It considers both downside and upside performance. The value of N/A suggests that the Omega-Sharpe ratio was not calculable or not provided in the table.

Overall, these measures help assess the historical downside risk, upside potential, and risk-adjusted performance of the investment, providing insights into its historical performance characteristics.

The table shows various risk metrics of a financial investment and can be explained as follows:Historical ES (95%): This is the expected shortfall at the 95% confidence level. In simpler terms, it means that the loss would be greater than this value only 5% of the time. The value in the table is -0.0211, which means that the expected loss is 2.11% at the 95% confidence level.Daily downside risk: This is the expected loss on any given day.

The value is not provided in the table.Annualized downside risk: This is the expected loss over a one-year period. The value in the table is -0.0294, which means that the expected loss over a one-year period is 2.94%.Downside potential: This is the expected return in the event of a negative return. The value in the table is 0.0067, which means that the expected return in the event of a negative return is 0.67%.Omega: This is the ratio of expected returns to expected losses. The value in the table is 0.0091, which means that the expected return is 0.91 times the expected loss.Sortino ratio: This is a measure of risk-adjusted returns that takes into account only the downside risk.

The value in the table is 0.106, which means that for every unit of downside risk, the investment is expected to generate 0.106 units of return.Upside potential: This is the expected return in the event of a positive return. The value is not provided in the table.Upside potential ratio: This is the expected return in the event of a positive return divided by the expected loss in the event of a negative return. The value is not provided in the table.Omega-Sharpe ratio: This is a measure of risk-adjusted returns that takes into account both the upside and downside risk. The value is not provided in the table.

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GIVE TWO Asian countries that have undergone drastic economic
change over the last decade and compare their differences in terms
of political, economic, social, and technological advancements

Answers

Two Asian countries that have undergone significant economic changes over the last decade are China and South Korea.

Here's a comparison of their differences in terms of political, economic, social, and technological advancements:

1. China:   - Political: China has maintained a single-party communist system with a strong centralized government. The Chinese Communist Party (CCP) exercises control over major political decisions.

  - Economic: China has experienced rapid economic growth and has become the world's second-largest economy . It has implemented market-oriented reforms while retaining state control over key sectors. It is known for its export-oriented manufacturing industries and infrastructure development.   - Social: China has witnessed significant improvements in living standards, poverty reduction, and urbanization. However, it continues to face challenges related to income inequality, rural-urban disparities, and environmental degradation.

  - Technological: China has made remarkable advancements in technology, particularly in areas like e-commerce, telecommunications, and artificial intelligence. It is a global leader in tech innovation and has a thriving digital economy.

2. South Korea:   - Political: South Korea is a democratic republic with a multi-party system. It has a presidential system where the president serves as the head of state and government.

  - Economic: South Korea has experienced steady economic growth and is recognized as one of the "Asian Tigers." It has a highly developed industrial sector, including electronics, automobiles, shipbuilding, and petrochemicals. It has also embraced globalization and actively participates in international trade.   - Social: South Korea has made significant strides in education, healthcare, and overall quality of life. It has a strong emphasis on education and has achieved high literacy rates. It faces challenges related to an aging population and gender inequality.

While both countries have experienced economic transformations, there are differences in their political systems, economic models, social dynamics, and technological achievements. China has a more centrally controlled political system and a state-led economic model, while South Korea has a democratic political system and a market-oriented economy. Additionally, China's focus has been on rapid industrialization and becoming a global manufacturing hub, while South Korea has emphasized technology and innovation as key drivers of economic growth.

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what will budgeted net income equal if 21,000 units are produced and sold

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The budgeted net income is the amount by which a company's estimated revenue exceeds its expected expenses. It is calculated by subtracting estimated expenses from expected revenue.

To calculate the budgeted net income when 21,000 units are produced and sold, we need to have the expected revenue and estimated expenses. Without knowing the details of the question and the type of business, it is impossible to provide a specific answer.However, here is an example of how to calculate the budgeted net income:Suppose a company expects to sell 21,000 units at $10 per unit and its estimated expenses are $150,000. The expected revenue is calculated as follows:Expected revenue = 21,000 units × $10 per unit = $210,000The budgeted net income is calculated as follows:Budgeted net income = Expected revenue - Estimated expenses Budgeted net income = $210,000 - $150,000 = $60,000

Therefore, if a company expects to sell 21,000 units at $10 per unit and its estimated expenses are $150,000, the budgeted net income will be $60,000.

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Consider activity A of project X. The longest amount of time required for the completion of task A is 21 days, the least is 7 days and the most likely is 13 days. Find the variance of activity A. (Round it to one decimal point)

Answers

If the longest amount of time required for the completion of task A is 21 days, the least is 7 days and the most likely is 13 days then the variance of activity A is 5.4.

How to find?

Given, Longest time required for completion of task A = 21 days, Least time required for completion of task A = 7 days. Most likely time required for completion of task A = 13 days. Now we have to find the variance of activity A.

Steps to find Variance of activity A:

We can find variance of activity A by using the following formula:Variance = [(longest time – shortest time) / 6]²Variance of activity A = [(21 – 7) / 6]²= [14 / 6]²= 2.33333²= 5.44 (rounded to one decimal place).

Therefore, the variance of activity A is 5.4.

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Using the EOQ method, how many orders must a company have per year, if they sell 9226 cars a year, have a fixed cost per order of 19 and an inventory carrying cost of 0.47 per unit. and Submit to save and submit. Click Save All Answers to save all answers.

Answers

To calculate the number of orders per year using the Economic Order Quantity (EOQ) method, we need the following information:

Annual demand (D): 9,226 cars

Fixed cost per order (S): $19

Inventory carrying cost per unit (H): $0.47

The EOQ formula is given by:

EOQ = √((2 * D * S) / H)

Substituting the given values:

EOQ = √((2 * 9,226 * 19) / 0.47)

EOQ ≈ 422.11

Since the number of orders must be a whole number, we round up the result to the nearest whole number.

Therefore, the company must have approximately 423 orders per year.

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Fellar Corp, has identified the following information Activity cost pools Materials handling Machine maintenance $42,840 25,500 Cost drivers Number of material moves Number of machine hours 840 75,000 Required 1. Calculate the activity rate for each cost pool. (Round your answers to 2 decimal places.) Activity Rate Material Handling per Material Move Machine Maintenance per Machine Hour 2. Detemine the amount of overhead assigned to Fellar's products if they have the following activity demands: (Round your intermediate calculations to 2 decimal places and final answers to the nearest whole dollar amount.) Number of material moves Number of machine hours Product A 590 42,600 Product B 250 32,400 Total Assi Product A Product B

Answers

Activity Rates: Material Handling: $42,840 / 840 = $51 per material move

Machine Maintenance: $25,500 / 75,000 = $0.34 per machine hour

Overhead Assigned to Products.

Product A: (590 material moves * $51 per material move) + (42,600 machine hours * $0.34 per machine hour) = $30,090 + $14,484 = $44,574

Product B: (250 material moves * $51 per material move) + (32,400 machine hours * $0.34 per machine hour) = $12,750 + $11,016 = $23,766

Total Overhead Assigned: $44,574 (Product A) + $23,766 (Product B) = $68,340

The activity rate for each cost pool is calculated by dividing the total cost of each pool by its respective cost driver. In this case, the cost driver for materials handling is the number of material moves, and the cost driver for machine maintenance is the number of machine hours. By dividing the total cost of each pool by its respective cost driver, we can determine the activity rate per unit of the cost driver.

To calculate the overhead assigned to each product, we multiply the activity rate by the respective activity demand for each cost driver. For Product A, we multiply the activity rate for materials handling by the number of material moves and the activity rate for machine maintenance by the number of machine hours. The same calculation is done for Product B. Finally, we sum up the overhead assigned to each product to get the total overhead assigned to all products.

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Consider two bonds. Bond A has a $50 coupon, payable at the end of each year. Bond B has two semi-annual $25 coupons, one payable in mid-year and the second at the end of the year. Both bonds are otherwise identical, with the same principal and maturity. Would bond A have a higher, lower or the same price as Bond B? Why?

Answers

Bond A would have the same price as Bond B.

The price of a bond is determined by its cash flows, maturity, and prevailing interest rates. In this case, Bond A and Bond B have the same principal, maturity, and coupon rate (both bonds have a total coupon payment of $50 per year). The only difference lies in the timing of coupon payments.

Bond A pays a single $50 coupon at the end of each year. Bond B, on the other hand, pays two semi-annual $25 coupons, with one paid in the middle of the year and the second paid at the end of the year. The total annual coupon payment for Bond B is also $50 ($25 + $25).

Since both bonds have the same cash flows in terms of total coupon payments and the same principal and maturity, they would have the same price. Investors in the bond market would assess the present value of the expected cash flows from each bond, discounted at the prevailing interest rate. As long as the prevailing interest rate remains the same for both bonds, their prices would be equal.

It's important to note that if the prevailing interest rate changes, it would impact the bond prices differently. When interest rates rise, bond prices tend to fall, and vice versa. However, based on the information provided, the timing of coupon payments is the only difference between Bond A and Bond B, and it does not affect their relative prices.

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A bank is planning to perform efficiency analysis to learn which branch offices are efficient and how to operation of inefficient units can be improved. All the six units performed 10000 transactions in a given period. Two inputs are considered in the analysis: working hours of employees used for the transactions and the operating expenses. An input oriented constant return to scale model is used for the analysis. The B, D and E branch offices were found efficient. The input and output data of the branch offices are the following:
DMU
Branch office
Input 1 Working hours of
employees
Input 2
Operating expenses
(Euro)
Output
No. of transactions
A
C
D
E
F
2
a ) Prepare a figure which shows the efficiency frontier and the position of the branch offices relative to the efficiency frontier!
b ) How can the efficiency of unit C can be improved? How many working hours and how much operating expenses should be used for the efficient operation of unit C. Answer these questions using the graphical representation of the input - oriented CRS model.
c ) Calculate the efficiency score of unit C?
d ) Formulate the primal and dual linear programming model which calculates the efficiency of unit C.

Answers

a) To prepare a figure showing the efficiency frontier and the position of the branch offices relative to the efficiency frontier, we need to plot the input-output data on a graph.

Assuming Input 1 (Working hours of employees) is on the x-axis and Input 2 (Operating expense) is on the y-axis, we can plot the data points for the branch offices A, C, D, E, and F.

efficient units B, D, and E will lie on the efficiency frontier.

Here is an example of how the figure might look:

         Efficiency Frontier

           |

           |

           |           E

           |          

           |

           |

           |       D

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           |   A         C

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The position of branch offices A, C, and F will be below the efficiency frontier, indicating that they are inefficient.

b) To improve the efficiency of unit C, we need to move it towards the efficiency frontier. In the graphical representation of the input-oriented CRS model, this means adjusting the input values (working hours and operating expenses) to align with the efficiency frontier.

By examining the graph, we can determine the approximate values of working hours and operating expenses for the efficient operation of unit C. The values should be such that they lie on the efficiency frontier.

c) To calculate the efficiency score of unit C, we need to measure its relative distance to the efficiency frontier. This can be done by calculating the radial distance from unit C to the efficiency frontier.

d) The primal and dual linear programming models can be formulated to calculate the efficiency of unit C. The specific formulation will depend on the constraints and objective function used in the efficiency analysis. These models involve optimizing the input and output variables subject to certain constraints, such as constant returns to scale and the efficiency frontier. The details of the models cannot be provided without specific information on the constraints and objective function used in this case.

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Explain the importance of warehouse management in running the warehouse economically AND illustrate with an example how this can be achieved.

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Warehouse management is essential for any company that operates a warehouse, which is an essential component of their operations. Warehouse management has a significant impact on the economic viability of the warehouse and the entire company that it serves.

Warehouse management is a critical aspect of running a warehouse economically. It is responsible for the flow of goods and supplies through the warehouse, as well as the organization and management of the warehouse. Proper warehouse management helps to optimize the use of space, reduce errors and waste, and ensure that customer orders are fulfilled accurately and on time.

This, in turn, contributes to the profitability of the warehouse and the company as a whole. A good warehouse management system helps to control costs, improve efficiency and productivity, and enhance customer service.

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Rory Running has 1,000,000 shares of common stock outstanding. The stock is currently selling for $80 a share. The firm also has 2 bond issues outstanding. Each bond in both issues has a face value of $1,000. Thefirst bond issue has a total face value of $500,000 and pays 6.5 percent interest annually. The bonds in the first issue are selling at 92.4 percent of face value. The second bond issue consists of 10,000 bonds which are selling for $990 each. These bonds pay 7 percent interest annually and mature in 15 years. The tax rate is 25 percent. What is the capital structure weight of the firm's equity? 88.53%
62.98%
11.47%
70.89%

Answers

The capital structure weight of the firm's equity is 70.89%.

To calculate the capital structure weight of equity, we need to determine the proportion of total capitalization represented by equity. The capital structure weight of equity is the equity value divided by the total market value of the firm.

In this case, we have the following information:

- Number of shares of common stock outstanding: 1,000,000

- Stock price: $80

To calculate the equity value, we multiply the number of shares by the stock price:

Equity value = 1,000,000 shares * $80/share = $80,000,000

Next, we need to calculate the total market value of the firm, which includes both equity and debt. For the first bond issue, we know the face value ($500,000) and the market price (92.4% of face value). The market value of the first bond issue is calculated as follows:

Market value of first bond issue = $500,000 * 92.4% = $462,000

For the second bond issue, we know the number of bonds (10,000) and the bond price ($990). The market value of the second bond issue is calculated as follows:

Market value of second bond issue = 10,000 bonds * $990/bond = $9,900,000

To calculate the total market value of the firm, we add the equity value and the market values of both bond issues:

Total market value of the firm = Equity value + Market value of first bond issue + Market value of second bond issue

Total market value of the firm = $80,000,000 + $462,000 + $9,900,000 = $90,362,000

Finally, we calculate the capital structure weight of equity by dividing the equity value by the total market value of the firm:

Capital structure weight of equity = Equity value / Total market value of the firm

Capital structure weight of equity = $80,000,000 / $90,362,000 ≈ 0.7089 or 70.89%

Therefore, the capital structure weight of the firm's equity is approximately 70.89%.

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Examples of cash flows from (used in) operating activities are (select all that apply)? Cash receipts from royalties, rental, fees, commissions and other revenue. Cash payment to acquire property, plant, and equipment. Cash receipts from sale of goods and rendering of services. Cash receipts and payments for securities held for dealing or trading purpose. Cash receipts from issuing ordinary shares.

Answers

Cash receipts from royalties, rental fees, commissions, and other revenue. Cash receipts from the sale of goods and rendering of services.

What are operating cash flows?

The examples of cash flows from (used in) operating activities are:

Cash receipts from royalties, rental fees, commissions, and other revenue.Cash receipts from the sale of goods and rendering of services.

These two options are the correct examples of cash flows from operating activities. The other options you mentioned are not classified as operating activities.

The cash payment to acquire property, plant, and equipment falls under cash flows from investing activities.

Cash receipts and payments for securities held for dealing or trading purposes fall under cash flows from investing or financing activities, depending on the nature of the business.

Cash receipts from issuing ordinary shares fall under cash flows from financing activities.

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Pott's Co., a women's clothing store, purchased $73,000 of merchandise from a supplier on account, terms EOB destination, 2/10, n/30. On March 5. Poff's returned $9,900 of the merchandise, receiving a credit memo, and then paid the amount due on March 9, within the discount period.

Answers

Pott's Co., a women's clothing store, made a $73,000 purchase of merchandise on account from a supplier on March 5 with terms of EOB destination, 2/10, n/30. Pott's returned $9,900 of the merchandise on March 5, receiving a credit memo from the supplier, and then made the payment of the remaining amount due on March 9, which was within the discount period.

The discount terms of 2/10, n/30 mean that the buyer is entitled to a discount of 2% if they make the payment within ten days of the invoice date. The net amount is due in 30 days from the invoice date. If Pott's paid within the discount period, they would be entitled to a discount of 2% of the amount due, which is $73,000 - $9,900 = $63,100.

Thus, the discount would be $63,100 x 2% = $1,262. Therefore, Pott's would have paid $63,100 - $1,262 = $61,838 if they paid within the discount period.

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Let X represent the number that occurs when a 6-sided red die is tossed and the number that occurs when a 6-sided green die is tossed. Complete parts fa) and (b) below. (a) Find the variance of the random variable 2X-Y. 3x--0 (Simplify your answer.) (b) Find the variance of the random variable X+47-5. 0.47-5-0 (Simplify your answer.)

Answers

(a) The variance of the random variable 2X - Y is 68.

(b) The variance of the random variable X + 47 - 5 is 0.

To find the variance of a random variable, we need to calculate the expected value and then subtract it from the squared expected value of the random variable. In this case, we'll calculate the expected value of 2X - Y.

The random variable 2X - Y can take on the following values:

2(1) - 1 = 1

2(1) - 2 = 0

2(2) - 1 = 3

2(2) - 2 = 2

2(3) - 1 = 5

2(3) - 2 = 4

2(4) - 1 = 7

2(4) - 2 = 6

2(5) - 1 = 9

2(5) - 2 = 8

2(6) - 1 = 11

2(6) - 2 = 10

The probabilities for these values depend on the probabilities of the individual outcomes of the red and green dice.

Now, we can calculate the expected value (μ) using the formula:

E(2X - Y) = Σ[(2X - Y) x P(X, Y)]

Next, we calculate the squared expected value [tex](E(2X - Y))^{2}[/tex]

Finally, we find the variance (Var(2X - Y)) by subtracting the squared expected value from the expected value squared.

(b) Since 47 and 5 are constants, they do not affect the variance of the random variable. Therefore, we only need to calculate the variance of X.

To find the variance of X, we need to calculate the expected value of X and then subtract it from the squared expected value of X.

The random variable X can take on values from 1 to 6, each with equal probabilities since it is a fair 6-sided die.

We calculate the expected value (μ) of X using the formula: E(X) = Σ(X x P(X))

Next, we calculate the squared expected value [tex](E(X))^{2}[/tex].

Finally, we find the variance (Var(X)) by subtracting the squared expected value from the expected value squared.

Since the constants 47 and 5 have no variability, they do not contribute to the variance, resulting in a variance of 0 for the random variable X + 47 - 5.

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4. Jerry invests $6000 at 7.5%/a, compounded annually. a) Determine the equation of the amount, A, after t years. b) Estimate the instantaneous rate of change in the value at 10 years. c) Suppose that

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Jerry invests $6000 at an annual interest rate of 7.5%, compounded annually. To determine the equation of the amount, A, after t years, we can use the formula for compound interest.

a) The equation for the amount, A, after t years can be calculated using the compound interest formula:

A = P(1 + r/n)^(n*t)

Where:

A = amount after t years

P = principal amount (initial investment)

r = annual interest rate (in decimal form)

n = number of times interest is compounded per year

t = number of years

Using the given values:

P = $6000

r = 7.5% = 0.075 (in decimal form)

n = 1 (compounded annually)

The equation becomes:

A = 6000(1 + 0.075/1)^(1*t)

b) To estimate the instantaneous rate of change in the value at 10 years, we need to find the derivative of the amount equation with respect to time (dA/dt). This will give us the rate of change of the amount at any given time. However, the question does not provide a specific point at which we want to estimate the rate of change. Therefore, further information or clarification is needed to proceed with part (b).

c) It seems that the question is incomplete as there is no specific prompt or information provided for part (c). Without additional details, it is not possible to provide a complete explanation for part (c).

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Assignment on impact of COVID -19 on downsizing decision on"
Restaurant Business on Bangladesh"
N.B: please provide word file so that I can copy paste.

Answers

The COVID-19 pandemic has had a significant impact on the restaurant business in Bangladesh, leading to a rise in downsizing decisions within the industry. Restaurants have faced various challenges, including reduced customer demand, restrictions on dining-in, and disruptions in the supply chain.

The pandemic has caused a decline in consumer spending and changed consumer behavior, with people opting for home-cooked meals or takeout instead of dining out. This drop in demand has severely affected the revenue and profitability of restaurants, making it necessary for them to reduce costs, including labor expenses. As a result, many restaurants in Bangladesh have had to downsize their workforce, leading to layoffs, reduced working hours, or closure of certain branches. The downsizing decisions have been driven by the need to manage financial sustainability amidst the challenging business environment. By reducing the number of employees, restaurant owners aim to lower their operational costs and align their businesses with the reduced demand. However, these decisions have not been easy, as they impact the livelihoods of employees and have broader implications for the overall economy. The downsizing trend in the restaurant industry has highlighted the vulnerability of businesses in the face of unforeseen crises like the COVID-19 pandemic. It has also underscored the importance of resilience and adaptability in finding new ways to operate and serve customers while navigating the challenges brought on by the crisis. The long-term impact of these downsizing decisions on the restaurant business in Bangladesh will depend on factors such as the duration of the pandemic, the effectiveness of government support measures, and the ability of the industry to innovate and adjust its business models to the changing landscape.

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Bob Ltd is subject to 30% income tax rate. Below is information about the capital structure of Bob Ltd Source of funds Market value Required rate of return Long-term debt 10,000 6% Preferred stock 50,

Answers

The total value of Bob Ltd's capital structure is $100,000. So the weighted average cost of capital (WACC) for Bob Ltd is 7.4%.

To determine the weighted average cost of capital (WACC), you need to determine the cost of each component of capital, as shown below:Cost of DebtThe interest paid on long-term debt is tax-deductible, which lowers the cost of debt. The after-tax cost of debt is calculated as follows:After-tax cost of debt = before-tax cost of debt x (1 - tax rate)After-tax cost of debt = 6% x (1 - 30%)After-tax cost of debt = 4.2%Cost of Preferred StockThe cost of preferred stock is the dividend yield, which is expressed as a percentage of the market value of the preferred stock. The cost of preferred stock is calculated as follows:Cost of preferred stock = dividend yieldCost of preferred stock = (dividend / market price of preferred stock)Cost of preferred stock = (5,000 / 50,000)Cost of preferred stock = 10%Cost of Common StockThe cost of common stock is the required rate of return. The required rate of return is the minimum rate of return that shareholders expect to receive on their investment. The cost of common stock is calculated using the Capital Asset Pricing Model (CAPM), which is as follows:Cost of common stock = risk-free rate + beta x (market rate of return - risk-free rate)Cost of common stock = 4% + 1.2 x (10% - 4%)Cost of common stock = 11.2%Weighted Average Cost of CapitalThe weighted average cost of capital (WACC) is the average cost of each component of capital, weighted by its market value. The formula for WACC is as follows:WACC = (cost of debt x weight of debt) + (cost of preferred stock x weight of preferred stock) + (cost of common stock x weight of common stock)WACC = (4.2% x 10,000 / 100,000) + (10% x 50,000 / 100,000) + (11.2% x 50,000 / 100,000)WACC = 7.4%Therefore, the weighted average cost of capital (WACC) for Bob Ltd is 7.4%.

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4. [25 MARKS] Consider a market with one producer and two distributors competing with each other. Each distributor buys from the producer at a unit cost equals to h. The market price of the product equals to p = 100 – (9₁ +92), where q₁ is the quantity purchased from the distributor i = {1,2}. Producer receives h (marginal revenue) for each unit sold to distributors and has constant marginal cost of production equals to 5. Suppose that first the producer decides on the price h and then the distributors decide simultaneously on the quantity 9₁ and 92 which, respectively, they buy from the producer. (a) [15 MARKS] Calculate the best response function for each distributor for given price h. (b) [10 MARKS] Calculate the price h and the equilibrium quantity Q =q₁ +92 on this market.

Answers

(a) The best response function for each distributor is to buy as much as possible, given the price. This is because the distributor's marginal revenue is equal to the price.

(b) The equilibrium price is 50 and the equilibrium quantity is 50. This can be found by solving the best response functions for each distributor simultaneously.

Detailed explanation

The best response function for distributor 1 is:

q₁ = (100 - h) / 2

The best response function for distributor 2 is:

q₂ = (100 - h) / 2

Setting these two equations equal to each other, we get:

q₁ = q₂

Solving for h, we get:

h = 50

Substituting this value of h into either of the best response functions, we get:

q₁ = q₂ = 50

Therefore, the equilibrium price is 50 and the equilibrium quantity is 50.

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Your company currently has $1,000 par, 7% coupon bonds with 10 years to maturity and a price of $1,066. If you want to issue new 10-year coupon bonds at par, what coupon nate do you need to set? Assum

Answers

To issue new 10-year coupon bonds at par, you need to set the coupon rate at 7%.

This means the new bonds will have an annual coupon payment equal to 7% of their par value. The existing bonds with a par value of $1,000, a 7% coupon rate, and a price of $1,066 are already trading at par. By setting the coupon rate of the new bonds at 7%, you ensure that the coupon payment on the new bonds matches the coupon payment on the existing bonds, maintaining consistency. This allows the new bonds to be issued at par value, which is desirable for both the issuer and the investors.

By setting the coupon rate of the new bonds at 7%, you ensure that the coupon payment on the new bonds matches the existing bonds. This means that the annual coupon payment on the new bonds will be 7% of the par value. Since the existing bonds with a 7% coupon rate are already trading at par, issuing the new bonds at the same coupon rate allows them to be issued at par value as well.

This ensures that the price of the new bonds is equal to their par value, which is desirable for both the issuer and the investors. Investors who purchase the new bonds at par value will receive coupon payments that are consistent with the existing bonds, providing them with an expected return that matches the market rate.

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The concept of free trade has been a debated topic for decades. Is free trade really free? What role do governments play in free trade? What are the pros and cons of free trade for countries and for the planet? In a 500- to 700-word paper argue for or against the concept of free trade. (Make sure to address the questions above.) Support your paper with at least four sources, two of which must be scholarly.

In your paper,

Analyze the idea of free trade.
Evaluate the pros and cons of free trade for countries and the planet.
Evaluate the role governments play in free trade.

Answers

Free trade is a concept that promotes the exchange of goods and services between countries without the imposition of barriers such as tariffs, quotas, or excessive regulations. It aims to facilitate economic growth, increase efficiency, and provide consumers with a wider range of choices at competitive prices.

The idea of free trade is based on the principle of comparative advantage, which suggests that countries can benefit by specializing in the production of goods and services in which they have a lower opportunity cost, and then trading those goods and services with other countries. This allows countries to allocate their resources more efficiently, increase productivity, and achieve higher levels of economic welfare.

When evaluating the pros and cons of free trade, it is important to consider both the impact on countries and the planet.

Pros of Free Trade for Countries:

Economic Growth: Free trade can stimulate economic growth by expanding markets, promoting innovation, and attracting foreign direct investment.

Increased Efficiency: By specializing in the production of goods and services they have a comparative advantage in, countries can achieve higher levels of efficiency and productivity.

Consumer Benefits: Free trade provides consumers with a wider range of goods and services at competitive prices, increasing their purchasing power and standard of living.

Job Creation: While some industries may face challenges due to increased competition, free trade can also lead to the creation of new jobs in industries that have a competitive advantage.

Cons of Free Trade for Countries:

Job Displacement: Industries that cannot compete with imports may experience job losses and worker displacement.

Income Inequality: Free trade may exacerbate income inequality within countries, as some individuals and industries benefit more than others.

Dependency: Countries heavily reliant on imports may become vulnerable to supply chain disruptions or changes in global market conditions.

Environmental Impact: Free trade can lead to increased global production and transportation, contributing to environmental concerns such as greenhouse gas emissions and resource depletion.

Governments play a crucial role in free trade by establishing trade policies, negotiating trade agreements, and regulating domestic and international trade. Their role includes:

Trade Policy Formulation: Governments set trade policies and negotiate agreements to protect domestic industries, address trade imbalances, and promote their country's interests in the global market.

Market Regulation: Governments establish regulations and standards to ensure fair competition, protect consumers, and promote safety and quality in traded goods and services.

Tariffs and Trade Barriers: Governments can impose tariffs, quotas, or other trade barriers to protect domestic industries from unfair competition or to address national security concerns.

Trade Agreements: Governments negotiate and enter into trade agreements with other countries to facilitate the flow of goods and services, reduce trade barriers, and create a predictable and stable environment for international trade.

In conclusion, the concept of free trade is a complex and debated topic. While it offers potential benefits such as economic growth, efficiency, and consumer welfare, it also has drawbacks such as job displacement and environmental concerns. Governments play a crucial role in regulating and shaping free trade to balance the interests of domestic industries, consumers, and the overall economy. The key challenge lies in finding a balance that maximizes the benefits of free trade while addressing its potential negative impacts.

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l
2. You would like to retire in 30 years as a millionaire. If you have $15,000 today, what rate of return do you need to earn to achieve your goal?

Answers

To retire as a millionaire in 30 years with an initial investment of $15,000, you would need to earn an average annual return of approximately 9.22%.

To determine the required rate of return needed to achieve your goal of becoming a millionaire in 30 years, we need to consider several factors. These include your initial investment, the time period, and the compounding effect of returns.

Given that you have $15,000 today and aim to accumulate $1,000,000 in 30 years, we can calculate the required rate of return using the compound interest formula:

Future Value = [tex]\text{{FV}} = \text{{PV}} \times (1 + \text{{Rate of Return}})^{\text{{Number of Periods}}}[/tex]

In this case, the future value is $1,000,000, the present value is $15,000, and the number of periods is 30 years.

1,000,000 = 15,000 × (1 + Rate of Return)³⁰

Dividing both sides by 15,000, we get:

(1 + Rate of Return)³⁰ = 1,000,000 / 15,000

Simplifying the right side:

(1 + Rate of Return)³⁰ ≈ 66.67

Now, let's solve for the rate of return. Taking the 30th root of both sides:

1 + Rate of Return ≈ [tex]66.67^{(1/30)}[/tex]

Rate of Return ≈ [tex]66.67^{(1/30)} - 1[/tex]

Calculating this on a calculator or using a software, we find:

Rate of Return ≈ 0.0922 or 9.22%

Therefore, to retire as a millionaire in 30 years with an initial investment of $15,000, you would need to earn an average annual return of approximately 9.22%. Please note that this calculation assumes compound interest and does not account for inflation, taxes, or other potential factors that may affect your actual returns.

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The current price for a good is $20, and 100 units are demanded at that price. The price elasticity of demand for the good is - 2. When the price of the good drops by 10 percent to $18, consumer surplus by $ (Enter your response to the nearest penny.) increases decreases

Answers

To calculate the change in consumer surplus, we need to determine the initial consumer surplus at the original price and the new consumer surplus at the lower price.

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Mc Graw Mill The following events occurred for Johnson Company: a. Received investment of $36,000 cash by organizers and distributed 1,060 shares of $1 par value common stack to them. b. Purchased $7,200 of equipment, paying $1,200 in cash and signing a note for the rest. c. Borrowed $13,000 cash from a bank. d. Loaned $600 to en employee who signed a note. e. Purchased $21,000 of land; paid $7,000 in cash and signed a mortgage note for the balance. Required: Prepere joumal entries for the above transactions. (If no entry is required for a transaction/event, select "No joumal entry required" in the first account field.) Answer is not complete. Debit No 1 Transaction a. Cash 36,000 Common stock Additional paid-in capital 2 b. 3 4 5 ezto.mheducation.com M Question 3 - Homework- Chapter 2 - Connect Save Check my work mode: This shows what is correct or Incorrect for the work you have completed so far. It does not indicate completion. C. d. 8. Equipment Cash Accounts receivable Cash Notes payable Notes receivable Cash Land Cash Notes payable General Journal 00 00 000 7,200✔ 13,000✔ 600✔ 21,000 < Prev Credit 1,080 34,940 1,200 13,000 500✔ 7,000 14,000✔ 3 of 12 Next > Exchange Password Required E Enter your password for "sstiff" in Internet Accounts. Help Save & Exit Submit Return to question

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The journal entries for the transactions listed below are shown below: a) Received investment of $36,000 cash by organizers and distributed 1,060 shares of $1 par value common stock to them. Cash 36000 Common Stock 1060 APIC - CS 34940

b) Purchased $7,200 of equipment, paying $1,200 in cash and signing a note for the rest. Equipment 7200 Cash 1200 Notes Payable 6000

c) Borrowed $13,000 cash from a bank. Cash 13000 Notes Payable 13000 d) Loaned $600 to an employee who signed a note. Notes Receivable 600 Cash 600 e) Purchased $21,000 of land; paid $7,000 in cash and signed a mortgage note for the balance. Land 21000 Cash 7000 Mortgage Payable 14000

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Which country was growing faster in the 1950s and 1960s? The Soviet Union, or the US?

Answers

During the 1950s and 1960s, the Soviet Union was growing faster than the US. The US during the 1950s and 1960s was going through a period of economic growth.

The nation experienced a period of rapid industrialization, technological advancements, and increased economic prosperity. The US economy had grown by an average of 3.8 percent per year during the period.

However, the growth of the Soviet Union was faster than the US during the same period of time.The Soviet Union during the 1950s and 1960s was going through a period of rapid economic growth. The nation experienced a period of industrialization, technological advancements, and increased economic prosperity.

The Soviet Union grew by an average of 5.2 percent per year during the period. During the period, the Soviet Union had achieved several technological breakthroughs, such as the first man-made satellite and the first human in space. This implies that Soviet Union was growing faster than the US during the 1950s and 1960s.

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which historical event led directly to milgram's research on obedience A certain drug can be used to reduce the acid produced by the body and heal damage to the esophagus due to acid reflux. The manufacturer of the drug claims that more than 92% of patients taking the drug are healed within 8 weeks. In clinical trials, 208 of 222patients suffering from acid reflux disease were healed after 8 weeks. Test the manufacturer's claim at the =0.01level of significance.a. What are the null and alternative hypothesis?b. Determine the critical value(s). Select the correct choice bellow and fill in the answer box to compare your choice.A. Za/2 = ____B. Za = ____c. Choose the correct conclusion below. A. Reject the null hypothesis. There is insufficient evidence to conclude that more than 92% of patients taking the drug are healed within 8 weeks B. Do not reject the null hypothesis. There is insufficient evidence to conclude that more than 92% of patients taking the drug are healed within 8 weeks. C. Do not reject the null hypothesis. There is sufficient evidence to conclude more than 92% of patients taking the drug are healed within 8 weeks. D. Reject the null hypothesis. There is sufficient evidence to conclude that more than 92% of patients taking the drug are healed within 8 weeks. Analyzing transactions L05,7 eXcel CHECK FIGURE: Accounts payable balance, November 30, 2017=$27,000 Larry Power, Capital balance, November 30, 2017= $69,100+ Larry Power started a new business in the name of Power Electrical on October 1, 2017. During October, a number of activities occurred and the following totals resulted at October 31, 2017 (shown in accounting equation format) Assots Liabeties Accounts Accounts Office + Supplies + $1,900 Cash + Rocolvable $30,000 + $7,000 Click here for a description of Accounting equation: Problem 1-8A- Office Equip $28,000 Equity Larry Power Capital + + + Electrical Equip $14,000 Payable + $18.000 + $62,900 + During November, the following occurred: Nov. 1 Rented office space and paid cash for the months rent of $7,200. 3 Purchased electrical equipment for $18,000 from an electrician who was going out of business, by using $10,000 in personal funds and agreeing to pay the balance in 30 days. Purchased office supplies by paying $1,800 cash. 6 Completed electrical work and immediately collected $2,000 for doing the work. 8 Purchased $5,200 of office equipment on credit. 15 Completed electrical work on credit in the amount or $6,000. 16 Interviewed and hired a part-time electrician who will be paid $5.300 each month. He will begin work in three wooks. Purchased $1,000 of office supplies on credit. 18 20 Paid for the office equipment purchased on November 8. 24 Billed a client $4,800 for electrical work the balance is due in 30 days. 28 Received $6,000 for the work completed on November 15. 30 Paid the office assistant's salary of $4,400. 30 Paid the monthly utility bills of $3,600. 30 Power withdrow $1,400 from the business for personal use. Click here for a description of List: Problem 1-8A- Page 65- Required Use additions and subtractions to show the effects of each November activity on the items in the equation. Do not determine new totals for the items of the equation after each transaction. Next to each change in equity, state whether the change was caused by an investment, a revenue, an expense, or a withdrawal. Determine the final total for each item and verify that the equation is in balance. Analysis Component: Revenue is not recorded on November 28. Explain, Suppose an imaginary closed economy is characterized by the following: = co + C1 (Y T) 400 G= 400 T = 300 1 C is consumption, Y and Yo are, respectively, income and disposable income, T is the level of taxes, I and G, are, respectively, private investment, and government spending. Co and ci are, respectively, autonomous consumption and the marginal propensity to con- sume; their values are unknown. However, the expression for private saving, S, is as specified below. S= 0.5Y - 500 1. Find the equilibrium values of GDP, consumption, disposable income, and private saving. (5 points) 2. Find the expression of the investment multiplier in terms of co and/or C1. (3 points) 3. Find the values of co and ci and the value of the investment multiplier (Hint: you'll prob- ably find co is equal to an even number, which is multiple of 2). (5 points) 4. From this question on, you must use when needed the values of co and c found in the pre- vious question. Suppose now that the government tax revenue, T, has both autonomous and endogenous components, in the sense that the tax level depends on the level of in- come. T= to +t1Y to is the autonomous tax level, and ti is the marginal tax rate. Given the values of private investment and government spending mentioned above, find the expression for the equilibrium GDP in terms of Co, C1, to and t. (4 points) 5. Assuming that to = 200 find the value of the marginal tax rate that will yield the same level of equilibrium GDP as the one obtained (1). (4 points) 6. Find the expression for the investment multiplier in terms of cand ti and possibly Co, and to. (4 points) 7. Assume now that private investment, I, increases by 50. Find the change in GDP, AY, induced by the change in investment, AI = 50. (4 points) 8. The government does not like the change in GDP induced by the increase in private in- vestment. It wants to bring it back to the level found in Question (1). For that purpose, it has the options to change its spending or to change taxes. (a) If the government changes its spending alone, find the level of AG required to coun- teract the effect on GDP of the fall in investment. (4 points) (b) If the government changes instead the level of its autonomous taxes alone, find the level of Ato required to counteract the effect on GDP of the fall in investment. Explain what happened. (4 points) (c) How does AG compare to Ato? Explain the difference, if there is any. (4 points) (d) In which direction should the government change its marginal tax rate, t1 (increase or decrease), if it uses it as the sole policy instrument to counteract the effect of the change in investment? Explain intuitively your answer. (4 points) The population of a certain species (in '000s) is expected to evolve as P(t)=100-20 te-0.15 for 0 t 50 years. When will the population be at its absolute minimum and what is its level? equity-based valuation models are based on all metrics except: a. cash flow b. earnings c. working capital d. dividends Find the distance from point P(10, 1) to each of these lines. a) y = 5x - 40 b) = (12,-5) + t(6, -7) A man lifts a television that weighs 75kg onto the bed of a truck that is 1.5 m high how much work has he done How many different ways can 8 cars park in a lot with 21 parkingspaces?**Do not include commas in your answer._______________ ways what is the probability that x takes a value between 112 and 118 mg/dl? this is the probability that x estimates within 3 mg/dl. All else constant, an individual would be indifferent between receiving $2,000 today or receiving a $200 perpetuity when the discount rate is 10% annually. true or false during development, three primary brain vesicles form. the three vesicles are the A certain contingent liability was evaluated at year-end; the company felt it was probable that it would become an actual liability, and the amount could be reasonably estimated. If the accountant decided NOT to report it on the balance sheet or in the notes to the financial statement, what effect would it have on the financial reporting of the company? Select one: O a. The information about the transaction would be inadequately disclosed in the notes. O b. There would be no effect c. The net profit of the company would be understated d. The liabilities on the balance sheet would be understated. Which one of these products is the least suitable for anewsvendor-type model?A.Flu vaccineB. Fresh milkC. Airplane seatsD. Light bulbsE. Halloween costume uring 2007 and 2008, the market for which short-term investment stopped functioning and had to be rescued by the Federal Reserve? a. consumer certificates of deposit b. eurodollars c. Treasury bills d. commercial certificates of deposit e. commercial paper Which of the following statements about Social Security is NOT true?In some states, for those at full retirement age, social security benefits are not taxable.The "full retirement age" is 62 years for those born in 1960 or later.Social Security benefits include Medicare Parts A and B insurance.Annual cost-of-living increases are factored into Social Security benefit payments.For tax purposes, the term "experience rating" is associated with which employee benefit?Disability insuranceUnemployment insuranceSurvivors insuranceOld-age insurance Analytical Papers of this readings: 1. "Pathology of Racism" 2. "And when You Leave, Take your Pictures with You" by Jo Carrillo, and Ortega, M. (2006). "Being Lovingly, Knowingly Ignorant: White Feminism and Women of Color". The first two are found on Bridge, Ortega y(t) = u(t+2)-2u(t)+u(t-2)find fourier transform of y(t) Discuss and decide what core problem your campaign seeks to address -- must choose an Indigenous issue of Canada that combines about Poorer health and Lower IncomeCreate own answer(s) to the following question:What would a world without this problem look like?Use words, diagrams, illustrationsImagine unlimited resources (money, power, etc)Enumerate all the benefits of the proposed world On 1.1.2017, MEERA Bhd grants to an employee the right to choose either 12,000 shares or cash payment equal to the value of 10,000 shares (phantom shares). The grant is conditional upon the employee remaining in the company's employ for three years. If the employee chooses the share alternative, the shares must be held for three years after vesting date. At grant date, the company's share price is RM5.00. At the end of year 2017, 2018 and 2019, the share price is RM5.20, RM5.60 and RM6.20, respectively. After taking into account the post-vesting transfer restrictions, the grant date fair value of the share alternative is RM4.90. MEERA shares have a nominal value of RM1 each. Required: a) Compute the amounts of expense and the related liability and equity components in each year. b) Show the effect if, at the end of year 2019, the employee chooses: (i) the cash settlement, and (ii) the equity settlement