Terry transfers two assets to a partnership on the day it’s created for a 60% partnership interest worth $120,000. She contributed cash = $80,000 and equipment worth $40,000 with an adjusted basis = $16,000. What result?
a.Terry realizes and recognizes a $24,000 gain
c.Terry realizes but does not recognize a $24,000 gain
b.Terry neither realizes nor recognizes any gain
d.Terry does not realize but may elect to recognize a $24,000 gain

Answers

Answer 1

The result of Terry transferring two assets to a partnership on the day it’s created for a 60% partnership interest worth $120,000 with a cash contribution of $80,000 and equipment worth $40,000 with an adjusted basis of $16,000 is that Terry realizes but does not recognize a $24,000 gain.

Option C is the correct answer. Realized gain is defined as the amount that a taxpayer gains from the sale or exchange of property. When an asset is sold or exchanged for more than its adjusted basis, a realized gain occurs. Terry has contributed $40,000 in equipment with an adjusted basis of $16,000. Therefore, Terry has a $24,000 realized gain ($40,000 – $16,000). Terry does not, however, recognize the $24,000 gain.

A gain is recognized when it is included in gross income.

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Related Questions

How is surplus value transformed into capital, and how is this
related to the process of capital accumulation?

Answers

Surplus value is the additional value created by workers during the production process that exceeds their wages. It is the difference between the total value of the goods or services produced and the cost of the labor power required to produce them.

The transformation of surplus value into capital is a fundamental concept in Marxist economics, which explains how the capitalist mode of production functions.

Surplus value is transformed into capital through the process of capital accumulation. Capital accumulation refers to the reinvestment of surplus value into the means of production in order to expand and increase the scale of capitalist enterprises. This process has several key steps:

1. Extraction of surplus value: Capitalists appropriate the surplus value created by workers through the ownership of the means of production. Workers are paid wages that correspond to the value of their labor power, but their labor generates additional value that goes to the capitalist as profit.

2. Investment in means of production: Capitalists reinvest a portion of the surplus value back into the means of production, such as machinery, technology, factories, and raw materials. By expanding and improving the means of production, capitalists aim to increase productivity and output.

3. Expanding production: With the improved means of production, capitalists can produce more goods or services. This increased production generates more surplus value because workers continue to create more value than they receive in wages.

4. Reinvestment of surplus value: The surplus value generated from expanded production is reinvested again in the means of production. This cycle of reinvestment and expansion leads to a continuous accumulation of capital.

5. Capitalist control and ownership: As capital accumulates, capitalists gain more control and ownership over the means of production, further consolidating their power and influence over the economy.

The process of surplus value transformation into capital and capital accumulation is a central feature of capitalism. It drives the continuous expansion of production, profits, and wealth in the hands of the capitalist class while reinforcing the class division between capitalists and workers. It is also associated with the growth of inequality, as the accumulation of capital tends to concentrate wealth and power in the hands of a few.

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: An analysis of transactions for Oriole Company, a certified public accounting firm, for the month of August is as follows. Assume that August is the company's first month of business. Assets Liabilities + Stockhol Accounts Accounts Common Cash = + Receivable + Supplies + Equipment Payable + Stock + Revenues Expense $14,500 $14,500 - 1,000 $4,500 $3,500 -700 $700 5,200 $3,500 $8,700 -1,000 -1,000 -2,200 -650 350 -350 -4,200 400 1. 2. 3. 5. 6. 7. 8. 9. 10. -$65 -4,20 -40 Stockholders' Equity Retained Earnings - Expenses - Dividend -$650 -4,200 -400 -$2,200 Service Revenue Rent Expense Salaries/Wages Expense Utilities Expense Prepare an income statement for August. Revenues Service Revenue Expenses Rent Expense Salaries and Wages Expense Utilities Expense Total Expenses Net Income /(Loss) Oriole Company Income Statement For the Month Ended August 31, 2022 650 i i 4,200 400 LA +A 8,700 5,250 i 3,450 Your answer is partially correct. Prepare an retained earnings statement for August. (List items that increase retained earnings first.) Oriole Company Retained Earnings Statement For the Month Ended August 31, 2022 Retained earnings, August 1 3,450 Add : Expenses 5,250 8,700 Less Revenues 8,700 Retained earnings, August 31

Answers

To prepare the income statement for Oriole Company for the month of August, we need to calculate the total revenues and expenses based on the given information.

The income statement summarizes the revenues and expenses incurred by Oriole Company during the month of August. Using the provided information, we can calculate the total revenues and expenses as follows:Revenues: Service Revenue = $650 Expenses: Rent Expense = $4,200 Salaries and Wages Expense = $400 Utilities Expense = $2,200

To prepare the income statement, we subtract the total expenses from the total revenues: Revenues: Service Revenue = $650. Expenses: Rent Expense = $4,200 , Salaries and Wages Expense = $400, Utilities Expense = $2,200, Total Expenses = $4,200 + $400 + $2,200 = $6,800, Net Income/(Loss) = Total Revenues - Total Expenses,Net Income/(Loss) = $650 - $6,800 = -$6,150. Therefore, the income statement for Oriole Company for the month of August would be as follows:

Oriole Company Income Statement, For the Month Ended August 31, 2022,Revenues: Service Revenue: $650, Expenses: Rent Expense: $4,200,Salaries and Wages Expense: $400,Utilities Expense: $2,200,Total Expenses: $6,800,Net Income/(Loss): -$6,150. Please note that the income statement only includes the information provided and assumes no additional revenue or expense items.

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What has the greatest influence on shaping personality?
Question 14 options:
A)
the person and the situation
B)
genetics and environment
C)
consequences of behaviour and the e

Answers

The personality of an individual is not developed by a single factor, but it is shaped by several factors including genetics, environment, and the person’s own behaviors and choices.

The personality of an individual is not developed by a single factor, but it is shaped by several factors including genetics, environment, and the person’s own behaviors and choices. However, the factor that has the greatest influence on shaping personality is genetics and environment. The reason behind this is that personality is a complex combination of genetic and environmental factors that can influence an individual’s thoughts, feelings, and behaviors. Genetics plays a significant role in shaping personality. Studies have shown that individuals inherit certain personality traits from their parents, which means that genetics can influence an individual’s personality to a significant degree. For example, traits such as introversion or extraversion, agreeableness, and conscientiousness have been found to have a genetic component. However, it is important to note that genetics is not the only factor that shapes personality.Environmental factors also play an essential role in shaping personality. The environment in which an individual grows up in can have a significant impact on the development of personality. For example, if a child grows up in a household where they are constantly exposed to violence, it can shape their personality in a way that makes them more aggressive or withdrawn as they get older. Similarly, if a child grows up in a supportive and nurturing environment, they may develop a personality that is more positive and outgoing.However, it is important to note that personality is not entirely shaped by genetics or environment. The choices and behaviors of an individual also play a role in shaping their personality. The consequences of an individual's behaviors can reinforce certain personality traits and weaken others. In conclusion, the greatest influence on shaping personality is genetics and environment, and both of these factors can work together to shape an individual's personality.

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On your own words, create a holistic joke related to statistics
and probability?

Answers

Why did the statistician bring a ladder to the casino? Because they heard the odds were stacked against them!

How did the statistician challenge the casino?

The statistician, well aware of the principles of probability, decided to take on the casino with a unique approach. Armed with their trusty ladder, they intended to level the playing field. In the world of statistics, probability plays a crucial role in determining outcomes, and the statistician was determined to manipulate the odds in their favor.

By bringing a ladder, they aimed to literally "climb the odds" and gain an advantageous position. Their bold strategy demonstrated the understanding that in statistical analysis, the outcome can be influenced by careful calculations and strategic moves. While the casino may have had the odds stacked against regular gamblers, the statistician intended to tilt the scales in their own favor, relying on their knowledge of probability to turn the game around.

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Based on your knowledge of our 3-sector economy, how does the
nonprofit sector compare with the commercial, governmental, and the
family sector?

Answers

The nonprofit sector differs from the commercial, governmental, and family sectors in several key ways.

Firstly, the nonprofit sector is primarily driven by a mission to serve the public interest or address a specific social or environmental need, rather than generating profit like the commercial sector. Nonprofit organizations often rely on donations, grants, and fundraising efforts to sustain their operations.

Secondly, the nonprofit sector operates independently from government control, unlike the governmental sector, which is directly involved in public administration and governance. Nonprofit organizations are governed by their own boards of directors and are accountable to their stakeholders, donors, and the communities they serve.

Thirdly, while the family sector represents the realm of personal and familial relationships, the nonprofit sector focuses on providing services and support to the broader community. Nonprofit organizations work towards the betterment of society by addressing social issues, promoting education, advancing healthcare, supporting the arts, and more.

Lastly, the nonprofit sector often collaborates and works in partnership with both the commercial and governmental sectors to achieve common goals. They may receive funding or support from businesses and government agencies, and they often play a complementary role in delivering social services and advocating for policy changes.

Overall, the nonprofit sector plays a vital role in addressing social needs and promoting the well-being of communities, operating distinctively from the commercial, governmental, and family sectors.

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The following transactions relate to Philip's enterprise for the month of January, 2021. 1. Mr. Anim deposits $25,000 in a SCB in the name of Debridge Ltd in return for shares of stock in the corporation. 2. Debridget Ltd exchanged $21,000 for land. During the month, Debridget Ltd purchased supplies for $1,350 and agreed to pay the supplier in the near future (on account). 3. Debridget provided services to customers, earning fees of $7,500 and received the amount in cash. 7700 4. Debridget paid the following expenses: wages, $2,125; rent, $800; utilities, $450; and miscellaneous, $275. 5. Debridget Ltd paid $950 to creditors during the month. 6. At the end of the month, the cost of supplies on hand is $800, so $550 of supplies were used or sold. 7. At the end of the month, Debridget Ltd pays $2,000 to stockholders. ?RD.
Previous question

Answers

In January 2021, Debridge Ltd received a $25,000 investment from Mr. Anim in exchange for stock. They also purchased land for $21,000 and supplies for $1,350 on account.

They earned $7,500 in fees and received cash. Expenses paid were wages ($2,125), rent ($800), utilities ($450), and miscellaneous ($275). They paid $950 to creditors and had $550 worth of supplies used or sold. At the end of the month, they paid $2,000 to stockholders.

Explanation:

During January 2021, Debridge Ltd engaged in various financial transactions. They received a $25,000 investment from Mr. Anim, which increased their capital through the issuance of stock. Additionally, they acquired land for $21,000, expanding their fixed assets. They also purchased supplies worth $1,350, agreeing to pay the supplier in the future.

Debridge Ltd provided services to customers and received $7,500 in fees, which they received in cash. They also incurred several expenses: wages ($2,125), rent ($800), utilities ($450), and miscellaneous expenses ($275).

To fulfill their obligations, Debridge Ltd paid $950 to their creditors during the month. They determined that $550 worth of supplies were either used or sold, leaving $800 worth of supplies on hand at the end of the month.

Finally, at the end of January, Debridge Ltd distributed $2,000 to its stockholders, reducing its retained earnings or accumulated profits.

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Prime Corporation (Prime) is in the business of manufacturing furniture. Because the industry has matured, Prime is considering adding a new product line, manufacturing plastic products such as cases for compact discs. No director will have a personal interest in the decision to expand into those lines, (20%) To avoid liability for making a poor decision, what standard of conduct should Prime's board of directors comply with? What must the board do to comply with that standard? Discuss fully. Edit Format Table 12ptParagraph В І САУ 2 тур issue: Is this the the best choice of the corporation? rule: I application: conclusion

Answers

The board must abide by the business judgement rule because there are no conflicts of interest on the board.

The board must decide in the best interests of the company after conducting a reasonable investigation into the new product lines. To do this, the board must make a decision that is rationally related to the facts revealed by the reasonable investigation.

Courts should respect the business judgements of firm leaders, according to the business judgement rule, a corporate law principle developed from case law. The premise that "directors of a firm... are endowed with [the] presumption, which law offers to them, of being [in their behaviour by a bona genuine regard for interests of the business whose affairs stockholders have committed to their charge, is the cornerstone of it. The rule is present in some form in the majority of common law countries, including the United States, Canada, Wales, and Australia.

The burden of establishing that the board of directors' actions in a corporation violated one of the three tenets of their fiduciary duty—good faith, loyalty, or due care—in reaching the contested decision rests with the plaintiff.

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how to get amazon deliveries to follow directions to leave on front porch and not on the ground at side door?

Answers

To ensure Amazon deliveries follow specific instructions, you can leave clear delivery instructions in your account settings or communicate directly with the delivery driver.

What is Amazon Delivery?

Amazon Delivery refers to the delivery service provided by Amazon, the multinational technology and e-commerce company.

It encompasses the transportation and distribution of packages from Amazon fulfillment centers to customers' designated delivery locations.

Amazon offers various delivery options, including standard delivery, expedited shipping, same-day delivery, and even delivery by drones in select areas.

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In divisional income statements prepared for Demopolis Company, the Payroll Department costs are charged back to user divisions on the basis of the number of payroll distributions, and the Purchasing Department costs are charged back on the basis of the number of purchase requisitions. The Payroll Department had expenses of $71,136, and the Purchasing Department had expenses of $29,500 for the year. The following annual data for Residential, Commercial, and Government Contract divisions were obtained from corporate records:
Residential Commercial Government Contract
Sales $ 617,000 $ 817,000 $ 1,876,000 Number of employees:
Weekly payroll (52 weeks per year) 180 65 70 Monthly payroll 36 47 34 Number of purchase requisitions per year 2,100 1,500 1,400 Required:
a. Determine the total amount of payroll checks and purchase requisitions processed per year by the company and each division.
Residential Commercial Government Contract Total
Number of payroll checks: Weekly payroll × 52 fill in the blank 1 fill in the blank 2 fill in the blank 3 Monthly payroll × 12 fill in the blank 4 fill in the blank 5 fill in the blank 6 Total fill in the blank 7 fill in the blank 8 fill in the blank 9 fill in the blank 10
Number of purchase requisitions per year fill in the blank 11 fill in the blank 12 fill in the blank 13 fill in the blank 14
b. Using the cost driver information in (a), determine the annual amount of payroll and purchasing costs allocated to the Residential, Commercial, and Government Contract divisions from payroll and purchasing services. Do not round interim calculations. Round your answers to two decimal places.
Support department allocation rates:
Payroll Department $fill in the blank 15 per distribution
Purchasing Department $fill in the blank 16 per requisition
Residential Commercial Government Contract Total
Support department allocations:
Payroll Department $fill in the blank 17 $fill in the blank 18 $fill in the blank 19 $fill in the blank 20
Purchasing Department fill in the blank 21 fill in the blank 22 fill in the blank 23 fill in the blank 24
Total $fill in the blank 25 $fill in the blank 26 $fill in the blank 27

Answers

a. Number of purchase requisitions per year 2,100 1,500 1,400 5,000. b. Total $100,493.20 $100,493.20 $100,493.20 $301,479.60

a. Determine the total amount of payroll checks and purchase requisitions processed per year by the company and each division.

Residential Commercial Government Contract Total

Number of payroll checks: Weekly payroll × 52 9,360 3,380 3,640 16,380 Monthly payroll × 12 432 564 408 1,404

Total 9,792 3,944 4,048 17,784

Number of purchase requisitions per year 2,100 1,500 1,400 5,000

b. Using the cost driver information in (a), determine the annual amount of payroll and purchasing costs allocated to the Residential, Commercial, and Government Contract divisions from payroll and purchasing services. Do not round interim calculations. Round your answers to two decimal places.

Support department allocation rates:

Payroll Department $71,136 / 16,380 = $4.34 per distribution

Purchasing Department $29,500 / 5,000 = $5.90 per requisition

Residential Commercial Government Contract Total

Support department allocations:

Payroll Department $4.34 × 16,380 $70,993.20 $70,993.20 $70,993.20 $212,979.60

Purchasing Department $5.90 × 5,000 $29,500.00 $29,500.00 $29,500.00 $88,500.00

Total $100,493.20 $100,493.20 $100,493.20 $301,479.60

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Each student is required to write up a project report on any topic(s)* related to this course. Use what you have learned from this course to analyze and/or to comment on any OB- related issues that happened within the last 3 years of an organization and then make recommendations to it for improvements [or you may compare two organizations on the same issue(s) and then make recommendations to them for improvements]. OR You may examine the impacts of Covid-19 on any industry or organizations in general for both employers and employees using OB theories and concepts. You should then draw recommendations for employers on how to deal with the impacts that have been identified. * You can write on any OB-related topic not taught in this course. If you are not sure whether your interested topic is relevant or not, you can seek advice from your instructor. The length of the report should not exceed 1,500 WORDS (excluding words for title page, table of contents, reference list, and appendices, if any). There is a 10% penalty (10 marks

Answers

This project report focuses on analyzing the impacts of the COVID-19 pandemic on organizations and their employees, using theories and concepts from organizational behavior (OB). It highlights the challenges faced by employers and employees during this crisis and provides recommendations for employers to effectively deal with these impacts.

The COVID-19 pandemic has significantly affected organizations and their employees worldwide. Employers have faced numerous challenges, including transitioning to remote work, ensuring employee well-being, and maintaining productivity and motivation in a virtual environment.

Employees, on the other hand, have experienced increased stress, isolation, and work-life balance issues. To address these impacts, employers can implement strategies such as enhancing communication and collaboration tools, providing resources for remote work setup, and promoting employee well-being through flexible work arrangements and mental health support. Additionally, fostering a culture of empathy, understanding, and resilience can help organizations navigate the challenges posed by the pandemic effectively.

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McKinsey provides consultancy services to large and medium size organizations. Should it go for Skimming pricing method, penetration pricing method or going-rate method? If you have any other method to suggest, please provide the same with reasons to do the same.

Answers

McKinsey, a leading consulting firm, offers its consultancy services to both large and medium-sized organizations. In order to price their services, they can use a variety of pricing strategies such as Skimming pricing method, penetration pricing method or going-rate method, or any other suitable method.

The Skimming pricing method is when a company initially sets a high price for its new product or service in order to take advantage of the novelty factor and maximize profits, followed by reducing the price gradually once the market becomes more competitive.

Skimming pricing method would not be suitable for them.Penetration pricing method is when a company sets a lower price for its product or service in order to attract a larger customer base. This strategy is suitable for McKinsey since they can attract a larger customer base by offering their services at a lower rate, which would increase their market share and customer base, leading to more profits in the long run.

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U.S. levels of RSD spending have been between 2.1% and 2.8% of GDP since the 1960s, but have shown dramatic increases in recent decades. A True B False

Answers

The statement "U.S. levels of R&D spending have been between 2.1% and 2.8% of GDP since the 1960s, but have shown dramatic increases in recent decades" is true. The United States (U.S.) has been a world leader in research and development (R&D) investment for decades.

The federal government has funded a large proportion of this investment since the mid-1900s.The government spending on research and development has increased in the U.S since the 1960s and this spending has increased by up to 6.5% of GDP in 2015.

However, this growth has not been consistent over the years. For example, government spending on research and development declined from 1970 to 1995. Furthermore, as a percentage of GDP, the U.S. level of R&D spending has been between 2.1% and 2.8% since the 1960s. Nonetheless, the country's investments in R&D have increased significantly in recent decades.

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Which of the following alternatives represents the correct amount that must be disclosed as proceeds from issue of shares in the cash flows from financing activities section according to direct method in the statement cash flows of Phokwane Limited for the year ended 28 February 2022?
a. (34 300)
b. 34 300
c. (68 800)
d. 68 800
e. 0

Answers

The correct option is (b) 34 300

The amount that must be disclosed as proceeds from issue of shares in the cash flows from financing activities section according to direct method in the statement cash flows of Phokwane Limited for the year ended 28 February 2022 is option (b) 34 300.

Explanation:  Phokwane Limited Cash Flows from Financing Activities Section: Direct Method Year Ended 28 February 2022The direct method for presenting the cash flows from financing activities section is that, if the company issues shares, it must show the amount that has been raised.

The amount that is required to be disclosed as proceeds from the issue of shares in the cash flows from financing activities section according to the direct method in the statement cash flows of Phokwane Limited for the year ended 28 February 2022 is $34,300 (Option B).

Hence, the correct option is (b) 34 300.\

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Suppose that Yt follows the stationary AR (1) model Y₁ = 2.5 +0.7Y₁-1 + t, where & is i.i.d. with E(&t) = 0 and Var(t) = 9. a) Compute the mean and variance of Y b) Compute the first two autocovariances of Yt c) Compute the first two autocorrelations of Y d) Suppose that YT = 102.3. Compute YT+1\T Yr+1r = E(Yr+1|Yr,Yr-1,…)

Answers

a) Mean of Yt is 3.75 and variance is 8.1. b) The first two autocovariances of Yt are Cov(Yt, Yt-1) = 0.7 * Var(Yt) and Cov(Yt, Yt-2) = 0.7 * Cov(Yt-1, Yt-1). c) The first two autocorrelations of Yt are ρ₁ = 0.7 and ρ₂ = 0.7 * ρ₁.

a) To compute the mean of Yt, we substitute Yt-1 with its expected value and solve: E(Yt) = 2.5 + 0.7 * E(Yt-1) + E(t), which gives E(Yt) = 3.75. The variance of Yt is Var(Yt) = Var(2.5 + 0.7Yt-1 + t) = Var(t) = 9.

b) The first autocovariance is Cov(Yt, Yt-1) = Cov(2.5 + 0.7Yt-1 + t, Yt-1) = 0.7 * Var(Yt) = 0.7 * 9. The second autocovariance is Cov(Yt, Yt-2) = Cov(2.5 + 0.7Yt-1 + t, Yt-2) = 0.7 * Cov(Yt-1, Yt-1).

c) The first autocorrelation is obtained by dividing the first autocovariance by the variance: ρ₁ = Cov(Yt, Yt-1) / Var(Yt) = 0.7 / (3.75 + 0.7² * 8.1). The second autocorrelation is ρ₂ = 0.7 * ρ₁.

d) Given Yt = 102.3, to compute YT+1|T(Yr+1|Yr,Yr-1,…), we substitute the known values into the AR(1) equation: Yr+1 = 2.5 + 0.7Yr + t. Since Yt+1 only depends on Yt, we can use Yt = 102.3 to estimate the conditional expectation E(Yt+1|Yt) = 2.5 + 0.7 * 102.3.

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The direct materials budget shows the following: Units to be produced 2000 Direct materials pounds required for production 9000 Direct materials pounds to be purchased 9900 What are the direct materials per unit? O Cannot be determined from the data provided 0 4.50 pounds O 0.45 pounds O 4,95 pounds The direct materials budget shows the following Desired ending direct materials Direct materials required for production 28000 pounds 109000 pounds Beginning direct materials 15200 pounds The total quantity of direct materials to be purchased is 0 137000 pounds O 121800 pounds. 124200 pounds. 96200 pounds

Answers

I’m not sure if you have any

To calculate the direct materials per unit, divide the total direct materials pounds required for production by the units to be produced.

Direct materials per unit = Direct materials pounds required for production / Units to be produced

In this case, the direct materials pounds required for production are 9,000 pounds, and the units to be produced are 2,000 units.

Direct materials per unit = 9,000 pounds / 2,000 units

= 4.50 pounds

Therefore, the direct materials per unit is 4.50 pounds.

To determine the total quantity of direct materials to be purchased, we need to consider the beginning direct materials, direct materials required for production, and desired ending direct materials.

Total quantity of direct materials to be purchased = Beginning direct materials + Direct materials required for production - Desired ending direct materials

In this case, the beginning direct materials are 15,200 pounds, the direct materials required for production are 109,000 pounds, and the desired ending direct materials are 28,000 pounds.

Total quantity of direct materials to be purchased = 15,200 pounds + 109,000 pounds - 28,000 pounds

= 96,200 pounds

Therefore, the total quantity of direct materials to be purchased is 96,200 pounds.

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In 250 words, discuss the use of standard costs in Managerial
Accounting. Illustrate how standard costs are useful in calculating
the price variance and quantity variance.

Answers

Standard costs in managerial accounting are predetermined costs used as benchmarks for evaluating actual costs and performance. They are useful in calculating the price variance and quantity variance.

Standard costs serve as benchmarks for evaluating actual costs and performance. They help in cost control and performance evaluation by comparing actual costs to predetermined costs. The price variance measures the difference between actual and standard prices, while the quantity variance measures the difference between actual and standard quantities. These variances provide insights into areas of cost deviations and resource utilization efficiency. Calculating and analyzing these variances allows managers to take corrective actions and make informed decisions to improve efficiency and profitability.

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Use a one-step binomial tree to explain the no-arbitrage and risk-neutral valuation of a European call option. Please provide a numerical example.

Answers

The theoretical price of the European call option is $4.76 to ensure that there is no arbitrage opportunity in the market.      

A one-step binomial tree is a simple model used to value derivatives such as options. It assumes that the underlying asset can only move up or down in value over a fixed period of time, with known probabilities for each movement. For a European call option, the holder has the right but not the obligation to buy the underlying asset at a predetermined price on a specific date .

The no-arbitrage assumption states that there cannot be a risk-free way to make a profit from trading in the option and underlying asset markets simultaneously. This implies that the price of the option must be such that any portfolio consisting of the option and the underlying asset would have the same return as a risk-free investment.

The risk-neutral valuation approach assumes that investors are indifferent to risk and evaluate investments based on their expected returns. In this approach, the expected return of an investment is discounted at the risk-free rate to determine its present value.

Consider an example where the current price of the underlying asset is $100, and it is expected to either increase by 20% or decrease by 10% in one year. The risk-free interest rate is 5%. The strike price of the European call option is $110, and its expiration date is one year from now.

To construct the one-step binomial tree, we assume that the underlying asset can either go up to $120 or down to $90 in one year, each with a probability of 0.5. We can calculate the expected value of the underlying asset at expiration as follows:

Expected value = (0.5 x $120) + (0.5 x $90) = $105

Next, we calculate the payoff of the European call option at expiration. If the underlying asset price is above the strike price of $110, then the option holder will exercise the option and buy the asset at the lower market price. If the underlying asset price is below the strike price, then the option holder will not exercise the option and let it expire worthless.

The payoff of the call option at expiration if the underlying asset goes up to $120 is ($120 - $110) = $10. If the underlying asset goes down to $90, the payoff is zero.

To calculate the risk-neutral value of the European call option today, we discount the expected payoff at the risk-free rate of 5%.

The risk-neutral value of the European call option today is:

Value = [(0.5 x $10)/(1+0.05)] + [(0.5 x $0)/(1+0.05)] = $4.76

Therefore, the theoretical price of the European call option is $4.76 to ensure that there is no arbitrage opportunity in the market.

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Describe your first impression of SAP
What types of skills are necessary to use this system?
Describe a possible error that SAP would catch throughout this
process (anything you could think of). Do no

Answers

SAP is a comprehensive enterprise software system, and initial impressions may vary. The necessary skills to use SAP include knowledge of business processes, technical proficiency, problem-solving abilities, and attention to detail. SAP has built-in error-checking mechanisms that can catch various types of errors, such as data inconsistencies, invalid entries, or unauthorized actions.

SAP, or Systems, Applications, and Products, is a complex enterprise software system that provides integrated solutions for various business functions such as finance, human resources, supply chain management, and customer relationship management. As an AI language model, I don't have personal experiences, but SAP's reputation is based on its capabilities and functionalities, which are highly regarded in the industry.

To effectively use SAP, individuals need a combination of technical and business skills. They should have a deep understanding of the organization's business processes and how SAP modules align with them. Technical proficiency in navigating the system, entering data, generating reports, and troubleshooting is essential. Problem-solving abilities are crucial for identifying and resolving issues that may arise during system usage. Attention to detail is important to ensure accurate data entry and adherence to system processes and guidelines.

SAP is designed with robust error-checking mechanisms to prevent and catch errors throughout the process. For example, it may include data validation rules to ensure data consistency and integrity. It can detect invalid entries, such as entering text in a numeric field, and provide error messages to prompt users to correct them. SAP also includes user authorization controls to prevent unauthorized actions or access to sensitive data. These built-in error-checking mechanisms help maintain data accuracy, system reliability, and adherence to business rules and policies.

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it would be better to have an open-ended contract between the
company and the government. Discuss the pros and cons of this
idea.

Answers

Having an open-ended contract between a company and the government can have both advantages and disadvantages. While it offers flexibility and adaptability to changing circumstances, it may also lead to uncertainty and potential risks. The pros and cons of this idea should be carefully evaluated before making a decision.

The pros of having an open-ended contract between a company and the government include flexibility and adaptability. Such a contract allows for adjustments and modifications as needed, enabling the company to respond to changing circumstances, market conditions, and technological advancements. It provides room for innovation and the ability to explore new opportunities without being bound by rigid contractual terms. Additionally, an open-ended contract can foster a long-term partnership between the company and the government, promoting collaboration and mutual trust. However, there are potential drawbacks to consider. One major disadvantage is the uncertainty and lack of clarity that comes with an open-ended contract. Without specific terms and boundaries, the company may face challenges in planning and budgeting, as well as in managing its resources effectively. Moreover, the absence of defined contractual obligations and timeframes may increase the risk of disputes and disagreements between the company and the government. The lack of clear performance metrics and accountability measures can also make it difficult to evaluate the success or failure of the contract. In conclusion, while an open-ended contract offers flexibility and adaptability, it also introduces uncertainty and potential risks. Before deciding on such a contract, careful consideration should be given to the specific context, nature of the project or partnership, and the level of trust and cooperation between the company and the government.

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If the economy has a cyclically adjusted budget surplus, this means that OA. the public sector is exerting a contractionary impact on the economy. O B. the public sector is exerting an expansionary im

Answers

A is correct: the public sector is exerting a contractionary impact on the economy when there is a cyclically adjusted budget surplus.

:

a. the public sector is exerting a contractionary impact on the economy.

a cyclically adjusted budget surplus refers to a situation where the government's budget, after accounting for the cyclical fluctuations in the economy, shows a surplus. this means that the government's revenues, primarily through taxes, exceed its expenditures, including both regular spending and automatic stabilizers.

having a cyclically adjusted budget surplus implies that the government is running a fiscal policy that is contractionary in nature. the surplus indicates that the government is reducing its net spending in the economy, which can have a contractionary impact by reducing aggregate demand. it is typically done to address inflationary pressures, reduce public debt, or create fiscal space for future expansionary policies.

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islamic banking and finance
name of different units under SCD of Albaraka bank? and write their
responsibilities

Answers

The different units under the Shari'ah Compliance Department (SCD) of Albaraka bank may vary depending on the specific organizational structure of the bank.

Here is an example of some common units found in Islamic banking and finance institutions and their responsibilities:

Shari'ah Advisory Unit: This unit consists of Islamic scholars who provide guidance and expertise on matters related to Shari'ah compliance in banking and finance. Their responsibilities include reviewing financial products, transactions, and operations to ensure they adhere to Islamic principles and ethics. They also provide fatwas (legal opinions) on specific issues and help in resolving any Shari'ah-related queries or concerns.Shari'ah Compliance Monitoring Unit: This unit is responsible for monitoring the bank's activities to ensure compliance with Shari'ah principles and guidelines. They conduct regular audits and reviews of processes, transactions, and contracts to identify any non-compliance issues. They work closely with other units and departments to address and rectify any non-compliant practices and ensure ongoing adherence to Shari'ah standards.Product Development and Structuring Unit: This unit focuses on the development, structuring, and customization of Islamic financial products and services. They collaborate with other departments, such as marketing and risk management, to design products that are compliant with Shari'ah principles while meeting customer needs. Their responsibilities include conducting feasibility studies, assessing the Shari'ah compliance of proposed product features, and ensuring proper documentation of product structures.Shari'ah Training and Awareness Unit: This unit is responsible for educating bank employees and stakeholders about Islamic banking principles, concepts, and practices. They conduct training programs, workshops, and awareness sessions to enhance understanding and awareness of Shari'ah-compliant banking. They may also provide training on specific topics, such as ethical investment, ethical financing, and ethical business practices in line with Islamic values.Shari'ah Research and Development Unit: This unit conducts research on emerging issues, trends, and developments in Islamic banking and finance. They analyze and evaluate new financial instruments, market practices, and regulatory changes to ensure compatibility with Shari'ah principles. Their findings and recommendations contribute to the bank's decision-making process and help in maintaining the bank's commitment to Shari'ah compliance.

It is important to note that the specific units and their responsibilities may vary across different Islamic banking institutions, and Albaraka bank may have its unique organizational structure within the Shari'ah Compliance Department (SCD) based on their specific requirements and operational setup.

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Which of the following statements is the best example of inelastic demand?
a.)
Tom chose the less expensive Common Scents brand candles rather than Scentsational brand.
b.)
Tom bought banners sold in town before; they were high quality, so he buys them there again, despite an increase in price.
c.)
​Tom followed the trend of others and purchased table cloths from an online website at a lower price.
d.)
Tom chose Pretty/Cheap disposable plates, which were $1 less than Notso Cheap brand.

Answers

The best example of inelastic demand among the given statements is  Tom bought banners sold in town before; they were high quality, so he buys them there again, despite an increase in price. The correct answer is option b.

Inelastic demand refers to a situation where a change in price of a good or service has a relatively small effect on the quantity demanded by consumers. In this case, Tom's purchase of the high-quality banners despite an increase in price shows that he values the quality of the banners more than the increase in price. This means that even if the price of the banners increases, Tom is likely to continue purchasing them, as he has already established a preference for the quality of the product.

On the other hand, option a shows that Tom chose the less expensive Common Scents candles over Scentsational brand, indicating that he is sensitive to price changes and will switch to a cheaper alternative if available.

Option c shows that Tom followed a trend and purchased tablecloths from an online website at a lower price, indicating that the price was the deciding factor rather than the quality or brand.

Option d shows that Tom chose Pretty/Cheap disposable plates over Notso Cheap brand, but only because they were $1 less, indicating that he was price-sensitive.

In conclusion, option b is the best example of inelastic demand as Tom is willing to pay a higher price for a product he values more, indicating a relatively low sensitivity to price changes.

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which component is the first subtotal listed on a classified balance sheet? multiple choice question. non-current assets

Answers

The component that is the first subtotal listed on a classified balance sheet is non-current assets.

A balance sheet, often known as a statement of financial position, is a document that summarizes a company's assets, liabilities, and equity at a given moment. It's broken down into two categories: current and non-current assets and liabilities. The first subtotal on a classified balance sheet is typically the total of the non-current assets category. Current assets are typically presented next after that.

Non-current assets are defined as assets that will not be converted into cash or utilized up within one year from the balance sheet date. Rather, they are items that are anticipated to produce revenue over a longer period of time. In a classified balance sheet, non-current assets are classified as property, plant, and equipment, intangible assets, and long-term investments.

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if net income is $2,700 and dividends are $8,500, how much is common stock?

Answers

Given that the net income is $2,700 and dividends are $8,500, the amount of common stock can be calculated as follows:Common stock is the total amount of stock issued by a corporation.

The common stock is issued as part of the shareholders' equity. Therefore, the formula for the shareholders' equity can be given as follows:Shareholders' equity = common stock + retained earnings + other comprehensive incomeFrom the formula for shareholders' equity, we can find the common stock.Common stock = shareholders' equity - retained earnings - other comprehensive incomeAs the other comprehensive income is not given, we can ignore it.Shareholders' equity = common stock + retained earningsShareholders' equity = $8,500 (dividends) - $2,700 (net income)Shareholders' equity = $5,800Therefore, the amount of common stock is $5,800.

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Gilgamesh is employed as a mid-range comptroller-an accounting and finance manager-working at an interior lighting design and manufacturing company. While preparing financial reports, Gilgamesh finds out the chief officers are committing tax fraud, falsifying accounts and financial records, and deceiving investors in a pyramid scheme using the company's resources. Gilgamesh decides to inform the authorities about the officers wrongful conduct. Which of the following is a true statement regarding Gilgamesh and their rights as an employee? Gilgamesh can only be fired if the employee handbook says whistle-blowing is banned. O Gilgamesh cannot be fired for being a whistle blower due to the public policy exception. Gilgamesh cannot be fired due to the implied-contract exception. Gilgamesh can be fired for no reason under the employment-at-will doctrine O Gilgamesh cannot be fired due to the implied covenant of good faith and fair dealing exception

Answers

The true statement regarding Gilgamesh and their rights as an employee in this situation is: Gilgamesh cannot be fired for being a whistleblower due to the public policy exception.

The public policy exception protects employees from retaliation or termination when they report illegal activities or wrongdoing by their employers. In this case, Gilgamesh is reporting tax fraud, falsification of accounts, and a pyramid scheme, which are all illegal activities. Whistleblower protection laws are designed to encourage employees to come forward with information about illegal activities without fear of reprisal.

While employment-at-will is a common doctrine in many jurisdictions, it does not override the public policy exception when it comes to protected whistleblowing activities. The implied-contract exception and the implied covenant of good faith and fair dealing exception may provide some additional protection in certain situations, but the public policy exception specifically addresses protection for whistleblowers reporting illegal activities.

Therefore, Gilgamesh cannot be fired for being a whistleblower due to the public policy exception.

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Describe the specific target or users of the project of Scotts
creek bridge's rehabilitation in Australia (NSW) , including:
Who would use it?
What would they use it for?
How would they use it?

Answers

The bridge is a vital infrastructure that is necessary to ensure the mobility of the commuters and the transportation system of the region. The rehabilitated bridge would provide a reliable, safe, and convenient mode of transportation for the commuters of the area.

The specific target or users of the project of Scotts creek bridge's rehabilitation in Australia (NSW) include the commuters and the transportation system of the region. Commuters, drivers, pedestrians, and bicyclists who regularly use the bridge would use it. The Scotts creek bridge project aims to provide a safe and convenient transportation system to the commuters and the transportation system of the region. The rehabilitated bridge would help the drivers and pedestrians to cross the Scotts creek safely. It would enable the transportation system of the area to work more efficiently. The project would make sure that the bridge is safe and meets the needs of the current traffic. The project would replace the old and dilapidated bridge with a new one. It would improve the safety and convenience of the transportation system of the region. The bridge would be used for the smooth flow of vehicles, bicycles, and pedestrians. The project would increase the capacity of the bridge, ensuring the reduction of traffic congestion. The rehabilitated bridge would improve the connectivity and mobility of the area.

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Scare-2-B-U (S2BU) specializes in costumes for all occasions. The average price of each of its costumes is $330. For each occasion, S2BU receives a 30 percent deposit two months before the occasion, 40 percent the month before, and the remainder on the day the costume is delivered. Based on information at hand, managers at S2BU expect to make costumes for the following number of occasions during the coming months. April May 40 30 June 15 July 50 August 45 September 120 Required: a. What are the expected revenues for S2BU for each month, April through September? Revenues are recorded in the month of the occasion. b. What are the expected cash receipts for each month, April through July? Complete this question by entering your answers in the tabs below. Required A Required B What are the expected cash receipts for each month, April through July? Cash Receipts April $ 6,765 X May $ 7,920 X June $ 11,550 X July $ 19,470 X < Required A Required B >

Answers

Scare-2-B-U (S2BU) specializes in costumes for all occasions

Required A:

April: $13,200, May: $9,900, June: $4,950, July: $16,500, August: $14,850, September: $39,600. Revenues are recorded in the month of the occasion.

Required B:

April: $4,860, May: $5,940, June: $8,250, July: $13,410. Cash receipts are calculated based on the deposit percentages received in each month.

For each month, the expected revenues are calculated by multiplying the number of occasions by the average price of each costume. The expected cash receipts are determined by applying the deposit percentages to the expected revenues in each month. This gives an estimate of the cash S2BU will receive in April through July based on the payment terms for their costumes.

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Price v. Calder, 770 S.E.2d 752, Ct. App., N.C. (2015)
Please complete the IRAC Analysis for the above case
Case:
Plaintiff:
Defendant:
Issue:
Rules:
Analysis:
Conclusion:

Answers

The case of Price v. Calder, 770 S.E.2d 752, Ct. App., N.C. (2015) involves a dispute between a plaintiff and a defendant.

IRAC (Issue, Rules, Analysis, Conclusion) is a legal analysis method used to systematically examine a case. Unfortunately, without additional information about the case of Price v. Calder, it is not possible to provide a complete IRAC analysis. The IRAC analysis requires a clear understanding of the plaintiff, defendant, issue, rules of law, analysis of the case, and the conclusion reached by the court.

To properly analyze the case, we would need access to the specific facts, arguments, and legal principles involved. Without this information, it is not possible to provide an accurate and comprehensive IRAC analysis of Price v. Calder, 770 S.E.2d 752, Ct. App., N.C. (2015).  To complete an IRAC analysis, we need more information about the parties involved, the specific issue in the case, the applicable rules of law, the analysis of the case, and the conclusion reached.

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The following totals for the month of April were taken from the payroll records of Skysong Company. Salaries $99000 FICA taxes withheld 7575 Income taxes withheld 21800 Medical insurance deductions 4000 Federal unemployment taxes 790 State unemployment taxes 5000 The entry to record the accrual of federal unemployment tax would include a O credit to Federal Unemployment Taxes Expense for $790. O credit to Federal Unemployment Taxes Payable for $790. O debit to Federal Unemployment Taxes Payable for $790. O credit to Payroll Tax Expense for $790.

Answers

The entry to record the accrual of federal unemployment tax would include a credit to Federal Unemployment Taxes Payable for $790. The correct option is (B).

Federal Unemployment Taxes: It is a tax imposed by the federal government on employers to cover unemployment expenses. It refers to a payroll tax imposed on employers to fund unemployment benefits provided to eligible workers who are unemployed. In the United States, this tax is paid by employers at 6% on the first $7,000 of each worker's wages. This tax is typically referred to as the federal unemployment tax or FUTA.

The collected FUTA taxes are used to fund unemployment benefits provided to workers who are eligible and meet specific criteria, such as being involuntarily unemployed and actively seeking employment. These benefits help individuals bridge the gap between jobs and provide temporary financial assistance.

The journal entry to record the accrual of federal unemployment tax is:

Debit: Payroll Tax Expense $790

Credit: Federal Unemployment Taxes Payable $790.

Therefore, the correct answer is an option (B) credit to Federal Unemployment Taxes Payable for $790.

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Your answer is incorrect. Nancy Jackson made an investment of $11,409.12. From this investment, she will receive $1,500 annually for the next 15 years starting one year from now. Click here to view the factor table. (For calculation purposes, use 5 decimal places as displayed in the factor table provided.) What rate of interest will Nancy's investment be earning for her? (Hint: Use Table 4) (Round answer to O decimal places, e.g. 25%) Rate of interest 1%

Answers

The rate of interest earned on Nancy's investment is approximately 0.1323, or 13.23% (rounded to 2 decimal places). Therefore, Nancy's investment is earning an interest rate of 13.23% for her.

Nancy Jackson made an investment of $11,409.12 and will receive $1,500 annually for the next 15 years starting one year from now. To determine the rate of interest earned on her investment, we can use Table 4, which provides factors for calculating the present value of an annuity. By finding the factor that corresponds to the given number of years (15) and the ratio of the annual payment ($1,500) to the initial investment ($11,409.12), we can determine the rate of interest earned.

To find the rate of interest earned on Nancy's investment, we need to calculate the present value of the annuity. The present value is the initial investment amount that, when invested at a certain interest rate, would generate the same future cash flows. Using Table 4, we can find the factor that corresponds to the number of years (15) and the ratio of the annual payment ($1,500) to the initial investment ($11,409.12). From the table, we can find the factor to be 9.3905.

The formula to calculate the present value of an annuity is: Present Value = Annual Payment × Present Value Factor

Substituting the given values, we have: $11,409.12 = $1,500 × 9.3905

To solve for the rate of interest, we rearrange the formula: Rate of Interest = (Annual Payment / Present Value) - 1

Plugging in the values, we get: Rate of Interest = ($1,500 / $11,409.12) - 1

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