QS 9-6 (Algo) Allocating costs to departments LO P2 Macee Store has three operating departments, and it conducts advertising that benefits all departments. Advertising costs are $144,000. Sales for its operating departments follow.
Department Sales
1 $ 207,000
2 338, 100 3 144,900 How much advertising cost is allocated to each operating department if the allocation is based on departmental sales? (Do not round your intermediate calculations.)
Department Sales Percent of Total Cost Allocated 1 2 3 Total

Answers

Answer 1

To allocate the advertising costs to each operating department based on departmental sales, you need to calculate the percentage of total sales for each department and then multiply that percentage by the total advertising cost.

First, calculate the total sales for all departments:

Department 1: $207,000
Department 2: $338,100
Department 3: $144,900

Total Sales: $207,000 + $338,100 + $144,900 = $690,000

Next, find the sales percentage for each department:

Department 1: ($207,000 / $690,000) × 100 = 30%
Department 2: ($338,100 / $690,000) × 100 = 49%
Department 3: ($144,900 / $690,000) × 100 = 21%

Now, allocate the advertising cost based on departmental sales percentages:

Department 1: $144,000 × 30% = $43,200
Department 2: $144,000 × 49% = $70,560
Department 3: $144,000 × 21% = $30,240

So, the advertising cost allocated to each operating department is as follows:

Department 1: $43,200
Department 2: $70,560
Department 3: $30,240

Total: $144,000

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Related Questions

.the report that provides detailed information regarding checks prepared and petty cash expenditures is the

Answers

The report that provides detailed information regarding checks prepared and petty cash expenditures is known as the Cash Disbursement Journal. This is a financial record that tracks all of the cash payments made by a company or organization over a specific period of time. The Cash Disbursement Journal includes information such as the date of the payment, the amount paid, the recipient or payee, and the purpose of the payment.

Checks are typically included in the Cash Disbursement Journal when they are prepared and sent out to payees. Petty cash expenditures, on the other hand, are recorded in the journal when cash is withdrawn from the petty cash fund and used to make a payment. This can include small purchases like office supplies or minor expenses like parking fees. Maintaining an accurate Cash Disbursement Journal is important for several reasons. Firstly, it helps to ensure that all payments made by a company are properly recorded and accounted for. This can help to prevent errors and fraud. Additionally, having a detailed record of all cash disbursements can be helpful for tax purposes or when preparing financial statements.
In summary, the Cash Disbursement Journal is a vital financial record that tracks all of the checks prepared and petty cash expenditures made by a company or organization. It helps to ensure accuracy and accountability when it comes to managing cash payments.

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Savoy Inc. sold a building and the land on which it is located on January 1 of Year 1 and received a $225,000 noninterest-bearing note receivable that matures December 31 of Year 3. The $225,000 is to be paid in full on the maturity date. It has been determined that 12% is a realistic interest rate for this note. The sale was recorded as follows by Savoy. The annual reporting period ends December 31, and the accounts have not been adjusted or closed for Year 1.
Date Account Dr. Cr.
Jan. 1, Year 1 Note Receivable 225,000 Accumulated Depreciation, Building 150,000 Building 225,000
Land 90,000
Gain on Sale of Assets 60,000
To record receipt of note.
Required
Note: Round your answers to the nearest whole dollar in the questions that follow.
a. Compute the present value of this note on January 1 of Year 1.
b. Prepare journal entries required as of the following dates.
1. January 1, Year 1, correcting entry
2. December 31, Year 1
3. December 31, Year 2
4. December 31, Year 3

Answers

a. The present value of the note on January 1 of Year 1 is $189,931.

b. Jan. 1, Year 1:

Accumulated Depreciation, Building $60,069

Loss on Sale of Assets $60,069

To record the correction of the gain on sale of assets.

Dec. 31, Year 1:

Note Receivable $8,659

Interest Revenue $8,659

To record interest earned for the year.

Dec. 31, Year 2:

Note Receivable $19,565

Interest Revenue $19,565

To record interest earned for the year.

Dec. 31, Year 3:

Cash $225,000

Note Receivable $225,000

To record receipt of note at maturity.

a. To compute the present value of the note on January 1 of Year 1, we need to discount the $225,000 due at the end of Year 3 at a 12% annual interest rate. Using a present value table or a financial calculator, the present value is calculated as $189,931.

b. The correcting entry on January 1, Year 1 is necessary to adjust the gain on sale of assets.

The original entry recorded a gain of $60,000, which should be adjusted by subtracting the present value of the note receivable on January 1 of Year 1, which is $189,931 - $225,000 = -$35,069. As a result, Accumulated Depreciation, Building is debited for $60,069 and Loss on Sale of Assets is credited for $60,069.

The journal entries on December 31 of Year 1, Year 2, and Year 3 are required to record the interest revenue earned each year and the receipt of the note at maturity.

The interest revenue is calculated by multiplying the carrying amount of the note (i.e., the present value) by the annual interest rate of 12%. Finally, on December 31 of Year 3, Savoy Inc. receives cash of $225,000, which is equal to the face amount of the note receivable.

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The marginal revenue curve for a monopolist _____________ the market demand curve. group of answer choices always is the same always rises above always runs parallel always lies beneath

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The marginal revenue curve for a monopolist always lies beneath the market demand curve. Thus the correct option is the last one.

On a chart with pricing on the y-axis and quantity on the x-axis, the marginal revenue curve is most frequently shown as a straight downward line that decreases down.

The marginal revenue curve of a monopolist typically lies below the market demand curve. A quantity that falls below the demand curve could be moved to a slightly higher volume.

This is because the forces of the economy as a whole make every participant a price-taker. Therefore, option last is appropriate.

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1. Define the U.S. Domestic equilibrium price $
2. Define the U.S. Domestic equilibrium quantity
3. Define the world price $
4. How many carnations will the US produce in a market open to trade?
5. How many carnations will the US import in a market open to trade?
6. What is the value of the single item tariff placed on the US carnations?
7. How many carnations will the US import under the tariff?
& How many carnations will the US produce under the tariff?
9. What is the total value of the tariff to the US government? $
10. If the US market wanted to impose a carnation quota instead of a tariff, how many carnations would the US allow to be imported if the selling price were to be $6.00?

Answers

In economics, a carnation refers to a type of flower that is often used as an example in international trade analysis. The carnation is used as a standard example because it is a product that is traded globally and is subject to tariffs and other trade policies.

The U.S. Domestic equilibrium price is the market price at which the quantity of carnations supplied in the U.S. equals the quantity of carnations demanded in the U.S. when there is no international trade.The U.S. Domestic equilibrium quantity is the quantity of carnations that will be bought and sold in the U.S. market when the quantity supplied equals the quantity demanded at the equilibrium price.The world price is the price of carnations in the international market, determined by the forces of supply and demand in the global market.The quantity of carnations that the US will produce in a market open to trade will depend on the difference between the world price and the cost of producing carnations in the US. If the world price is higher than the cost of production in the US, then the US will produce and sell carnations in the global market. If the world price is lower than the cost of production in the US, then the US will not produce carnations for export.The quantity of carnations that the US will import in a market open to trade will depend on the difference between the world price and the domestic price in the US. If the world price is lower than the domestic price, then the US will import carnations from the global market.The value of the single item tariff placed on US carnations is the amount of money charged by the US government per unit of imported carnation.The quantity of carnations that the US will import under the tariff will depend on the size of the tariff and the difference between the world price and the domestic price in the US. If the tariff is high and the world price is lower than the domestic price, then the quantity of carnations imported will be reduced. The quantity of carnations that the US will produce under the tariff will depend on the domestic price and the cost of production in the US.The total value of the tariff to the US government will depend on the size of the tariff and the quantity of carnations imported under the tariff. The total value of the tariff is calculated by multiplying the tariff rate by the quantity of imported carnations.If the US market wanted to impose a carnation quota instead of a tariff, the quantity of carnations that the US would allow to be imported if the selling price were $6.00 would depend on the size of the quota and the difference between the world price and the domestic price in the US. If the quota is low and the world price is lower than the domestic price, then the quantity of carnations imported will be reduced.

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"If the Owner of a construction project breaches its agreement with Contractor after the project has been completed, Contractor s Measure of Damages shall be:"
Contractor's anticipated profits (total contract price less anticipated costs)
Contractor's anticipated profits plus the construction costs incurred
Full contract price plus interest
Contractor's actual cost plus 15%

Answers

If the Owner of a construction project breaches its agreement with Contractor after the project has been completed, Contractor s Measure of Damages shall be determined based on the terms of their agreement.

As per the terms stated, the Contractor's Measure of Damages shall be calculated in one of the following ways:

1. Contractor's anticipated profits (total contract price less anticipated costs): This means that the Contractor will be entitled to the profit it would have made on the project had the Owner not breached the agreement. The anticipated profit is the difference between the total contract price and the anticipated costs.

2. Contractor's anticipated profits plus the construction costs incurred: This means that the Contractor will be entitled to the anticipated profit as well as the actual construction costs incurred on the project. This would be a more comprehensive measure of damages.

3. Full contract price plus interest: This means that the Contractor will be entitled to the full contract price plus any interest that may have accrued due to the breach of the agreement.

4. Contractor's actual cost plus 15%: This means that the Contractor will be entitled to the actual cost incurred on the project plus a 15% markup as compensation for the breach of the agreement.

In summary, the Contractor's Measure of Damages for breach of agreement by the Owner of a construction project after the project has been completed will depend on the terms of their agreement.

The Contractor may be entitled to anticipated profits, construction costs incurred, full contract price plus interest, or actual cost plus a 15% markup.

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An investor can create the effect of leverage on his/her account by:
I) buying equity of an unlevered firm
II) by investing in risk-free debt like T-bills
III) by borrowing on his/her own account
A. I only
B. II only
C. III only
D. I and III only

Answers

An investor can create the effect of leverage on his/her account by buying equity of an unlevered firm and by borrowing on his/her own account. The correct answer to the question is option D, which is I and III only.

An investor can create leverage on his/her account by buying equity of an unlevered firm and borrowing on his/her own account. By investing in an unlevered firm, an investor can benefit from the increased returns that come with leverage, as the value of the firm increases. This is because the firm's profits are magnified by the amount of debt used to finance its operations.

On the other hand, borrowing on their own account allows investors to amplify their returns through the use of debt. This allows them to take on larger positions than their available capital would otherwise allow, thereby increasing the potential profits that can be made from a given investment. However, it is important to note that the use of leverage also increases the potential losses that an investor can incur, as they are essentially amplifying the risk associated with their investments. The correct answer to the question is option D, which is I and III only.

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Cross-selling is most commonly practiced with theA) wholesale format development growth opportunity.B) market expansion growth opportunity.C) retail format development growth opportunity.D) diversification growth opportunity.E) market penetration growth opportunity.

Answers

Market penetration growth opportunity I believe sorry if I’m wrong

Cross-selling refers to the practice of offering additional products or services to customers who are already buying from a company. This strategy is used to increase revenue and build customer loyalty. While cross-selling can be used in various growth opportunities, it is most commonly practiced with the retail format development growth opportunity.

Option C.

Retail format development involves expanding a company's existing retail operations by opening new stores or launching online platforms. When a company is expanding its retail format, it can use cross-selling to increase the average value of each customer's purchase. For example, a clothing store might offer a customer who is buying a shirt the opportunity to purchase a matching pair of pants or accessories like shoes or a handbag.
Cross-selling is effective in the retail format development growth opportunity because it allows companies to leverage their existing customer base to drive additional sales. By offering complementary products, companies can increase their revenue per customer without having to spend additional money on advertising or marketing to acquire new customers.
Overall, cross-selling is a valuable strategy for companies looking to grow their retail operations through format development. By offering additional products to existing customers, companies can increase revenue and build customer loyalty, which are critical components of long-term success in the retail industry. Option C

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a company is considering a machine that will save $9,000 a year in cash operating costs each year for the next six years. at the end of six years it would have no salvage value. if this machine costs $33,165 now, the machine's internal rate of return is closest to (ignore income taxes.):

Answers

The detailed answer is that the machine's internal rate of return is approximately 18.44%.

Based on the information provided, the company is considering investing $33,165 in a machine that will save them $9,000 annually for six years with no salvage value at the end of the term. To find the internal rate of return (IRR) of this investment, we need to calculate the discount rate at which the present value of the future cash inflows (i.e., the annual savings) equals the initial investment.
Using a financial calculator or Excel, we can solve the IRR by inputting the following cash flows:
Year 0: -$33,165 (initial investment)
Years 1-6: $9,000 (annual savings)
Solving for IRR, we get a rate of approximately 18.44%. This means that the investment is expected to generate an annual return of 18.44% over the six-year period, which is greater than the company's cost of capital. Therefore, the company should proceed with the investment as it is a financially viable option.

Therefore, the detailed answer is that the machine's internal rate of return is approximately 18.44%.

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marketing decisions are likely to be successful if they are based on multiple choice question. the intuition and gut reaction of marketers. the same strategies used by a firm's competitors. explicit consumer behavior theory, assumptions, and research. hunches and wild ideas, rather than on research.

Answers

Marketing decisions are most likely to be successful if they are based on explicit consumer behavior theory, assumptions, and research. The correct answer is option c.

This approach provides a solid foundation for decision-making that is grounded in empirical evidence and objective data. While intuition and gut reactions can be useful in some situations, relying solely on hunches and wild ideas is a risky strategy that may lead to poor outcomes.

Similarly, mimicking the strategies of competitors may not always be effective, as the competitive landscape is constantly evolving and what works for one firm may not work for another.

Ultimately, a thorough understanding of consumer behavior, informed by research and theory, is the most reliable basis for making effective marketing decisions that drive business success.

The correct answer is option c.

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Complete Question

marketing decisions are likely to be successful if they are based on multiple choice question.

a. the intuition and gut reaction of marketers.

b. the same strategies used by a firm's competitors.

c explicit consumer behavior theory, assumptions, and research.

d. hunches and wild ideas, rather than on research.

Quick Win SP22 - Week 4 - Short Case Layout of Delhaize De Leeuw (DDL) supermarket in Ouderghem, Belgium The Delhaize Group operates over 400 retail outlets in Belgium, of which there are around 100 local Delhaize De Leeuw supermarkets. Delhaize supermarkets compete both by choices of location, which are convenient for frequent shoppers, and by the quality of the products and service. To remain profitable every Delhaize manager must maximize the revenue and contribution per square metre but must also minimize the costs of operating the store, in terms of material handling and checkout productivity, for example. The Ouderghem supermarket has a somewhat unusual layout, having two entry points and two exit points. In common with most supermarket designs, the checkouts are positioned near the outside wall, but during most of the day only a few are used. Newspapers are sold near the checkout queues, so that customers can catch up with the news while waiting. Checkout operators face into the store, towards the queue, to emphasize the need to work quickly when there is a queue. The store has 10 checkouts - a very large number for a store of only 1500 square metres. This is because there is a large peak of sales in the early evening, and long queues at the checkout would be unacceptable. Delhaize uses relatively wide aisles between the shelves, to ensure good flows of trolleys, but this has been at the expense of reduced shelf space which would allow a wider range of products to be stocked. The actual location of all the products is a critical decision, directly affecting the convenience to customers, their level of spontaneous purchases, and the costs of filling the shelves. The overall layout of the supermarket has separate, clearly marked self- service areas for packaged food, drinks, fruit and vegetables, and household items. The served delicatessen area (which sells products with above-average margins) is positioned centrally so that most shoppers must pass it. The displays of fruit and vegetables are located adjacent to the main entrance, as a signal of freshness and wholesomeness, providing an attractive and welcoming point of entry. High-turnover, 'essential', known-value items such as rice, pasta, sugar and oil are positioned centrally and visibly, so that they are easy to find. Profitable, fast-moving items are displayed at eye level, both to help the customer and to make restocking easier for the employees. Conversely, low-margin and low-turnover items are placed low down. Bulky or heavy products, such as packs of beer, are located near the storage area to facilitate restocking. Frozen foods are located at the ends of aisles, near the checkouts, so that they can be purchased last. In some supermarkets, these positions are only used for promotions, as customers move slower around the ends of aisles and the goods on display can be seen from most directions.
Questions 1 What is the basic layout type used by this supermarket? 2 Are the objectives in designing a supermarket layout broadly similar to the objectives in designing a high-variety manufacturing operation? If not, what is the difference?

Answers

1. The basic layout type used by the Delhaize De Leeuw (DDL) supermarket in Ouderghem, Belgium is a process layout.

2. The objectives in designing a supermarket layout are not completely similar to the objectives in designing a high-variety manufacturing operation as it focuses on customer convenience.

1. Process layout features separate, clearly marked self-service areas for different product categories such as packaged food, drinks, fruit and vegetables, and household items. The served delicatessen area is positioned centrally to attract customers, while high-turnover items are placed at eye level for convenience and ease of restocking. Frozen foods are placed near the checkouts for customers to purchase last, and bulky or heavy items are located near the storage area for easier restocking.

2. The objectives in designing a supermarket layout are not entirely similar to those of a high-variety manufacturing operation. While both layouts aim to maximize efficiency, productivity, and minimize costs, their specific goals differ. In a supermarket layout, the focus is on customer convenience, encouraging spontaneous purchases, and effective product placement to boost sales. On the other hand, a high-variety manufacturing operation's layout aims to optimize production processes, reduce lead times, and ensure smooth material flow throughout the facility.

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Saleh works in Dubai but is a citizen of the USA; therefore, his earned income contributes to which of the following accounts?
a.
Services balance
b.
Income balance
c.
Trade balance
d.
Balance of transfers

Answers

Saleh's earned income contributes to the income balance of the USA.

The income balance reflects the net flow of primary income (such as wages, salaries, and investment income) between a country and the rest of the world.

Since Saleh is a citizen of the USA, his earned income is included in the primary income received by the USA from abroad.

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when guy has a comparative advantage over alex in cooking, it means that:____.
alex can cook faster than guy can. guy can cook faster than alex can. the opportunity cost of cooking is lower for alex than guy. the opportunity cost of cooking is higher for alex than guy.

Answers

When Guy has a comparative advantage over Alex in cooking, it means that the opportunity cost of cooking is lower for Guy than for Alex.

A comparative advantage occurs when an individual or country can produce a good or service at a lower opportunity cost compared to others. In this case, Guy can produce a meal with fewer resources or at a lower cost compared to Alex. This implies that Guy can allocate resources more efficiently, allowing him to focus on cooking, while Alex can concentrate on other tasks where he has a comparative advantage.

To understand the concept of opportunity cost, consider that both Guy and Alex have limited time and resources. If Guy spends his time cooking, he might forgo other activities or tasks that he could perform. Similarly, if Alex spends his time cooking, he might forgo other activities or tasks. Opportunity cost measures the value of the next best alternative that an individual or country gives up when making a choice. In this case, Guy's opportunity cost of cooking is lower than Alex's opportunity cost, meaning that Guy sacrifices less to cook compared to Alex.

In conclusion, when Guy has a comparative advantage over Alex in cooking, it implies that Guy can cook more efficiently, with a lower opportunity cost, compared to Alex. This allows both individuals to specialize in their respective tasks and potentially improve overall productivity.

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who are unambiguously worse off in the case of a price floor? responses a both buyers and sellersboth buyers and sellers b buyersbuyers c sellerssellers d government officials

Answers

In the case of a price floor, sellers are unambiguously worse off. The correct answer is option c.

A price floor is a government-imposed minimum price that must be paid for a good or service, which is typically set above the market equilibrium price. When a price floor is imposed, the result is a surplus of the good or service, as the quantity supplied exceeds the quantity demanded at the higher price.

This surplus leads to a decrease in the amount of goods or services sold, which negatively affects sellers. The higher price that buyers must pay also reduces their demand for the product, resulting in less revenue for the sellers. Additionally, sellers may be forced to pay for additional storage or disposal costs for the unsold goods.

Therefore, sellers are the group that is unambiguously worse off in the case of a price floor. Buyers may benefit from a price floor if they are able to purchase the good or service at a lower price than what would exist in a free market, but this benefit is often offset by a decrease in the quality or availability of the product.

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most mutual funds are structured in two ways. the most common structure is a(n) fund, from which shares can be redeemed at any time at a price that is tied to the asset value of the fund. a(n) fund has a fixed number of nonredeemable shares that are traded in the over-the-counter market.

Answers

Mutual funds are typically structured in two ways: open-end funds and closed-end funds.

Open-end funds are the most common structure, allowing investors to buy and sell shares directly from the fund at any time. The price of these shares is determined by the net asset value (NAV) of the fund, which is calculated daily based on the total value of the underlying assets divided by the number of outstanding shares. This structure provides liquidity and flexibility to investors, as they can easily enter or exit the fund based on their investment goals.

On the other hand, closed-end funds have a fixed number of nonredeemable shares that are issued through an initial public offering (IPO). These shares are then traded on the over-the-counter (OTC) market, where their price is determined by supply and demand. Unlike open-end funds, closed-end funds do not continuously issue or redeem shares, resulting in a fixed pool of assets. This can create opportunities for investors to buy shares at a discount or premium to the NAV, depending on market conditions.

In summary, open-end funds offer liquidity and a price tied to the NAV, while closed-end funds have a fixed number of shares traded on the OTC market, with prices determined by market forces.

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what typifies a cost-cutting project? multiple choice question. no revenue is generated by the project. the new asset lowers the required working capital. the new asset qualifies as section 179 property thereby lowering future depreciation costs. the cost of the new assets is less than the market value of the existing assets.

Answers

The cost of the new assets is less than the market value of the existing assets typifies a cost-cutting project, therefore option D is correct

A cost-cutting project ambitions to reduce expenses by way of replacing current assets with new property which have a lower fee.

If the value of the brand new asset is much less than the marketplace fee of the present asset, it's far likely that the organization will save cash on the acquisition.

Options A, B, and C may additionally generate sales or lower working capital or future depreciation fees, but they do not always relate to value-slicing tasks, which can be mainly aimed at lowering charges.

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The Complete Question:-

What typifies a cost-cutting project? multiple choice question.

A)no revenue is generated by the project.

B) the new asset lowers the required working capital.

C) the new asset qualifies as section 179 property thereby lowering future depreciation costs.

D) the cost of the new assets is less than the market value of the existing assets.

Suppose demand for manjuana is perfectly inelastic in Holland. Suppose become cheaper to produce marijuana in Holland due to change in regulation. What will happen on maranam as a results: A. Equilibrium price will decrease equilibrium quantity will stay the same
B. Equilibrium price will decrease, equilibrium quantity change is ambiguous C. Equilibrium price will decreaso, equilibrium quantity will increase
D. Equilibrium price will increase, equilibrium quantity will decrease
E. Equilibrium price will increase, equilibrium Santity will stay the same
F. Equilibrium price will stay the same, equilibrium quantity will increase

Answers

If the demand for marijuana is perfectly inelastic in Holland and the cost of production decreases due to a change in regulation, then the equilibrium price will decrease, but the equilibrium quantity will stay the same. Tthe correct option is A.

The demand for marijuana is perfectly inelastic in Holland, which means that consumers are not sensitive to changes in price, and their demand remains the same regardless of the price. If the cost of production decreases, then producers can afford to sell marijuana at a lower price while maintaining the same level of profit. This will result in a decrease in the equilibrium price.

However, since the demand is perfectly inelastic, the equilibrium quantity will remain the same. The decrease in price will not lead to an increase in demand because consumers are not responsive to price changes.

In conclusion, when demand is perfectly inelastic and the cost of production decreases, the equilibrium price will decrease, but the equilibrium quantity will stay the same.

Therefore, the correct option is A.

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When President Obama proposed increasing the minimum wage, he argued that a minimum-wage worker today should earn the same amount of money in real terms as a minimum-wage worker in 1979. But why pick 1979? Why not go back to 1938, the first year of the minimum wage? Why not 1999?

Answers

President Obama picked 1979 as the benchmark for the minimum wage because it was the year when the minimum wage was at its highest point in real terms.

When adjusted for inflation, the minimum wage in 1979 was worth more than it is today. By comparing today's minimum wage to that of 1979, President Obama was making the argument that minimum-wage workers should not be worse off today than they were over 40 years ago.

Going back to 1938, the first year of the minimum wage, would not be a fair comparison as the purchasing power of money was much different back then.

Similarly, picking 1999 would not necessarily be a fair comparison as it was a year of economic boom and low unemployment, which could skew the analysis.

Therefore, by using 1979 as the benchmark, President Obama was emphasizing the need to address the declining purchasing power of the minimum wage over the past few decades.

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an investment company wants to maximize the financial returns of its customers. to get started, it decides to estimate the average financial return in the past. which statistical method would be best to use in this situation?

Answers

In order for an investment company to maximize the financial returns of its customers, it needs to have an accurate estimation of the average financial returns in the past.

The statistical method that would be best suited for this situation would be the arithmetic mean or the simple average. This is because it takes into account all the data points and provides a representative value of the average financial returns.

The arithmetic mean is calculated by summing up all the past financial returns and dividing the sum by the total number of data points. This method is widely used because it is simple to calculate and easy to understand. It provides a quick estimation of the average financial returns in the past, which can then be used as a benchmark for future investments.

However, it is important to note that the arithmetic mean may not be the best statistical method to use in all situations. For example, if there are outliers or extreme values in the data set, the mean may be skewed and not accurately reflect the typical financial returns. In such cases, other statistical methods such as the median or the mode may be more appropriate.

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if a firm outsources some parts of its value chain in order to reduce costs and increase quality and at the same time engages in multiple alliances to penetrate new markets, this is a example of a firm using a of organizational types. group of answer choices combination boundaryless consortium bounded consortium barrier free collection

Answers

The firm is using a combination of organizational types.

The firm is outsourcing some parts of its value chain to reduce costs and increase quality, which is a characteristic of a boundaryless organization. Additionally, the firm is engaging in multiple alliances to penetrate new markets, which is a characteristic of a consortium organization. Therefore, the firm is using a combination of organizational types.

The firm is using a combination of organizational types. It is outsourcing some parts of its value chain to reduce costs and increase quality, which is a characteristic of a boundaryless organization. By doing this, the firm can access the expertise of specialized firms and focus on its core competencies. Additionally, the firm is engaging in multiple alliances to penetrate new markets, which is a characteristic of a consortium organization. This allows the firm to leverage the resources of its partners and gain access to new customers and markets. By using a combination of organizational types, the firm can take advantage of the benefits of each type while minimizing the limitations. This approach can help the firm achieve its strategic objectives and enhance its competitive advantage.

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using the plantwide overhead rate, how much manufacturing overhead cost would be allocated to product b82o?

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To calculate the manufacturing overhead cost allocated to product B82O using the plantwide overhead rate, follow these steps:

1. Identify the total manufacturing overhead costs for the entire company.
2. Determine the total direct labor hours or machine hours for the entire company, depending on the cost driver used in the plantwide overhead rate calculation.
3. Calculate the plantwide overhead rate by dividing the total manufacturing overhead costs by the total direct labor hours or machine hours. The result is the plantwide overhead rate per direct labor hour or machine hour.
4. Identify the number of direct labor hours or machine hours associated with product B82O.
5. Allocate the manufacturing overhead cost to product B82O by multiplying the plantwide overhead rate by the direct labor hours or machine hours associated with product B82O.

By following these steps, you will determine the manufacturing overhead cost allocated to product B82O using the plantwide overhead rate.

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how much money must you pay into an account at the beginning of each of the next 20 years in order to have $100,000 at the end of the 20th year, if the account pays 4.50% per year (round to the nearest dollar)?

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The amount of money that must be paid into the account at the beginning of each of the next 20 years is approximately $3,527.

To calculate the required payment amount, we need to use the concept of present value.

The present value formula is given by:

[tex]PV = FV / (1 + r)^n[/tex]

Where PV is the present value, FV is the future value, r is the interest rate, and n is the number of periods.

In this case, the future value (FV) is $100,000, the interest rate (r) is 4.50% or 0.045, and the number of periods (n) is 20.

Using the formula, we can solve for the present value (PV) which represents the amount that needs to be paid each year:

PV = $100,000 / (1 + 0.045)²⁰

PV ≈ $3,527 (rounded to the nearest dollar)

Therefore, approximately $3,527 must be paid into the account at the beginning of each of the next 20 years to have $100,000 at the end of the 20th year.

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Suppose Maldives is open to free trade in the world market for apples. Because of Maldive's small size, the demand and supply of apples in Maldives do not affect the world price. Domestic demand curve for Maldives is: Qd – 3,760 - 2 P and domestic supply curve is: QS = -90+3 P. The world price of apples is Pw = 600 (round to 2 decimal places if necessary) Calculate the consumer surplus and domestic producer surplus. Consumer Surplus = Domestic Producer Surplus=
Now suppose the government in Maldives decides to impose a tariff of 90 on each imported ton of apples After the tariff is imposed calculate the new consumer surplus and domestic producer surplus Consumer Surplus (after tarif - Domestie Producer Surplus (after tariff) - 5 Calculate the Government Revenue and Domestic Deadweight Loss aswell Government Revenue Domestic Deadweight Loss

Answers

Consumer Surplus before tariff = (3,760 x 600) - (1/2 x 600 x 3,760) = 4,320,000

Domestic Producer Surplus before tariff = (1/2 x 600 x -90) - (1/2 x 600 x 3,760) = 1,623,000

After the tariff of 90 is imposed, the domestic price increases to 690. The consumer surplus decreases to (3,760 x 690) - (1/2 x 690 x 3,760) = 4,011,200 and the domestic producer surplus increases to (1/2 x 690 x -90) - (1/2 x 690 x 3,760) = 2,611,700. This means that the government revenue is (690 - 600) x 3,760 = 2,976,000 and the domestic deadweight loss is 4,320,000 - 4,011,200 - 2,611,700 = 697,100.

In summary, when the government of Maldives imposes a tariff on imported apples, the consumer surplus decreases and the domestic producer surplus increases. The government revenue increases and the domestic deadweight loss also increases.

This decrease in consumer surplus and increase in deadweight loss is a cost to society, which is why tariffs are typically avoided whenever possible.

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Capital budgeting is similar in principle to ______________ in which future cash flows are estimated, risks are appraised and reflected in a cost of capital discount rate, and all cash flows are evaluated on a ______________ value basis. The primary methods used in this process are: net present value, internal rate of return, modified internal rate of return, and payback. projects that firms cons

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Capital budgeting is similar in principle to financial planning in which future cash flows are estimated, risks are appraised and reflected in a cost of capital discount rate, and all cash flows are evaluated on a budget value basis.

The information related to the capital budgeting decisions are as follows:

It is a both financial commitment & an investment.

Invested in the long-term direction that has an impact on the upcoming projects which the company considered.

Lower cost and profit more.

Increase in the capacity of the organization.

The primary methods used in this process are: net present value, internal rate of return, modified internal rate of return, and payback. Projects that firms consider for capital budgeting require a significant amount of cash and cost  and resources, and the decision-making process involves a thorough analysis of the potential returns and risks associated with the project.

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Planet Fitness locations are permitted to close on all of the following holidays EXCEPT:
Select one:
a. Christmas
b. Easter
c. New Years Day
d. Thanksgiving

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Planet Fitness locations are permitted to close on all of the listed holidays except for New Year's Day. This means that Planet Fitness locations may close on Christmas, Easter, and Thanksgiving, but they must remain open on New Year's Day. Option C

This policy may vary slightly from location to location, and some clubs may choose to remain open on certain holidays, while others may close. However, in general, the policy is designed to balance the needs of members with the needs of employees, and to provide a consistent and predictable experience for customers.

By closing on certain holidays, Planet Fitness can also demonstrate its commitment to work-life balance and employee well-being, and can foster a positive company culture based on respect and appreciation.

In summary, Planet Fitness locations are permitted to close on Christmas, Easter, and Thanksgiving, but they must remain open on New Year's Day. This policy is designed to balance the needs of members and employees, and to foster a positive company culture. Option C

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Which of the following is an advantage to utilizing an internal consultant (for instance, employee of the organization)?
A. A lack of objectivity
B. Knowledge and experience of a particular intervention
C. Knowledge of the organization
D. Better data collection expertise

Answers

The correct answer is: C. Knowledge of the organization The advantage to utilizing an internal consultant (for instance, employee of the organization) is their knowledge of the organization, which is the "main" benefit.

They have a deep understanding of the culture, processes, and people involved, which allows them to tailor interventions and solutions to fit the specific needs of the organization. Additionally, they may have expertise in a particular intervention, which can also be beneficial. However, it is important to note that internal consultants may lack objectivity and may not have the same level of data collection expertise as external consultants. An advantage of utilizing an internal consultant, such as an employee of the organization, is that they possess knowledge of the organization's culture, processes, and internal dynamics. This understanding enables them to tailor their recommendations and interventions more effectively to the specific needs of the organization.

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a......quantity discount is based on the amount purchased in a single order, and encourages a large individual purchase.

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A quantity discount is based on the amount purchased in a single order and encourages a large individual purchase. This type of discount is commonly used by businesses to incentivize customers to buy more products at once, thereby increasing their overall sales volume.

The idea behind offering a quantity discount is that the more items a customer buys, the lower the price per item becomes, benefiting both the buyer and the seller.

Here is a step-by-step explanation of how quantity discounts work:

1. The seller determines a base price for a product or service.

2. The seller identifies different tiers or levels of quantities that will qualify for a discount.

3. For each tier, the seller calculates the percentage of discount or the reduced price per unit that will apply to the order.

4. The buyer places a single order with a certain quantity, and the corresponding discount is applied based on the tier their purchase falls into.

5. The buyer benefits from a reduced price per item, which can lead to significant cost savings for large orders.

6. The seller benefits from increased sales volume, better inventory turnover, and improved cash flow.

In conclusion, a quantity discount is a strategic pricing approach used by businesses to incentivize customers to purchase larger quantities in a single order.

By offering reduced prices per unit for higher purchase volumes, both buyers and sellers can benefit from cost savings and increased sales, respectively.

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Assume the economy is currently in equilibrium at its full-employment level of output, the money market is in equilibrium, and the MPC O.75 a. Suppose there is an increase in government spending that causes aggregate demand to increase by $16 billion. Show the increase in aggregate demand on the graph

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The aggregate demand will increase by $64 billion due to the increase in government spending and the subsequent multiplier effect. In a graphical representation, this would be shown as a shift of the aggregate demand curve to the right by $64 billion.

In an economy in equilibrium at its full-employment level of output with a money market in equilibrium, an increase in government spending will cause the aggregate demand to shift to the right.

With an MPC (marginal propensity to consume) of 0.75, this implies that when income increases, consumers will spend 75% of that additional income. Considering the increase in government spending by $16 billion, the total increase in aggregate demand will be determined by the multiplier effect.

The multiplier effect can be calculated using the formula:

Multiplier = 1 / (1 - MPC)

In this case, the multiplier would be:

Multiplier = 1 / (1 - 0.75) = 1 / 0.25 = 4

Now, multiply the initial increase in government spending by the multiplier to find the total increase in aggregate demand:

Total increase in aggregate demand = $16 billion * 4 = $64 billion

So, the aggregate demand will increase by $64 billion due to the increase in government spending and the subsequent multiplier effect. In a graphical representation, this would be shown as a shift of the aggregate demand curve to the right by $64 billion.

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How many USA job seekers visit indeed?

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According to a report by Indeed in 2019, the platform had over 250 million unique visitors per month worldwide, and 10 jobs were added to the site every second.


Indeed is a popular job search engine that aggregates job postings from various sources, including company websites and job boards. It is widely used in the USA and has become a go-to platform for job seekers. The platform offers a user-friendly interface, easy job search options, and helpful tools for resume creation, job alerts, and company reviews.

The number of job seekers visiting Indeed can vary based on a variety of factors, such as the economy, industry trends, and specific job searches. However, it is safe to say that Indeed remains a leading job search engine in the USA, attracting millions of job seekers every month.

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President Biden has been pushing a plan to "Build Back Better."
How can a fiscal policy like this create jobs? Can it really
work?

Answers

While there is no guarantee that the "Build Back Better" plan will work, the proposal's focus on investment in key sectors of the economy has the potential to create jobs and stimulate economic growth.

President Biden's "Build Back Better" plan is a comprehensive fiscal policy aimed at creating jobs and boosting economic growth. The plan focuses on investing in infrastructure, clean energy, education, and healthcare, all of which can create jobs in various sectors.

By investing in infrastructure, the plan aims to modernize and repair roads, bridges, and airports, which can create jobs in construction and related industries. Additionally, the plan proposes investing in clean energy, which can create jobs in the renewable energy sector. The plan also includes investments in education and healthcare, which can create jobs in these industries.

The success of the "Build Back Better" plan in creating jobs will depend on several factors, such as the level of investment, the effectiveness of implementation, and the overall state of the economy. However, similar fiscal policies in the past, such as the New Deal during the Great Depression, have shown that government investment in infrastructure and other areas can create jobs and boost economic growth.

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Which of the following is the approach intended to reduce a particular pollutant over an entire region by treating all sources as if they were beneath one bubble?
a. biodiversity
b. cap and trade
c. global compact
d. watershed

Answers

The approach intended to reduce a particular pollutant over an entire region by treating all sources as if they were beneath one bubble is cap and trade.

Cap and trade is a market-based approach that sets a limit or cap on the amount of pollutants that can be emitted and allows companies to trade allowances for those emissions. This incentivizes companies to reduce their emissions and rewards those who do so more efficiently. It is a popular approach for reducing greenhouse gas emissions and has been implemented in various regions and countries around the world. The definition of a pollutant is any substance or energy introduced into the environment that has harmful effects on living organisms and the natural environment.

A pollutant is any substance introduced into the environment that has a negative impact on air, water, or soil quality. Cap and trade is an environmental policy that sets a limit (cap) on the total amount of pollution allowed from all sources within a region. Companies can buy or sell (trade) pollution allowances, providing incentives to reduce emissions and promoting efficient resource use. This approach encourages overall regional pollution reduction while allowing flexibility for individual sources.

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