Answer:
See below
Explanation:
Given the above information, computation of quantity of the oven is seen below;
Inventory = flow rate × Flow time
Inventory = 3,859 units per hour × 10 minutes × 1 hour / 60 minutes
Research shows managers with Theory X assumptions are better than those with Theory Y assumptions at accomplishing organizational objectives and tapping the potential of employees.
a) true
b) false
Answer:
false
Explanation:
Theory X ad Y are theories about workers motivation and management. they were developed by Douglas McGregor in the 1960s in his book the human side of enterprise.
Assumptions of theory X
Workers dislike their work Workers would not work unless coercedWorkers have to be micromanagedWorkers need incentive to workTheory x encourages an authoritarian management style
Assumptions of theory Y
Workers enjoy their work workers need little or no incentive to workWorkers seek and take on responsibility Workers are more engaged in decision makingtheory y encourages a participative management style
Theory y's assumption are better than x in achieving the organisation's goal and tapping the potential of employees because it gives more room for workers to use their initiative.
The practice of intentionally targeting borrowers in poor or underserved areas with expensive high-cost loans is known as:
Answer:
Reverse redlining
Explanation:
Reverse redlining means the practice that target the neighborhood specially the non-white for the greater prices or lended the non-fair terms like lending used for predatory with respect to the subprime mortgage
So as per the given situation, it is the reverse redlining as it is targetted to the borrowers or the areas having high cost loans
So, the same should be considered
explain by means of a graph how Government can intervene in the market using subsidies as a means to increase output
Answer: See explanation
Explanation:
Subsidy refers to the amount of money which is given by the government to firms in order to increase production. Subsidy serves two main purpose which are to reduce price and to increase output.
Based on the diagram attached, the subsidy led to an increase in the supply of the good from S to S+ while the quantity of goods increased from Q to Q1.
Tammy is going on a 2-week vacation overseas. She is planning on taking two credit cards, and has notified her credit card issuers that she will be traveling with those credit cards. What should she do with her other credit cards while she is gone
Answer: Keep them safe in a deposit box
Explanation:
Since Tammy is going on a 2-week vacation overseas and she is planning on taking two credit cards, the thing to do with the other credit cards while she is gone is to keep them safe in a deposit box.
There's no need for him to cancel the cards. Also, the cards are not stolen and should not be reported stolen and he shouldn't give them to someone else in order to prevent fraud. He should keep the cards safely till he comes back.
What do you think is most difficult about buying golf clubs, and how can you make this easier for shoppers?
Answer:
the size
Explanation:
sizing charts dudeeeeeeeeeeeeee
g When ________, a competitive firm will produce and earn economic profits. Group of answer choices marginal revenue is rising marginal revenue
Answer:
marginal revenue is above average costs
Explanation:
Perfectly competitive market is the market where there are large no of buyer and sellers who sells and buys same kind of products . The Prices are decided by forces of demand and supply.
This price is equivalent to marginal revenue of one firm.
A profit maximising firm generates the quantity at the time when MR and MC curve intersect with each other. The firm could earn economic profit at the time when price pr marginal revenue is above average total cost
A company uses 30% common stock and 70% long-term debt to finance its operations. An increase in which one of the following will increase the capital structure weight of debt, all else equal?a. Number of bonds outstandingb. Market price of the common stockc. Book value of the outstanding shares of common stockd. Number of shares of stock outstanding
Answer:
a. Number of bonds outstanding
Explanation:
In the case when the firm wants to issue the new bonds but keeping the equity portion constant so the debt weight should increased from 70% to the higher weightage
So as per the given situation, the option a is correct as it also increased the number of outsanding bonds
Therefore the same is to be considered
Hence, the other options seems wrong
Mandy, an Adlerian group leader is helping group members to realize they have choices in their lives about which stimuli they pay attention to and remember. Mandy is employing which techniques?
Answer:
Push button
Explanation:
Organisms respond to stimuli in order to survive in their given environment. It is the ability to adjust to different environmental factors that are beneficial or detrimental.
For example a worm reflexively crawls towards moisture or a dog salivating when it perceives food.
Push button shows a person that they have choices in their lives about which stimuli they pay attention to and remember.
The more ______ country economies are, the greater the benefits of international diversification and the more these benefits are exploited by MNCs the more _____ country economies become. Group of answer choices Independent, egalitarian Correlated, interdependent. Developing, advanced Segmented, integrated.
Answer: Segmented, integrated.
Explanation:
International diversification refers to the process by which a company invest in other countries or regions apart from its home country. One main reason for this is for risk management.
The more (segmented) country economies are, the greater the benefits of international diversification and the more these benefits are exploited by MNCs the more (integrated) country economies become.
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Lizzie Corporation has provided the following information about one of its laptop computers: Date Transaction Number of Units Cost per Unit 1/1 Beginning Inventory 280 $ 980 5/5 Purchase 380 $ 1,080 8/10 Purchase 480 $ 1,180 10/15 Purchase 290 $ 1,230 During the year, Lizzie sold 1,200 laptop computers. What was ending inventory using the FIFO cost flow assumption
Answer:
the ending inventory using the FIFO cost flow assumption is $282,900
Explanation:
The computation of the ending inventory using the FIFO cost flow assumption is shown below;
But before that first we have to determine the ending inventory units i.e.
= 280 + 380 + 480 + 290 - 1,200
= 230 units
So, the ending inventory is
= 230 units × $1,230
= $282,900
Hence, the ending inventory using the FIFO cost flow assumption is $282,900
Allied Paper Products, Inc., offers a restricted stock award plan to its vice presidents. On January 1, 2021, the company granted 15 million of its $1 par common shares, subject to forfeiture if employment is terminated within two years. The common shares have a market price of $6 per share on the grant date.
Required:
1. Determine the total compensation cost pertaining to the restricted shares.
2. Prepare the appropriate journal entries related to the restricted stock through December 31, 2019.
Answer: See explanation
Explanation:
1. Determine the total compensation cost pertaining to the restricted shares.
This will be:
= 15 million × $6
= $90 million
2. Prepare the appropriate journal entries related to the restricted stock through December 31, 2022.
December 31, 2021
Dr Compensation expense = 90/2 = $45 million
Cr Paid-in capital—restricted stock = $45 million
December 31, 2022
Dr Compensation expense = $45 million
Cr Paid-in capital—restricted stock = $45 million
December 31, 2022
Dr Paid-in capital—restricted stock = $90 million
Cr Common stock = $15 million
Cr Paid-in capital—excess of par = $75 million
When workers present their grievancies
and
suggestions to management it is an example of
A Horizontal communication
B Diagonal communication
€ Upward communication
D Downward communication
Answer:
Upward communication
Explanation:
When workers present their grievances and suggestions to management it is an example of "Upward communication."
The above statement is true because Upward Communication is a form. of communication involving information process being passed from the lesser rank or classes of a structure to the higher ranks or classes of the same structure.
In management, it usually involves the passing of information from workers to supervisors, or supervisor to production manager, etc.
Entries for Bank Reconciliation The following data were accumulated for use in reconciling the bank account of Creative Design Co. for August 20Y6: Cash balance according to the company's records at August 31, $14,990. Cash balance according to the bank statement at August 31, $15,990. Checks outstanding, $3,040. Deposit in transit not recorded by bank, $2,440. A check for $270 in payment of an account was erroneously recorded in the check register as $720. Bank debit memo for service charges, $50. Journalize the entries that should be made by the company that (a) increase cash and (b) decrease cash.
Answer:
Creative Design Co.
Journal Entries:
a) increase cash:
Debit Cash $450
Credit Expenses $450
To correct an erroneously recorded check for $270 recorded as $720
b) decrease cash:
Debit Bank Service Charges $50
Credit Cash $50
To record direct bank service charges.
Explanation:
a) Data and Calculations:
Cash balance according to the company's records at August 31, $14,990.
Cash balance according to the bank statement at August 31, $15,990.
Checks outstanding, $3,040.
Deposit in transit not recorded by bank, $2,440.
A check for $270 in payment of an account was erroneously recorded in the check register as $720.
Bank debit memo for service charges, $50
Increase of cash:
Overstated check = $450 ($720 - $270)
Decrease of cash:
Bank service charges = $50
Cash Account Adjustment
Cash balance, August 31, $14,990
Overstated check = 450
Bank service charges = (50)
Adjusted cash account bal. $15,390
Bank Reconciliation Statement for the month ended August 31
Balance as adjusted cash account $15,390
Checks outstanding, $3,040
Deposit, uncredited by the bank (2,440)
Balance as per bank statement $15,990
Which of the following costs is not a component of manufacturing overhead of a bicycle manufacturer? Group of answer choices Indirect materials. Factory utilities. Bicycle wheels. Indirect labor. Property taxes on the manufacturing plant. g
Answer:
Bicycle wheels
Explanation:
The following cost should be classified as the manufacturing overhead
1. Indirect materials
2. Indirect labor
3. Factory utilities
4. Property taxes
but the bicycle wheels should not be classified as the manufacturing overhead as it the direct material that directly related to the product
Therefore the bicycle wheel should be relevant
XYZ Ltd produces a product for which the annual demand is 10,000 units. Production averages 100 units per day, while demand is 40 units per day. Holding costs are $2.00 per unit per year, and setup cost is $200.00. If the firm wishes to produce this product in economic batches, what size batch should be used?
Answer: Batch size to be used =Economic batch size of 2,236 units
Explanation:
From the question, we have that
Annual demand (D) = 10,000 units
Setup cost (S) = $200
Holding cost (H) = $2 per unit per year
Daily production (p) = 100 units per day
Daily Demand (d) = 40 units per day
Therefore Economic batch size, Q will be calculated as
Q =[tex]\sqrt{2 x D x S / H x ( 1-d/p }[/tex]
Q= [tex]\sqrt{2 x 10,000 x 200 / 2 x ( 40/100)}[/tex]
Q=[tex]\sqrt{4,000,000/0.8 }[/tex]
Q=[tex]\sqrt{5,000,000}[/tex]
Q=2,236.067 rounded up to 2,236
Economic batch size =2,236 units
Ethelbert is a young software company owned by two entrepreneurs. It currently needs to raise $1,254,400 to support its expansion plans. A venture capitalist is prepared to provide the cash in return for a 40% holding in the company. Under the plans for the investment, the VC will hold 19,600 shares in the company and the two entrepreneurs will have combined holdings of 29,400 shares.
a. What is the total after-the-money valuation of the firm?
b. What value is the venture capitalist placing on each share?
Answer:
a. $3,136,000
b. $64 per share
Explanation:
The computation is shown below
a. The total after the money valuation is
= $1,254,400 ÷ 40%
= $3,136,000
b. The value that venture capitalist place on each share is
= $3,136,000 ÷ (19,600 ÷ 40%)
= $3,136,000 ÷ 49,000 shares
= $64 per share
Hence, the same should be considered
First National Bank charges 13.6 percent compounded monthly on its business loans. First United Bank charges 13.9 percent compounded semiannually. Calculate the EAR for First National Bank and First United Bank. (Do not round intermediate calculations and enter your answers as a percent rounded to 2 decimal places, e.g., 32.16.) As a potential borrower, which bank would you go to for a new loan
Answer:
First National EAR 14.48%
First United EAR 14.38%
Explanation:
Calculation to determine Calculate the EAR for First National Bank and First United Bank.
Using this formula
EAR = [1 + (APR / m)]m − 1
Let plug in the formula
First National EAR = [1 + (.136 / 12)]12 − 1
First National EAR= .1448*100
First National EAR=14.48%
First United EAR = [1 + (.139 / 2)]2 − 1
First United EAR = .1438*100
First United EAR = 14.38%
Therefore the EAR for First National Bank and First United Bank will be :
First National EAR 14.48%
First United EAR 14.38%
Sah Inc's last free cash flow was $1.75 million. Its free cash flow growth rate is expected to be constant at 25% for 2 years, after which free cash flows are expected to grow at a rate of 6% forever. Its weighted average cost of capital WACC is 12%. Huxley has $5 million in short-term investments and $7 million in debt and has 2 million shares outstanding. What is the best estimate of the current intrinsic stock price
Answer:
$40.64 per share
Explanation:
The computation of the best estimate of the current intrinsic stock price is given below;
Enterprise value is
= ($1.75 × (1.25)) ÷ (1.12)^1 + ($1.75 × (1.25)^2) ÷ (1.12)^2 + (($1.75 × (1.25)^2 × 1.06) ÷ 0.06) ÷ (1.12)^2
= $42.64 million
now
market cap = enterprise value - debt + investments
= $42.64 - $7 + $5
= $40.64 million
Now finally
price = $40.64 million ÷ 1million
= $40.64 per share
Suppose the downward sloping labor demand curve shifts rightward in a labor market with a single employer (monopsony). What happens to the equilibrium wage and level of employment in the market
Answer:
Equilibrium wage increaseLevel of employment increaseExplanation:
A shift rightward in the labor market of a single employer would imply that the employer wants more labor. They will therefore increase the wages that they are paying their labor to entice more labor and the level of employment in the industry will increase as the employer hires more people.
Graphically speaking, when the labor demand curve shifts right, it will intersect with the labor supply curve at a higher equilibrium wage. The quantity of labor will also increase as it goes to a new equilibrium point.
Journalize the entries to correct the following errors: a. A purchase of supplies for $115 on account was recorded and posted as a debit to Supplies for $482 and as a credit to Accounts Receivable for $482. (Record the entry to reverse the error first.) If an amount box does not require an entry, leave it blank.
Answer:
Dr Account Receivable $482
Cr Supplies $482
Dr Supplies $115
Cr Account Receivable $155
Explanation:
Preparation of the journal entries to Record the entry to reverse the error first.
Dr Account Receivable $482
Cr Supplies $482
Dr Supplies $115
Cr Account Receivable $155
(To Record the entry to reverse the error first)
Interest rates and the price of old or existing bonds are Group of answer choices There is not enough information to answer the question. sometimes directly related and sometimes inversely related. independent of each other. inversely related. directly related.
Answer:
inversely related.
Explanation:
A bond can be defined as a debt or fixed investment security, in which a bondholder (investor or creditor) loans an amount of money to the bond issuer (government or corporations) for a specific period of time. The bond issuer are expected to return the principal (face value) at maturity with an agreed upon interest (coupon), which are paid at fixed intervals.
An interest rate can be defined as an amount of money that is charged as a percentage of the total amount of money borrowed or securities purchased from an individual or a financial institution.
Generally, there exist an inverse relationship between bonds and interest rates.
Interest rates and the price of old or existing bonds are inversely related. Thus, an increase in the interest rate (cost of borrowing an amount of money rises) causes a fall or decrease in the price of bonds.
Net sales $ 229,234 $ 215,639 Cost of sales 141,048 131,376 Research and development expenses 11,581 10,045 Selling, general, and administrative expenses 15,261 14,194 Operating income ? ? Other income, net ? 1,348 Provision for income taxes 15,738 ? Net income $ 48,351 $ 45,687
Answer:
Net sales $ 229,234 $ 215,639
Cost of sales 141,048 131,376
Research and development expenses 11,581 10,045
Selling, general, and administrative expenses 15,261 14,194
Operating income 61,344 60,024
Other income, net 2,745 1,348
Provision for income taxes 15,738 15,685
Net income $ 48,351 $ 45,687
Explanation:
a) Data and Calculations:
Net sales $ 229,234 $ 215,639
Cost of sales 141,048 131,376
Research and development expenses 11,581 10,045
Selling, general, and administrative expenses 15,261 14,194
Operating income ? ?
Other income, net ? 1,348
Provision for income taxes 15,738 ?
Net income $ 48,351 $ 45,687
Operating income = Net sales minus (Cost of sales + R&D expenses, + Selling, general, and administrative expenses)
Other income, net = Net income + Provision for income taxes - Operating income
Provision for income taxes = Operating income + Other income - Net income
ranson Inc. has sold product to the Brandywine Company, a major customer, for $20,000. As a courtesy to Brandywine, Branson has agreed to take a note due in two years for half of the amount due. a. What is the effective price of the transaction to Branson if the interest rate is. (1) 6%, (2) 8%, (3) 10%, or (4) 12%
Answer: See explanation
Explanation:
The effective price of the transaction to Branson based on the interest rate given will be:
1. PV = FV [PVF6,2] = $10,000(0.89) = $8,900
Therefore, $8,900 + $10,000 = $18,900
Effective Discount will be:
= (20000 - 18900) / 20000 × 100
= 1100/20000 × 100
= 0.055
= 5.5%
2) PV = FV [PVF8,2] = $10,000(0.8573) = $8,573
Therefore, $8,573 + $10,000 = $18,573
Effective Discount will be:
= (20000 - 18573)/20000 × 100
= 1427/20000 × 100
= 0.07135
= 7.135%
3) PV = FV [PVF10,2] = $10,000(0.8264) = $8,264
Therefore, $8,264 + $10,000 = $18,264
Effective Discount will be:
= (20000 - 18264)/20000 × 100
= 1736/20000 × 100
= 0.0868 × 100
= 8.68%
4) PV = FV [PVF12,2] = $10,000(0.7972) = $7,972
Therefore, $7,972 + $10,000 = $17,972
Effective Discount will be:
= (20000 - 17972)/20000 × 100
= 2028/20000 × 100
= 0.1014 × 100
= 10.14%
Your manager recently gave you the responsibility of selecting the next project, which you will manage as the project manager. There are currently 3 projects on hold to choose from. Using the weighted scoring models method, you determine that Project A has a weighted score of 16, Project B has a weighted score of 14, and Project C has a weighted score of 17. Which project do you choose and why?
Answer: Project C will be chosen.
Explanation:
The weighted scoring model refers to the project management technique that is used for weighing decisions, like prioritizing project actions, purchasing new software etc.
From the weighted score of the three projects that were given, project C has the highest score of 17, therefore it should be selected.
The factors that are vital to an organization are given importance to using this method which will help the organisation achieve their aims and make decisions. Since project C has the highest weighted score, it should be chosen.
The project that should be selected is Project C.
The followings things should be considered:
If we can the weighted score so the Project C contains the maximum i.e. 17.Also, the weighted scoring method provides significant with respect to the factors that depend upon the revenue, urgency, timing, security, etc.So, if we select the project with having high weighted score so it helps the company for realizing more value comes from the project.Therefore we can conclude that the project that should be selected is Project C.
Learn more about the score here: brainly.com/question/15368298
You purchase a call option on Swiss Francs (SF) for a premium of $.02, with an exercise price of $1.0325. The option will not be exercised until the expiration date, if at all. If the spot rate on the expiration date is $1.0072, your net profit/loss on one contract containing 10,000 SF units. will be: Group of answer choices $53 -$53 $200 -$200 $530
Answer:
$53
Explanation:
Payoff of the option = Strike price - Stock price at end
Payoff of the option = $1.0325 - $1.0072
Payoff of the option = $0.0253
Profit from the option = Payoff - Premium paid
Profit from the option = $0.0253 - $0.02
Profit from the option = $0.0053
Net profit/loss on one contract containing 10,000 SF units will be:
= 10,000 SF units * $0.0053
= $53 Profit
A patent gives the inventor Multiple Choice property rights for 10 years. the right to keep the patented process but not the product for five years. the right to use the invention until development costs are recouped. exclusive right to manufacture, exploit, use, and sell the invention for a given time period.
Answer:
Explanation:
famoys
Use the following information for Shafer Company to compute inventory turnover for year 2.
Year 2 Year 1
Net sales $657,500 $584,900
Cost of goods sold 390,500 361,040
Ending inventory 79,700 81,380
Answer:
4.85 times
Explanation:
The computation of the inventory turnover for the year 2 is shown below:
we know that
Inventory turnover = Cost of goods sold ÷ Average inventory
Here,
Average inventory is
= ($79,700 + $81,380 ÷ 2)
= $80,540
So,
The Inventory turnover is
= $390,500 ÷ $80,540
= 4.85 times
Introduction to the future value of money Aa Aa Under the concepts of the time value of money, you can determine the future value of an amount invested today that will earn a given interest rate over a given amount of time. This technique can be used to calculate the future value of (1) a single receipt or payment made or (2) a series of receipts or payments Dakota and Gabriella are sitting together, with their notebooks and textbooks open, at a coffee shop. They've been reviewing the latest lecture from Dr. Phillips's financial management class by asking each other questions. Today's topic addressed the calculation of future values for both simple and compound interest-earning accounts. Complete the missing information in the conversation that follows. Round your final answer to all computations to two decimal places. However, if you compute any interest factors as an intermediate step in your calculations, round them to four decimal places Dakota So, why is it important to be able to calculate the future value of some amount invested? Gabriella First, remember that the amount invested is usually called and the amount earned during the investment period is called calculate a future value so that you can know in advance what a given amount of principal will be worth after earning a specified It is important to be able to for a known Dakota OK, I understand that, and I know the amount of principal invested today can be called the value of the investment, whereas the amount realized after the passage of t period of value. But what causes the present and future values to be different time is called its values? Gabriella Two things cause the present and future values to be different amounts. First, the earned during the investment period causes the future value to be greater than, equal to, or less than the present value. Second, the method used to calculate the interest earned-that is, whether the account pays amount by which the future value differs from the present value interest-determines the
Asteroid Industries accumulated the following cost information for the year: Direct materials $ 15,100 Indirect materials 3,100 Indirect labor 7,600 Factory depreciation 11,900 Direct labor 36,100 Using the above information, total factory overhead costs equal:
Answer:
the total factory overhead cost is $22,600
Explanation:
The computation of the total factory overhead is shown below:
Factory overhead is
= Indirect material + Indirect labour + Factory depreciation
= $3,100 + $7,600 + $11,900
= $22,600
basically we added the above three items so that the total factory overhead cost could come
hence, the total factory overhead cost is $22,600