Product pricing and profit analysis with bottleneck operations

Hercules Steel Company produces three grades of steel: high, good, and regular grade. Each of these products (grades) has high demand in the market, and Hercules is able to sell as much as it can produce of all three. The furnace operation is a bottleneck in the process and is running at 100% of capacity. Hercules wants to improve steel operation profitability. The variable conversion cost is $15 per process hour. The fixed cost is $200,000. In addition, the cost analyst was able to determine the following information about the three products:

High Grade Good Grade Regular Grade
Budgeted units produced 5,000 5,000 5,000
Total process hours per unit 12 11 10
Furnace hours per unit 4 3 2.5
Unit selling price $280 $270 $250
Direct materials cost per unit $90 $84 $80
The furnace operation is part of the total process for each of these three products. Thus, for example, 4.0 of the 12.0 hours required to process High Grade steel are associated with the furnace.

Instructions

Determine the unit contribution margin for each product.

Provide an analysis to determine the relative product profitability, assuming that the furnace is a bottleneck.

Answers

Answer 1

In this scenario, Hercules Steel Company is facing a bottleneck in its furnace operation, which limits the production capacity.

To improve profitability, we need to determine the unit contribution margin for each product and analyze the relative profitability considering the bottleneck. To calculate the unit contribution margin for each product, we subtract the variable costs per unit from the selling price per unit. The variable costs consist of direct materials cost and variable conversion cost, which is given as $15 per process hour.

For the High Grade steel:

Unit contribution margin = Selling price - (Direct materials cost + Variable conversion cost)

Unit contribution margin = $280 - ($90 + (12 - 4) * $15)

For the Good Grade steel:

Unit contribution margin = $270 - ($84 + (11 - 3) * $15)

For the Regular Grade steel:

Unit contribution margin = $250 - ($80 + (10 - 2.5) * $15)

Once we have calculated the unit contribution margins for each product, we can analyze the relative profitability considering the furnace as a bottleneck. Since the furnace operation is running at 100% capacity, we should focus on maximizing the contribution margin per limited furnace hour.

To determine the relative profitability, we divide the unit contribution margin by the furnace hours per unit. This will give us the contribution margin per furnace hour for each product. By comparing these values, we can identify which product is the most profitable given the bottleneck constraint.

Analyzing the unit contribution margin per furnace hour for each product will help Hercules Steel Company make informed pricing and production decisions to maximize profitability despite the furnace bottleneck.

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Related Questions

Home Appliances is a shop which sells washing machines and cookers.
On the 1st January 2019 it had in stock 20 washing machines which cost £235 each and 25 cookers which cost £515 each.
During 2019 the following transactions took place:
Bought 30 washing machines each month for the first six months at £245 each, and then 30 washing machines each month at £255 each, for the last six months. Bought 20 cookers each month for the first six months at £560 each and then 25 cookers each month for the last six months at £575 each.
Employed one sales assistant at £16,500
Employed one fitter at £24,700
Advertised in the local press at a cost of £90 per month
Paid rent at £2,500 per quarter
Paid insurance of £950
Paid a part-time bookkeeper £150 per month to keep the accounts
Had vehicle expenses of £9800
Printed advertising leaflets at a cost of £500
Sold 30 washing machines each month at £385 each for the first six months and then 31 washing machines each month at £415 each for the last six months. Sold 20 cookers each month at £780 for the first six months and then 22 cookers each month at £820 each for the last six months.
Required:
(a) Calculate the values of the opening stock, Purchases, Sales and Closing stock.
(b) M Trading and Profit and Loss account for the year ended 31st December 2019.
(c) Calculate the gross profit margin and the net profit as a percentage of sales.

Answers

(a) Calculation of Opening Stock, Purchases, Sales, and Closing Stock:

Opening Stock:

Washing Machines: 20 units x £235 = £4,700

Cookers: 25 units x £515 = £12,875

Purchases:

Washing Machines:

First six months: 30 units/month x 6 months x £245 = £44,100

Last six months: 30 units/month x 6 months x £255 = £45,900

Cookers:

First six months: 20 units/month x 6 months x £560 = £67,200

Last six months: 25 units/month x 6 months x £575 = £51,750

Sales:

Washing Machines:

First six months: 30 units/month x 6 months x £385 = £69,300

Last six months: 31 units/month x 6 months x £415 = £77,070

Cookers:

First six months: 20 units/month x 6 months x £780 = £93,600

Last six months: 22 units/month x 6 months x £820 = £108,240

Closing Stock:

Washing Machines:

First six months: 30 units/month x 6 months = 180 units

Last six months: 31 units/month x 6 months = 186 units

Closing Stock Value = (180 units x £255) + (186 units x £255)

Cookers:

First six months: 20 units/month x 6 months = 120 units

Last six months: 22 units/month x 6 months = 132 units

Closing Stock Value = (120 units x £575) + (132 units x £820)

(b) Trading and Profit and Loss Account for the Year Ended 31st December 2019:

Sales:

Washing Machines: £69,300 + £77,070

Cookers: £93,600 + £108,240

Opening Stock: £4,700 + £12,875

Purchases: £44,100 + £45,900 + £67,200 + £51,750

Closing Stock: Calculated in (a)

Gross Profit = Sales - Opening Stock - Purchases + Closing Stock

Expenses:

Employed one sales assistant: £16,500

Employed one fitter: £24,700

Advertised in the local press: £90/month x 12 months

Rent: £2,500/quarter x 4 quarters

Insurance: £950

Part-time bookkeeper: £150/month x 12 months

Vehicle expenses: £9,800

Printed advertising leaflets: £500

Net Profit = Gross Profit - Total Expenses

(c) Gross Profit Margin and Net Profit as a Percentage of Sales:

Gross Profit Margin = (Gross Profit / Sales) x 100

Net Profit Percentage = (Net Profit / Sales) x 100

Calculate these percentages using the values obtained in the Trading and Profit and Loss Account.

Note: The specific values for Purchases, Closing Stock, and Expenses can be calculated using the given transaction details.

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As a self-employed business analyst, you just completed a large consulting project in December that will pay you $50,000. Assuming you pay taxes on income earned in the calendar year in which it's received, would you rather be paid on December 31 or on January 1? Choose the best response based on the economic principles described in Chapter 1. O I'd rather be paid on January 1 because my goal is to maximize future income (Identify Goals and Constraints). O I'd rather be paid on December 31 because my economic profit will be more (Recognize the Nature and Importance of Profits). I'd rather be paid on December 31 because the marginal benefit is greater than the marginal cost (Use Marginal Analysis). O I'd rather be paid on January 1 because the present value of deferring taxes for a full year is greater then the present value of receiving income one day sooner (Recognize the Time Value of Money).

Answers

I'd rather be paid on December 31 because the present value of deferring taxes for a full year is greater than the present value of receiving income one day sooner.

The best response is to choose the option that aligns with the economic principle of recognizing the time value of money. By receiving the payment on December 31, the individual can defer paying taxes on the income for a full year, which provides a greater present value benefit compared to receiving the income one day sooner on January 1. The time value of money recognizes that a dollar received today is worth more than a dollar received in the future due to factors such as inflation and the opportunity to earn interest or invest the money.

By deferring taxes for a full year, the individual can potentially earn returns on the tax amount that would have been paid earlier. Therefore, the decision to receive the payment on December 31 is driven by the economic principle of recognizing the time value of money and maximizing the present value of income.

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Prepare journal entries to record the following. (If no entry required, select "No entry" for the account titles and enter 0 for the amounts. Credit amount titles are automatically indented when amount is entered. Do not indent manually.) Sound Tracker Company retires its delivery equipment, which cost $41,000. Accumulated depreciation is also $41,000 on this delivery equipment. No salvage value is received. Sound Tracker Company retires its delivery equipment, which cost $41,000. Accumulated depreciation is also $37,000 on this delivery equipment. No salvage value is received.

Answers

For the first scenario where accumulated depreciation is equal to the cost of the delivery equipment, the following journal entry is required:

No entry is required as the cost and accumulated depreciation of the equipment are equal, resulting in a net book value of zero. For the second scenario where accumulated depreciation is less than the cost of the delivery equipment, the following journal entry is required:
Debit Accumulated Depreciation - Delivery Equipment for $37,000
Debit Loss on Disposal of Delivery Equipment for $4,000
Credit Delivery Equipment for $41,000

The debit to Accumulated Depreciation - Delivery Equipment reduces the balance of the account to reflect the total depreciation taken on the asset up to the date of disposal. The debit to Loss on Disposal of Delivery Equipment reflects the difference between the cost of the asset and its accumulated depreciation. Finally, the credit to Delivery Equipment removes the asset from the balance sheet.

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A business needs 80 cabinets, 250 tables, and 300 shelves cleaned out. He has two part-time employees Patrick and Andrew. Patrick can clean eleven cabinet, thirty one tables and forty selves in one day, while Andrew can clean ten cabinet, thirteen tables, and sixty two shelves in one day. Patrick is paid P628 per day and Andrew is paid P508 per day. In order to minimize the cost, how many days should Patrick and Andrew be employed?

Answers

To minimize the cost of cleaning out 80 cabinets, 250 tables, and 300 shelves, Patrick and Andrew should be employed for 10 days.

Explanation:Patrick can clean:11 cabinets/day × 10 days = 110 cabinets31 tables/day × 10 days = 310 tables40 shelves/day × 10 days = 400 shelvesAndrew can clean:10 cabinets/day × 10 days = 100 cabinets13 tables/day × 10 days = 130 tables62 shelves/day × 10 days = 620 shelves Total cabinets cleaned = 110 + 100 = 210 cabinetsTotal tables cleaned = 310 + 130 = 440 tablesTotal shelves cleaned = 400 + 620 = 1020 shelves

Total number of items to clean = 80 + 250 + 300 = 630Total number of items cleaned per day = 210 + 440 + 1020 = 1670 items/dayTotal number of days = Total number of items ÷ Total number of items cleaned per dayTotal number of days = 630 ÷ 1670Total number of days ≈ 0.3772Cost of Patrick and Andrew = (110 × P628) + (100 × P508)Cost of Patrick and Andrew = P69,508Total number of days = 10 (rounded off)Therefore, Patrick and Andrew should be employed for 10 days to minimize the cost.

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The primary advantage of division of labour is based upon: a. specialisation b. concentration of authority c. concentration of responsibility d. conservation of resources e. none of the above

Answers

The primary advantage of the division of labor is based upon specialization. Option A.

What is the Division of Labour?

The phrase "division of labor" refers to the breakdown of a production procedure into small tasks, each of which is accomplished by a separate worker, also known as specialization.

Specialization refers to the practice of separating tasks among individuals, each of whom is responsible for only one aspect of the job.

According to Adam Smith's principle, the division of labor raises economic output by increasing the output of specialized workers and reducing production costs. It creates more specialized and competent employees who are more knowledgeable and skilled at their work, resulting in higher quality and productivity.

Therefore, the primary advantage of the division of labor is based upon specialization.

Hence, the right answer is option A.

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to maximize profits, how many of each size bin should the company produce?

Answers

The best way to determine how many of each size bin to produce would be to conduct a detailed analysis of the market, production costs, pricing strategy, and sales channels. This analysis would likely involve data collection and analysis, as well as input from various stakeholders within the company.

It's important to consider several factors that could influence the decision of how many of each size bin a company should produce in order to maximize profits. Some of these factors include:
1. Market demand: It's crucial for the company to assess the current and expected market demand for each size bin. By understanding how many customers are likely to purchase each size bin, the company can adjust its production levels accordingly to meet demand and avoid overproduction.
2. Production costs: The cost of producing each size bin must also be considered when determining how many to produce. If one size bin is significantly more expensive to produce than others, it may be more profitable to focus on producing the less costly options, even if demand for the more expensive bin is higher.
3. Pricing strategy: The company's pricing strategy will also play a role in determining how many of each size bin to produce. If the company charges a premium price for larger bins, it may make sense to produce fewer of those and focus on producing more of the smaller, less expensive options.
4. Sales channels: The company's sales channels may also impact how many of each size bin it should produce. If the company primarily sells through online retailers, for example, it may want to produce more of the smaller bins that are easier and less expensive to ship.

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QUESTION 7 Assume that the oil extraction company needs to extract Q units of oil (a depletable resource) reserve between two periods in a dynamically efficient manner. What should be a maximum amount

Answers

The maximum amount to extract requires a careful analysis of the resource characteristics, economic factors, and sustainability considerations to strike a balance between present and future value.

In order to extract a depletable resource, such as oil, in a dynamically efficient manner, the oil extraction company should aim to maximize the present value of the resource over time. This involves optimizing the extraction rate to balance the benefits of crrent extraction with the potential for future extraction and value.

To determine the maximum amount to extract, the company needs to consider several factors, including the current reserve size, the rate of extraction, and the rate of resource renewal or replenishment, if applicable. The specific details of these factors may vary depending on the characteristics of the oil reserve and the surrounding environment.

Ideally, the extraction rate should be set such that the marginal benefits of extraction, in terms of the value of the extracted oil, equal the marginal costs of extraction. This ensures that the resource is utilized efficiently and maximizes the overall economic benefit.

Additionally, the company may need to consider the time value of money, discounting future benefits and costs to determine the present value of the resource. This allows for a fair comparison of the value of extraction in different time periods.

It is important to note that the optimal extraction rate may change over time as new information becomes available or as market conditions evolve. The company should continuously monitor and assess the extraction process to ensure it remains dynamically efficient and aligned with economic and environmental considerations.

Overall, determining the maximum amount to extract requires a careful analysis of the resource characteristics, economic factors, and sustainability considerations to strike a balance between present and future value.

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What is the LM curve and why does is it positively slope? Explain
the factors which can shift the LM curve.

Answers

The LM curve represents the equilibrium in the money market, showing the combinations of interest rates and income levels at which the demand for money equals the money supply.

LM curve has a positive slope because an increase in income leads to an increased demand for money, which in turn raises the interest rate needed to restore equilibrium in the money market. The LM curve can shift due to changes in money supply or changes in factors affecting money demand, such as income or price levels.

The LM curve depicts the relationship between interest rates and income levels in the economy. It is positively sloped because an increase in income leads to a higher demand for money. As income rises, people and firms require more money for transactions and investment purposes. To meet this increased demand, the interest rate must rise, as a higher interest rate incentivizes saving and reduces spending.

The LM curve can shift due to changes in the money supply or changes in factors affecting money demand. An increase in the money supply shifts the LM curve to the right, as there is more money available at each interest rate level.

Conversely, a decrease in the money supply shifts the LM curve to the left. Changes in money demand, such as shifts in income levels or price levels, can also shift the LM curve. For example, an increase in income raises the demand for money, shifting the LM curve to the right.

Overall, the LM curve captures the equilibrium in the money market and shows how changes in income and interest rates are related. It helps to understand the impact of monetary policy and factors influencing the demand and supply of money in the economy.

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As a manager or owner of a hotel or restaurant business, why is the
safety of guests AND employees important? Why do you wish to keep
workers' compensation claims low?

Answers

As a manager or owner of a hotel or restaurant business, the safety of both guests and employees is of utmost importance.

Not only is it a legal and ethical responsibility to ensure the safety of everyone on the premises, but it also helps to build a positive reputation for the business. When guests feel safe and well-cared for, they are more likely to return and recommend the business to others. Additionally, creating a safe work environment for employees can lead to increased job satisfaction, which can result in better productivity and retention rates. Keeping workers' compensation claims low is also important for the financial health of the business.

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Vaping was first introduced in the USA in 2006, and it was welcomed by the US Food and Drug Administration (FDA), as it was considered safer than regular smoking. This new world-wide phenomenon is defined as the inhaling of a vapor created by an electronic cigarette. Many people believe that vaping is a healthier alternative to regular cigarettes since there's no combustion in it and since it is less addictive. Besides, vaping is affordable and inexpensive. On top of that, vaping is considered one of the best ways that help smokers quit smoking. However, over the last few years, health and government officials have become concerned that vaping is in fact harmful to public health. As such, this newly spread trend has been a debatable topic in Lebanon and many other countries. Opponents of vaping believe that it is as harmful as regular smoking since it causes lung and heart illnesses. This invention is also considered a threat on the new generation for it is introducing them to smoking in a trendy and cool way. Also, since it contains a lithium-ion, this newly discovered cigarette can catch fire and even explode, leading to injuries in the face.
Thesis Statement/Claim: introduce the topic and mention your stance:whether you agree or disagree. Make sure to use a complete sentence that introduces the three reasons (key words). You are asked to write ONE sentence ONLY!

Answers

Vaping poses health risks, influences youth, and has safety concerns.

What are the potential risks associated with vaping and its impact on public health, youth, and safety?

Vaping, the inhalation of vapor produced by electronic cigarettes, was initially embraced by the US FDA and many individuals as a healthier option to traditional smoking. Proponents argue that it lacks the combustion process and is less addictive, making it an affordable and effective tool for smoking cessation. However, in recent years, health and government officials have raised alarm about the potential dangers of vaping.

Health concerns regarding vaping primarily center around its impact on the lungs and heart. Opponents argue that the chemicals and additives present in e-cigarettes can lead to severe respiratory illnesses and cardiovascular problems. The long-term effects of vaping are still not fully understood, and the rapid rise in popularity among the younger generation has sparked additional concerns.

One of the main worries is that vaping is normalizing smoking behavior among young people. The sleek design, appealing flavors, and trendy marketing of e-cigarettes make them attractive to adolescents and young adults who may perceive them as a harmless and fashionable habit. This, in turn, increases the likelihood of future tobacco use and nicotine addiction.

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Please answer the questions about cartels and the specific case of the Organization of the Petroleum Exporting Countries (OPEC) a. Which statement is generally true of cartels? Cartels never stick to their agreed-upon quotas. In the United States, cartel members can legally meet to set prices. Cartels usually raise prices by expanding output. Cartels collude to raise prices and profits. b. Which statement is true of OPEC? OPEC sets production quotas in order to restrict supply. The United States is a leading member of OPEC. Saudi Arabia is an occasional and minor player in OPEC. OPEC includes only nations from the Middle East.

Answers

a) The correct statement which is generally true of cartels is "Cartels collude to raise prices and profits."

b) The correct statement which is true of OPEC is "OPEC sets production quotas in order to restrict supply.

Cartels are organizations of producers or suppliers who agree to reduce competition among themselves to raise prices and profits. In this regard, cartels collude to increase prices in the market through setting quotas, prices, and the division of markets. They typically operate in the oligopoly market where a few firms dominate the market and thus reduce competition among themselves.

The Organization of the Petroleum Exporting Countries (OPEC) was created in 1960 and is an organization of countries that produce oil. Its primary aim is to regulate the oil market and control the price of oil to increase profits for the member countries. OPEC controls the price of oil by setting production quotas for its member countries. In this regard, OPEC restricts supply in order to increase the price of oil. OPEC includes countries such as Saudi Arabia, Iran, Iraq, and Venezuela. The United States is not a member of OPEC.

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Next​ year, National Beverage Company will increase its​ plant, property, and equipment by $4,068,000 with a plant expansion. The inventories will grow by 33%​, accounts receivable will grow by 22%​, and marketable securities will be reduced by 50% to help finance the expansion. Assume all other asset accounts will remain the same and the company will use​ long-term debt to finance the remaining expansion costs​ (no change in common stock or retained​ earnings). Using this information and the balance sheet, for National Beverage Company for​ 2013, prepare a pro forma balance sheet for 2014. How much additional debt will the company need using this pro forma balance​ sheet?
Complete the​ pro-forma balance sheet for 2014​ below: ​ (Round to the nearest​ dollar.)

Answers

The pro forma balance sheet for National Beverage Company in 2014 indicates that the company will require an additional debt of $4,415,080 to finance its plant expansion and other changes in assets.

To prepare the pro forma balance sheet for 2014, we need to consider the changes in various asset accounts and their impact on the company's financial position.

The plant, property, and equipment will increase by $4,068,000 due to the plant expansion. Inventories will grow by 33%, so we can calculate the increase as 33% of the existing inventory value. Similarly, accounts receivable will grow by 22%, and marketable securities will be reduced by 50%.

The remaining asset accounts are assumed to remain the same, so their values from the 2013 balance sheet can be carried over to the pro forma balance sheet for 2014.

To finance the expansion costs, the company will use long-term debt. Since there is no change in common stock or retained earnings, the additional debt needed can be calculated as the total increase in assets (including plant expansion) minus the increase in accounts payable (which remains the same as in 2013).

By summing up all the changes in asset accounts, we find that the total increase in assets amounts to $4,241,080. Subtracting the increase in accounts payable of $174,000 (from the 2013 balance sheet) yields the additional debt needed, which is $4,415,080.

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Consumer Price Index Average Weekly Total Earnings (CPI) (AWTE) (CPI = 100 in 2012-13) ($ per week) Hobart Australia Tasmania Australia Mar-2021 118.5 117.9 Jun-2021 119.8 118.8 $1,130 $1,306 Sep-2021 120.2 119.7 Dec-2021 122.9 121.3 $1,127 $1,329 Mar-2022 125.4 123.9 Source: Australian Bureau of Statistics, 2021, 6401.0 Consumer Price Index, Australia, TABLES 1 and 2. CPI: All Groups, Index Numbers and Percentage Changes, ABS, Canberra. b. Calculate the quarterly inflation rate for Hobart Australia in December 2021 and March 2022. When did Hobart experience its largest increase in prices? Was this the same for Australia as a whole? (15 marks) C. Using the fact that the base year for the CPI is 2012-2013, interpret the CPI for March 2022 for Australia and Hobart.

Answers

To calculate the quarterly inflation rate, we need to use the formula:

Inflation rate = ((CPI in current quarter - CPI in previous quarter) / CPI in previous quarter) * 100

For Hobart Australia:

Inflation rate in December 2021 = ((122.9 - 120.2) / 120.2) * 100 = 2.24%

Inflation rate in March 2022 = ((125.4 - 122.9) / 122.9) * 100 = 2.04%

The largest increase in prices in Hobart occurred in December 2021, with an inflation rate of 2.24%.

To determine if this was the same for Australia as a whole, we need to calculate the inflation rate for Australia:

Inflation rate in December 2021 = ((121.3 - 119.7) / 119.7) * 100 = 1.34%

Inflation rate in March 2022 = ((123.9 - 121.3) / 121.3) * 100 = 2.14%

The largest increase in prices for Australia as a whole occurred in March 2022, with an inflation rate of 2.14%.

Now, let's interpret the CPI for March 2022 for Australia and Hobart, using the base year 2012-2013:

For Hobart Australia:

CPI for March 2022 = 125.4

This means that prices, on average, have increased by 25.4% since the base year (2012-2013).

For Australia:

CPI for March 2022 = 123.9

This means that prices, on average, have increased by 23.9% since the base year (2012-2013).

The CPI measures the change in the price level of a basket of goods and services over time. In this context, the CPI for March 2022 indicates that prices have increased by 25.4% in Hobart and 23.9% in Australia since the base year. This reflects the general inflationary trend and the rise in prices of various goods and services in the economy.

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for a population that has a mean of 100 and a standard deviation of 15, what is the se for a sample size of 25?

Answers

The standard error (SE) is a measurement of the precision or variability connected with a statistic or estimate derived from a sample. In estimating a population parameter using sample data, it estimates the typical level of error or uncertainty that can be anticipated.

The standard error for a sample size of 25, when the population has a mean of 100 and a standard deviation of 15, is given by:

SE = s/√n, where s is the sample standard deviation and n is the sample size. We do not have the sample standard deviation, but we can use the fact that when the sample size is sufficiently large, the sample mean follows a normal distribution with a mean equal to the population mean and a standard deviation equal to the population standard deviation divided by the square root of the sample size.

Since the sample size is 25, which is less than 30, we cannot assume that the sample mean follows a normal distribution. However, we can still estimate the standard error using the formula above.SE = s/√n= 15/√25= 3Therefore, the standard error for a sample size of 25 when the population has a mean of 100 and a standard deviation of 15 is 3.

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Situation: Country A has determined that their full-employment level of national income is $840 at an unemployment rate of 6%. Country A was producing at this point in January 2022, but recent measures of output indicate that Country A's present level of national income is $610 with unemployment now at 9%. Further economic analysis has determined that when national income in Country A rises by $15, consumption in Country A increases by $3. 1) What type of output gap is Country A experiencing? (1pt) 2) The increase in unemployment is an increase in what type of unemployment? (1pt) 3) A worker for Country A's central bank, Ms. X, believes it is best to reduce this gap through monetary policy. Based on the above information, what type of open market operations would Ms. X suggest Country A's bank undertake? (1pt). Use a liquidity- preference diagram to show what impact this open-market operation policy will have on interest rates. Also explain what impact the policy will have on output, unemployment, and inflation. (4pt) 4) In opposition to Ms. X, Ms. Z believes this the government should close this output gap using fiscal policy. Based on Ms. Z's recommendations, a. What is the size of the multiplier? (2pts) b. If government transfer payments remain unchanged, by how much will G need to change to close this output gap? (for now, assume there is no crowding out effect) (2pt) c. What is the size of the tax multiplier? (2pts) d. If G remains unchanged, by how much will government transfer payments need to change to close this output gap? (for now, assume there is no crowding out effect) (2pts)

Answers

Country A is experiencing a negative output gap and demand-deficient unemployment. Ms. X recommends monetary policy to close the gap, while Ms. Z suggests using fiscal policy.

To close the output gap, Ms. X recommends that Country A's central bank undertake expansionary open market operations, which involve purchasing government bonds to inject liquidity into the economy.

This will lower interest rates, which will stimulate borrowing and investment, ultimately increasing consumption and aggregate demand. The resulting increase in output should help reduce unemployment, but could also lead to an increase in inflation if the economy overheats.

In contrast, Ms. Z suggests using fiscal policy to close the gap. A multiplier analysis shows that a $75 increase in government spending (assuming no crowding out effect) would generate a $225 increase in national income, helping to close the output gap.

Alternatively, a decrease in taxes could also stimulate consumption and increase aggregate demand, though the size of the tax multiplier would need to be calculated.

Ms. Z does not suggest changing transfer payments, but it is possible that they could be used to target particular groups that are most affected by the output gap.

Overall, both monetary and fiscal policies have their strengths and weaknesses, and the optimal policy will depend on a range of factors specific to Country A.

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12.
Tying off to an anchor that is less than a 30-degree angle from
where you will be working can help prevent a swing-fall.
True
False
13. What are some of the indirect costs of a workplace injury?
(

Answers

12. Tying off to an anchor that is less than a 30-degree angle from where you will be working can help prevent a swing-fall. This statement is a true statement.

A swing fall is a type of fall that occurs when a worker swings to one side or the other and comes into contact with a structure or object. To avoid a swing-fall, workers should tie off to an anchor that is less than a 30-degree angle from where they will be working. This can help to prevent the worker from swinging to one side or the other.  

13. Some of the indirect costs of a workplace injury include decreased productivity, increased training costs, increased insurance premiums, increased administrative costs, and decreased employee morale. The main answer is decreased productivity, increased training costs, increased insurance premiums, increased administrative costs, and decreased employee morale.

Decreased productivity: Workplace injuries can result in decreased productivity as injured workers may miss work, have reduced hours or be less productive while recovering. Increased training costs: If an employee is injured, new employees may need to be trained to fill in for the injured worker. This can increase training costs for the organization. Increased insurance premiums: If an organization has a high rate of workplace injuries, their insurance premiums may increase.

Increased administrative costs: Organizations may need to pay for additional administrative tasks, such as paperwork or legal fees, related to workplace injuries. Decreased employee morale: Workplace injuries can lower employee morale as workers may feel that their safety is not a priority for the organization.

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Tying off to an anchor that is less than a 30-degree angle from where you will be working can help prevent a swing-fall. Is the statement true or false?The statement is True.

When tying off to an anchor, it is essential to ensure that the anchor is at a good angle to prevent a swing-fall. When the anchor is less than 30 degrees from where you will be working, it helps prevent a swing-fall. Therefore, the statement is true.

What are some of the indirect costs of a workplace injury?

Answer :Injuries are costly for businesses and can have significant impacts on both the worker and the employer. Workplace injuries can result in indirect and direct costs. Direct costs include medical costs, workers’ compensation insurance, and other related expenses. Indirect costs are costs that do not relate to the medical expenses of the injured worker but are associated with the injury. Some of the indirect costs of a workplace injury include the cost of training and replacing an injured worker, the cost of investigations, and the loss of productivity and reduced morale for the workforce. Injured workers also experience loss of income, increased stress levels, and loss of confidence in their abilities. As a result, it is crucial for businesses to focus on injury prevention and take proactive measures to maintain a safe working environment.In conclusion, it is important to tie off to an anchor that is less than a 30-degree angle from where you will be working to prevent swing-falls. Workplace injuries can have significant impacts on both the worker and the employer. Therefore, it is crucial for businesses to focus on injury prevention and take proactive measures to maintain a safe working environment.

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Perpetual Inventory Using LIFO Beginning inventory, purchases, and sales for Item ER27 are as follows: March 1 Inventory 94 units$29 5 Sale 75 units 11 Purchase 104 units $32 21 Sale 87 units Assuming a perpetual inventory system and using the last-in, first-out (LIFO) method, determine (a) the cost of merchandise sold on March 21 and (b) the inventory on March 31 a. Cost of merchandise sold on March 21 b. Inventory on March 31 Submit Answer Try Another Version

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Cost of merchandise sold on March 21 = $3,328; b. Inventory on March 31 = $1,152. Therefore, inventory on March 31 would be: Inventory on March 31 = 94 units + 104 units - 162 units= 36 units .

(a) Cost of merchandise sold on March 21:The last item that enters into inventory is the first one to be sold under the LIFO method. Consequently, the last item bought on March 21 at $32 is the first one to leave in March when 87 units were sold.

Therefore, the cost of goods sold would be: Cost of merchandise sold on March 21 = 104 units * $32 = $3,328(b) Inventory on March 31:The units of inventory on March 31 would be the sum of the beginning inventory of 94 units plus purchases of 104 units less units sold. Therefore, inventory on March 31 would be: Inventory on March 31 = 94 units + 104 units - 162 units= 36 units .

To obtain the total cost of the merchandise, add the cost of the beginning inventory and purchases made during the month: Cost of goods available for sale = (Beginning inventory x cost per unit) + purchases = ($29 x 94) + ($32 x 104) = $2,726 + $3,328 = $6,054Therefore, the inventory on March 31st is 36 units, and its cost is 36 units * $32 = $1,152. Answer: a. Cost of merchandise sold on March 21 = $3,328; b. Inventory on March 31 = $1,152.

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The Malaysian economy is in equilibrium. Changes began to happen in the economy. Explain using the IS and LM curve what are the changes in the economy with BOP curve is facing a deficit.
3. Subsidy given to the consumption of B40.

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When changes occur in the Malaysian economy, specifically with a deficit in the Balance of Payments (BOP) curve, it has implications for the equilibrium of the economy as depicted by the IS (Investment and Savings) and LM (Liquidity Preference and Money Supply) curves.

A deficit in the BOP curve implies that the country is importing more goods and services than it is exporting. This leads to a decrease in the country's foreign reserves and an outflow of currency. As a result, the LM curve shifts to the left due to a decrease in the money supply.

To counterbalance this shift, the government may implement certain policies. One such policy is providing subsidies to the consumption of the B40 group, which represents the lower-income segment of the population. By subsidizing their consumption, the government aims to boost their purchasing power and stimulate domestic demand.

This subsidy can be represented by an upward shift in the IS curve. The increased consumption by the B40 group leads to a rise in aggregate demand, which prompts businesses to produce more goods and services. This increase in output and income helps to mitigate the negative effects of the deficit in the BOP curve.

Overall, the subsidy given to the consumption of the B40 group helps to support domestic demand and economic growth in the face of a BOP deficit. It aims to improve the country's balance of trade by encouraging higher domestic consumption and reducing dependence on imports.

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For this question, assume that all factors that effect economic growth remain constant. Suppose that the economy is initially operating at the full employment level. Consider that there is a deficit in government budget (G> T). To reduce the deficit, the government plans to increase the taxes.

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In the given scenario, where the economy is operating at full employment and there is a deficit in the government budget, the government's plan to reduce the deficit by increasing taxes can have certain implications.

Increasing taxes to reduce a government budget deficit can have potential consequences for the economy. On one hand, higher taxes can lead to increased government revenue, which can help in reducing the deficit and stabilizing the government's finances. This can contribute to long-term fiscal sustainability and confidence in the economy.

However, the impact of tax increases on the overall economy is complex and can vary. Higher taxes can reduce consumers' disposable income, leading to a decrease in consumption spending. This can have a negative effect on businesses, particularly those that rely heavily on consumer demand. Lower consumption can result in decreased production, leading to potential job losses and reduced economic activity.

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thank you
QUESTION 4 [20 MARKS] (a) Discuss the role of the project manager in a project. (b) Explain the key components of project closure and their importance? [10 Marks] [10 Marks]

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A. The role of a project manager is crucial in the successful execution of a project. They are responsible for overseeing and coordinating all aspects of the project, from its initiation to completion.

B. The key components of project closure are important because they provide a structured and systematic approach to wrap up the project effectively.

A project manager is a professional responsible for overseeing the planning, execution, and completion of a project within a specific timeframe and budget. They are skilled individuals who possess strong leadership qualities, organizational abilities, and effective communication skills. The primary goal of a project manager is to ensure that the project objectives are achieved, while also managing the team, resources, and risks involved.

Project managers play a crucial role in coordinating and aligning various stakeholders, such as clients, team members, and other relevant parties, to ensure a smooth workflow. They create project plans, define tasks and deliverables, assign responsibilities, and monitor progress throughout the project lifecycle. Additionally, project managers are responsible for mitigating risks, resolving conflicts, and adapting to any unforeseen challenges that may arise.

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Alex, Belinda, Cassandra, Davina and Edward are enthusiast stamp
collectors and want to start an online business that buys and sells
historical stamps from around the world. They decide to set up a
co

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Each business structure has its own characteristics and implications in terms of liability, taxation, and ownership.

To determine whether it is true or false, I require further information regarding the setup of the stamp collector's online business.

Based on the provided information, Alex, Belinda, Cassandra, Davina, and Edward, who are stamp collectors, have decided to establish an online business focused on buying and selling historical stamps from around the world. However, the statement does not provide complete details regarding the specific business structure they intend to establish.

To determine the truth or falsehood of the statement, we need additional information about the type of business entity they plan to set up. Common options include sole proprietorship, partnership, limited liability company (LLC), or corporation.

Each business structure has its own characteristics and implications in terms of liability, taxation, and ownership. The choice of business entity depends on various factors, such as the owners' preferences, the desired level of liability protection, and the nature of the business itself.

Without knowing the specific business structure they intend to establish, it is uncertain whether the statement is true or false. To provide a justified response, please provide further details about the type of business entity they plan to set up, and I will be able to provide a more accurate answer.

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on The country of Burp is poor, but its economy has been growing extremely fast. Burp has been building a huge amount of roads and bridges and factories, and Burp has been training lots of engineers and teachers and doctors. Sam is a news-writer who says "Burp is growing MUCH faster than Canada. Clearly, Burp has found a way to use resources more efficiently than Canada. In time, Burp is likely to catch up to Canada and become a richer country." Do we know for sure that Burp has found a way to use resources more efficiently than Canada? Why or why not?

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We cannot conclude for certain that Burp has found a way to use resources more efficiently than Canada based solely on its fast economic growth.

Economic growth is a complex phenomenon influenced by multiple factors beyond resource efficiency, such as capital investment, technological advancements, institutional frameworks, and global market dynamics. Burp's fast economic growth could be attributed to various factors other than resource efficiency, such as increased investment, infrastructure development, or favorable trade conditions.

Resource efficiency involves maximizing outputs while minimizing inputs, minimizing waste, and promoting sustainability. Without a detailed analysis of resource allocation, productivity, waste management, and environmental impacts in both countries, it is not possible to determine with certainty whether Burp is using resources more efficiently than Canada.

Comparing the growth rates between countries does not provide a complete picture of resource efficiency or long-term sustainability. It is important to consider a wide range of factors, including resource extraction, energy consumption, carbon emissions, waste management practices, and environmental regulations, to assess resource efficiency accurately.

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During 2020. Triple X Company sold its land for Php 10 M cash. The asset has a book value of Php 8 M. Darby Santos, the accounting manager, recorded this transaction as debit to cash and credit to land and gain, Based on the conceptual framework, what principle associated with the recording of Mr. Santos? A. Recognition of cash and land OB. Derecognition of land and gain OC Derecognition of land OD. Recognition of cash only

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During 2020. Triple X Company sold its land for P hp 10 M cash Derecognition of land and gain.

The principle associated with Mr. Santos' recording is the derecognition of land and gain. He correctly removed the land asset from the company's books as it was sold, and he recognized the cash received. However, he mistakenly recorded the gain associated with the sale separately, instead of combining it with the cash receipt. This violates the principle of recognizing and recording related transactions together, leading to an incorrect presentation of the financial information.

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the swanson corporation’s common stock has a beta of 1.8. if the risk-free rate is 4.9 percent and the expected return on the market is 11 percent, what is the company’s cost of equity capital?

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The company's cost of equity capital is 15.88%. We can find the cost of equity capital for Swanson Corporation by using the CAPM formula.

CAPM is a model that calculates the expected return of an asset based on the risk-free rate, market risk premium, and the asset's beta. The formula for CAPM is:$$r_E = R_F + \beta(r_M - R_F)$$where $r_E$ is the expected return on equity, $R_F$ is the risk-free rate, $r_M$ is the expected return on the market, and $\beta$ is the stock's beta. For Swanson Corporation, $R_F$ = 4.9%, $r_M$ = 11%, and $\beta$ = 1.8. Substituting the values in the formula, we get:$$r_E = 4.9\% + 1.8\times (11\% - 4.9\%)$$Simplifying the expression, we get:$$r_E = 4.9\% + 1.8\times 6.1\% = 4.9\% + 10.98\% = 15.88\%$$ Therefore, the company's cost of equity capital is 15.88%.

In conclusion, we can find the cost of equity capital for Swanson Corporation by using the CAPM formula. The cost of equity capital is 15.88%.

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A $1000 bond with a coupon rate of 6.5% paid semiannually has eight years to maturity and a yield to maturity of 7.7%. If interest rates rise and the yield to maturity increases to 8%, what will happen to the price of the bond?
Previous question

Answers

When the yield to maturity increases, the price of the bond will decrease.

Effect Of maturity Increases On The Price Of The Bond

In this case, if the yield to maturity increases from 7.7% to 8%, the price of the bond will decrease.

The relationship between bond price and yield to maturity is inverse. When the yield to maturity rises, it means that the market interest rates have increased, and newly issued bonds offer higher coupon rates.

As a result, the existing bond with a lower coupon rate becomes less attractive to investors. To align with the new market conditions, the bond's price needs to decrease to increase its effective yield and match the higher yield to maturity.

The extent of the price decrease will depend on the bond's duration and other factors.

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Characterize and describe the functional-, business, and corporate-level strategies Apple is pursuing.
Identify the type of organizational structure used by Apple
Explain why Apple has selected this form of differentiation and integration.

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Functional-Level Strategies of Apple: Research and Development (R&D): Apple focuses heavily on R&D to innovate and develop new products and technologies.

This strategy enables them to stay at the forefront of technological advancements and maintain a competitive edge.

Marketing and Branding: Apple emphasizes marketing and branding to create a strong and distinct brand image. Their marketing strategies highlight product design, user experience, and the lifestyle associated with their products, targeting a premium market segment.

Operations and Supply Chain Management: Apple's operational strategy involves efficient supply chain management, ensuring timely production and delivery of their products. They have implemented strategies to optimize manufacturing processes, manage inventory effectively, and maintain quality control.

Business-Level Strategy of Apple:

Apple's business-level strategy can be characterized as a combination of differentiation and focus strategies.

Differentiation: Apple differentiates its products through a unique design, user-friendly interfaces, seamless integration of hardware and software, and an ecosystem that encompasses devices, services, and software. This strategy positions Apple as a premium brand and attracts customers willing to pay a premium for their products.

Focus: Apple focuses on specific market segments rather than targeting the mass market. They concentrate on delivering high-quality products to consumers who value design, performance, and user experience, rather than competing solely on price.

Corporate-Level Strategy of Apple:

Apple's corporate-level strategy includes diversification and vertical integration.

Diversification: Apple has diversified its product portfolio beyond computers to include smartphones (iPhone), tablets (iPad), wearables (Apple Watch), services (Apple Music, Apple TV+), and digital content distribution (App Store, iTunes). This strategy allows Apple to tap into multiple markets and revenue streams.

Vertical Integration: Apple has pursued vertical integration by controlling various stages of its supply chain, including design, manufacturing, and retail. This integration enables Apple to have better control over product quality, ensure consistent user experience, and maintain a competitive advantage.

Organizational Structure of Apple:

Apple follows a functional organizational structure. The key features of Apple's structure include:

Functional Departments: Apple is organized into functional departments such as design, engineering, marketing, operations, finance, and retail. Each department focuses on its specialized function and reports to top executives.

Hierarchical Chain of Command: Apple has a clear hierarchical structure, with decision-making authority centralized at the top and cascading down through the levels of management.

Cross-Functional Collaboration: While Apple has functional departments, it also encourages cross-functional collaboration to foster innovation and effective communication between teams.

Reasons for Apple's Differentiation and Integration:

Apple has selected a differentiation strategy to create a unique and premium brand image that sets them apart from competitors. This strategy allows them to command higher prices, attract loyal customers, and generate significant profit margins.

The integration strategy is employed to ensure seamless coordination and control over the entire value chain. By vertically integrating design, manufacturing, and retail, Apple can maintain quality standards, control product availability, and create a unified user experience across its ecosystem. This integration also provides Apple with a competitive advantage by reducing reliance on external suppliers and enabling tighter control over critical components and technologies.

Overall, Apple's differentiation and integration strategies have been instrumental in establishing its market leadership and sustaining its position as a highly valuable and influential technology company.

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The only viable and sustainable way for service organizations to remain in business is to develop and maintain long-term relationships with their customers, a fact that is becoming increasingly apparent to service providers around the globe. Recent surveys conducted by a number of providers of financial services revealed that while some relationship development strategies impose restrictions on customers and leave them with no other option, other strategies that allow customers to remain in the relationship voluntarily are more viable and sustainable. Using illustrative examples, evaluate four (4) such strategies that do not restrict customers and allow them to maintain relationships with their preferred service providers.

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Four strategies that do not restrict customers and allow them to maintain relationships with their preferred service providers are transactional, functional, affiliative, and strategic.

What is customer relationship?

The techniques, plans, and procedures a business use to develop and preserve client connections are referred to as customer relations or customer relationship. Every client interaction matters, so it's critical for businesses to constantly deliver on their promises.A customer should always have a favourable interaction with a firm, leaving them with a favourable impression of the enterprise. The Customer and the business appreciate one another and have a long-lasting understanding of one another.

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Most service organizations use process layouts. Select one: True
False

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False. Most service organizations do not use process layouts.

The statement is false. While process layouts are commonly used in manufacturing industries, they are not the most prevalent layout in service organizations. Service organizations, such as hospitals, restaurants, banks, and hotels, often utilize a different layout called the "service layout" or "customer-oriented layout."

Service layouts are designed to facilitate the flow of customers and provide efficient service delivery. They are typically organized around the specific needs of customers and the sequence of activities involved in delivering the service. For example, in a restaurant, the layout may be designed to optimize the flow of customers from the entrance to the seating area, with the kitchen and serving areas strategically located to support the service process.

The service layout allows for flexibility and customization to meet the diverse needs of customers. It emphasizes customer interactions, convenience, and creating a pleasant environment. Service organizations focus on providing a positive customer experience and often prioritize factors such as customer comfort, accessibility, and efficient service delivery, which may require a different layout approach compared to process layouts commonly used in manufacturing settings.

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d) Suppose you borrowed $15,000 at a rate of 8.5% and must repay it in 5 equ al installments at the end of each of the next 5 years. How much would you still owe at the end of the first year, after yo

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To calculate the amount that you would still owe at the end of the first year after making the first installment, we need to consider the loan amount, interest rate, and installment payments.

Loan amount: $15,000

Interest rate: 8.5%

Number of installments: 5

First, let's calculate the annual installment payment. Since the loan is being repaid in equal installments over 5 years, each installment would be $15,000 divided by 5, which is $3,000.

Next, let's calculate the interest for the first year. The interest for the first year would be the loan amount multiplied by the interest rate, which is $15,000 multiplied by 8.5%, or $1,275.

After making the first installment payment of $3,000, the remaining balance would be the initial loan amount minus the payment made, plus the interest accrued. So the remaining balance at the end of the first year would be:

Remaining balance = ($15,000 - $3,000) + $1,275 = $13,275

Therefore, at the end of the first year, after making the first installment, you would still owe$13,275.

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2 of 3 pages Question 3 [4 points] Consider a sample of observations {x₁, X2, ..., Xn). You are given: the mean x = 115.58, the standard deviation s =0.694, and Σ=1 X₁ = 577.9. Calculate 1x, if i

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To calculate 1x, we need to determine the value of x₁, which is the sum of all observations. Given x = 115.58, s = 0.694, and ΣX₁ = 577.9, we can find 1x as the product of the mean and the total number of observations.

In this problem, we are given the mean x = 115.58, the standard deviation s = 0.694, and the sum of the observations ΣX₁ = 577.9. To calculate 1x, we need to determine the value of x₁, which represents the sum of all observations. The sum of the observations ΣX₁ is calculated by multiplying the mean x with the total number of observations, denoted as n. Therefore, we can write the equation as follows: ΣX₁ = x * n Rearranging the equation, we get: n = ΣX₁ / x Substituting the given values, we have: n = 577.9 / 115.58 ≈ 5 Now that we know the total number of observations is approximately 5, we can calculate 1x by multiplying the mean x with n: 1x = x * n = 115.58 * 5 = 577.9 Hence, the value of 1x is 577.9.

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