Which statement about the median weekly earnings of a worker with a doctoral degree is most accurate?

a. They are about three times the median weekly earnings of a worker with a high school diploma.
b. They are about twice the median weekly earnings of a worker with an associate's degree.
c. They are about five times the median weekly earnings of a person with less than a high school diploma.
d. They are greater than the median weekly earnings of a worker with a professional degree.

Answers

Answer 1

The most accurate statement about the median weekly earnings of a worker with a doctoral degree is:

d. They are greater than the median weekly earnings of a worker with a professional degree.

While it is difficult to provide precise figures without specific data, workers with doctoral degrees generally earn higher median weekly earnings compared to those with professional degrees. Professional degrees, such as medical, legal, or engineering degrees, typically offer high earning potential. However, doctoral degrees, which are research-focused and typically obtained in fields such as academia, sciences, or humanities, often lead to higher salaries due to the advanced level of education and expertise they represent. Therefore, it can be inferred that workers with doctoral degrees generally earn more than workers with professional degrees.

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Related Questions

Project Z has an initial investment of $95,987.00. The project is expected to have cash inflows of $20,895.00 at the end of each year for the next 10.0 years. The corporation has a WACC of 14.16%. Calculate the NPV for project Z.

Answers

The NPV of Project Z is $12,009.28.

The cash flows for Project Z are given as follows;

Year 1 - $20,895

Year 2 - $20,895

Year 3 - $20,895

Year 4 - $20,895

Year 5 - $20,895

Year 6 - $20,895

Year 7 - $20,895

Year 8 - $20,895

Year 9 - $20,895

Year 10 - $20,895

The present value factor of annuity formula will be used to calculate the NPV of the cash flows.

The formula is given below; PV of Annuity = PMT * [1 - 1 / (1 + r)ⁿ ] / r PMT = Payment = $20,895r = Discount Rate = 14.16% / 100 = 0.1416n = Number of Periods = 10 years PV of Annuity =[tex]$20,895 * [1 - 1 / (1 + 0.1416)¹⁰] / 0.1416= $20,895 * [1 - 1 / (1.1416)¹⁰] / 0.1416= $20,895 * [1 - 0.30033] / 0.1416= $20,895 * 5.165= $107,996.28[/tex]

The NPV of Project Z is calculated as follows; NPV = PV of Cash Flows - Initial Investment= $107,996.28 - $95,987.00= $12,009.28

Therefore, the NPV of Project Z is $12,009.28.

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British government 4% perpetuities pay £4 interest each year forever. Another bond, 6.5% perpetuities, pays £6.5 a year forever. a. What is the value of 4% perpetuities if the long-term interest rate is 10.0% ? (Round your answer to 2 decimal places.) b. What is the value of 6.5% perpetuities? (Round your answer to 2 decimal places.)

Answers

a. The value of 4% perpetuities can be computed as follows:Formula for the present value of a perpetuity = [tex] \frac{A}{i} [/tex].

where A is the periodic payment and i is the interest rate.Using the above formula,Present value of 4% perpetuities = [tex] \frac{4}{0.10} [/tex] = £40.00Therefore, the value of 4% perpetuities if the long-term interest rate is 10.0% is £40.00.b.

The value of 6.5% perpetuities can be computed as follows:Formula for the present value of a perpetuity = [tex] \frac{A}{i} [/tex], where A is the periodic payment and i is the interest rate.

Using the above formula,Present value of 6.5% perpetuities = [tex] \frac{6.5}{0.10} [/tex] = £65.00Therefore, the value of 6.5% perpetuities is £65.00.

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The monthly Current Population Survey has been conducted every month since _____ and provides the best picture of the economy's unemployment situation.

Answers

The monthly Current Population Survey has been conducted every month since 1940 and provides the best picture of the economy's unemployment situation.

The Current Population Survey (CPS), conducted by the U.S. Census Bureau and the Bureau of Labor Statistics, is a widely recognized and authoritative survey that collects data on employment and unemployment in the United States. It has been conducted consistently since 1940, making it a valuable and reliable source of information for assessing the unemployment situation in the country.

The CPS employs a sample-based approach, surveying a representative sample of households to gather data on labor force participation, employment status, and unemployment. The survey asks individuals about their job status during a specific reference week, allowing for the calculation of key labor market indicators, such as the unemployment rate, labor force participation rate, and employment-to-population ratio.

Given its long history and regular frequency, the CPS provides a comprehensive and continuous record of the nation's employment and unemployment trends over time. Policymakers, economists, researchers, and analysts rely on the CPS data to assess the health of the labor market, identify employment patterns, and inform policy decisions. Its consistent methodology and long-running nature make it an essential tool for understanding the dynamics of the economy's unemployment situation.

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Facts you have discovered: Debits to the Cash account were $2,640; credits to the Cash account were $2,150. Amy Hall (customer) paid $15, but this was not updated in Accounts Receivable. A purchase of office equipment for $105 on account was never recorded in the ledger. Professional Fees (revenue) was understated in the ledger by $180. Show how the trial balance will indeed balance once these items are corrected. Tell Ranch Company how it can avoid this problem in the future.

Answers

To ensure that the trial balance balances after correcting the discovered facts, the following adjustments need to be made:

1. Adjust Accounts Receivable for the payment made by Amy Hall:

Debit: Accounts Receivable ($15)Credit: Cash ($15)

2. Record the purchase of office equipment on account:Debit: Office Equipment ($105)Credit: Accounts Payable ($105)

3. Adjust Professional Fees to reflect the correct revenue amount:Debit: Professional Fees ($180)Credit: Revenue ($180)After making these adjustments, the trial balance will balance because the debits and credits will be equal. The corrected amounts will be reflected in the appropriate accounts, ensuring accuracy.

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In 2015, private industry paid leave benefit costs were highest for management, professional, and related occupations, accounting for 8.4% of total compensation.

Answers

In 2015, private industry paid leave benefit costs were highest for management, professional, and related occupations, accounting for 8.4% of total compensation.

In 2015, the category of management, professional, and related occupations in the private industry had the highest paid leave benefit costs compared to other occupations. These costs accounted for 8.4% of the total compensation provided to employees in that category. Paid leave benefit costs include expenses related to various types of leave, such as vacation, sick leave, holidays, and other paid time off that employers provide to their employees. These benefits are considered a component of the overall compensation package and are intended to support work-life balance, employee well-being, and job satisfaction. The higher percentage of paid leave benefit costs for management, professional, and related occupations indicates that employers in these sectors place a significant emphasis on providing comprehensive leave benefits to attract and retain talent.

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According to the Securities Act of 1933, which of the following is illegal during the waiting period? A. Soliciting buyers for a company's securities. B. Receiving offers to buy a company's securities. C. Selling security subject to the act. D. Soliciting through the use of a summary prospectus.

Answers

According to the Securities Act of 1933, during the waiting period, it is illegal to engage in certain activities related to the sale of securities. The waiting period is the time between when a company files its registration statement with the Securities and Exchange Commission (SEC) and when the SEC declares the registration statement effective. During this period, the following activities are generally prohibited:

C. Selling securities subject to the act: It is illegal to sell or offer to sell securities that are subject to the Securities Act of 1933 during the waiting period. This is to ensure that investors have access to all the necessary information and disclosures before making investment decisions.

A. Soliciting buyers for a company's securities: Actively seeking or soliciting potential buyers for securities during the waiting period is also illegal. This includes any form of communication or marketing efforts to generate interest in the securities.

D. Soliciting through the use of a summary prospectus: Using a summary prospectus or any other document that summarizes the key information of the securities offering to solicit buyers is prohibited during the waiting period. Investors should have access to the full prospectus with detailed information before making investment decisions.

B. Receiving offers to buy a company's securities: Although it is not explicitly stated as illegal during the waiting period, receiving offers to buy a company's securities without an effective registration statement can be problematic. It is generally advisable to wait until the registration statement is declared effective before accepting offers to ensure compliance with the law.

Overall, during the waiting period, it is crucial to adhere to the regulations set forth by the Securities Act of 1933 to protect investors and ensure a fair and transparent securities market.

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: An insurance company sells policies in New York and New Jersey. It is incorporated in New York. In New Jersey, this insurance company is a(n): Domestic Insurer Neighboring Insurer Foreign Insurer Alien Insurer

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An insurance company is the business of providing coverage to customers for various risks such as life insurance, auto insurance, and health insurance, among others.

The policies and regulations that govern an insurance company are different in each state in the United States of America (USA).

The regulatory framework in each state defines various categories of insurance companies.

These categories include domestic insurers, foreign insurers, alien insurers, and neighboring insurers.

A domestic insurer is a company incorporated in a particular state and is authorized to sell policies in that state.

In contrast, foreign insurers are companies incorporated in a different state and are authorized to sell policies in the state they are registered.

Neighboring insurers are insurers registered and incorporated in the adjoining states.

Alien insurers are the ones that are not incorporated or registered in the USA but are authorized to do business within the country with proper legal permission and licensure.

given the insurance company is incorporated in New York and sells policies in New Jersey,

in New Jersey, this insurance company is a foreign insurer.

A foreign insurer is a company that is incorporated in another state and is authorized to sell policies in another state.

Such an insurance company must be registered with the Department of Financial Services in the state it seeks to do business in.

a foreign insurer can offer insurance products and services in other states apart from the one it is incorporated in,

as long as it adheres to the regulatory frameworks set by the Department of Financial Services.

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Bauer and Nike are planning their product positioning as they enter the hockey stick market. They can each target either lightweight sticks or better grip technology, but not both. Their profits (in millions) of the four possible strategy combinations are indicated in the payoff matrix below.
Nike
Bauer Lightweight Grip
Light weight Bauer makes $3/Nike Makes $2 Bauer makes $10/ Nike makes $3
Grip Bauer Makes $4 / Nike Makes $4 Bauer makes $11 / Nike Makes 2$
Nike LIGHTWEIGHT GRIP Bauer LIGHTWEIGHT Bauer makes $3 BRU makes $2 Bauer makes $10 BRU makes $3 GRIP Bauer makes $4 BRU makes $4 Bauer makes $11 BRU makes $2
a. Assume the companies make simultaneous positioning decisions. Find the Nash equilibrium or equilibria, if any. Explain carefully
. b. Now suppose Bauer can move first, choosing its positioning before Nike does. Use a tree diagram to show the strategies and payoffs. Find the Sequential Nash equilibrium (or equilibria) in this sequential game. Explain
. c. What does Bauer gain or lose (if anything) by moving first? Explain.
d. Does Bauer have a dominant strategy? Explain. e. Does Nike have a dominant strategy? Explain.

Answers

a. The Nash equilibrium is a pair of strategy decisions where each player's strategy is best given the other player's strategy. In the above pay off matrix of Nike and Bauer, both of them can increase their profits by targeting grip. Hence, both Nike and Bauer will choose the grip strategy which will result in a Nash equilibrium.

In the grip strategy, Bauer makes $4 and Nike makes $4.b. If Bauer moves first, there are two possibilities of it selecting lightweight or grip technology. After Bauer, Nike gets its turn to decide on the technology to target. The following tree diagram depicts the strategies and payoffs in sequential order.

 c. If Bauer moves first, it gains the advantage of selecting the grip technology strategy before Nike and getting the maximum profit of $11. Bauer loses the advantage of choosing the lightweight technology strategy which will give it a profit of $10 if Nike decides to target the grip technology strategy. Therefore, Bauer gains $1 by moving first and choosing the grip technology strategy. d. Bauer does not have a dominant strategy as the best strategy of Bauer is determined by the strategy of Nike.e. Nike does not have a dominant strategy as the best strategy of Nike is determined by the strategy of Bauer.

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True or False: Credit default swaps are good substitutes for corporate bonds because CDS react to both interest rate risk and credit risk in the same way as traditional bonds of the same issuer or index.

Answers

False. Credit default swaps (CDS) are not good substitutes for corporate bonds as they do not react to interest rate risk and credit risk in the same way as traditional bonds of the same issuer or index.

Credit default swaps (CDS) are financial derivatives that provide protection against the default risk of a particular debt issuer. While they are related to credit risk, they are not necessarily good substitutes for corporate bonds. CDS and corporate bonds have different characteristics and functions. Corporate bonds represent direct ownership in debt issued by a company and provide fixed interest payments over a specific period. On the other hand, CDS are contracts between two parties where one party makes periodic payments to the other in exchange for protection against a credit event, such as default. CDS do not involve direct ownership of the underlying debt. Additionally, CDS and corporate bonds may not react to interest rate risk in the same way, as CDS primarily focus on credit risk mitigation rather than interest rate fluctuations. Therefore, the statement that CDS are good substitutes for corporate bonds because they react to both interest rate risk and credit risk in the same way is false.

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Why is control thought of as a "causal" variable in organizations?
Group of answer choices
The results of control efforts can improve planning.
Poorly administered controls can cause additional problems.
The analysis of control efforts help managers adapt to changes.
Control precedes the managerial functions of planning, organizing, and leading.

Answers

In an organization, control is regarded as a "causal" variable because it precedes the managerial activities of planning, organizing, and leading.

The process of making sure that company operations are carried out according to plan is known as control.

This involves defining criteria for efficiency, identifying areas where results aren't satisfactory, and taking remedial action to correct discrepancies.

Control's causal roleIn organizations, control is considered a "causal" variable because it precedes the managerial functions of planning, organizing, and leading.

Management personnel establish control processes in order to establish standards, assess actual performance, and take corrective actions.

Furthermore, control aids in the integration of organizational systems and the maintenance of equilibrium.

Overall, management employs control systems to monitor and adjust organizational processes, policies, and practices to ensure that the company's objectives are met.

This is why control is a "causal" variable in an organization.

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A building is acquired on January 1 at a cost of $870,000 with an estimated useful life of eight years and salvage value of $78,300 Compute depreciation expense for the first three years using the double-declining-balance method. (Round your answers to the nearest doller.)

Answers

Double-declining balance method is an accelerated method of depreciation that recognizes higher amounts of depreciation in the early years and lower amounts of depreciation in the later years of the useful life of the asset. It is a method of depreciation that allows for the recovery of cost at twice the rate of straight-line depreciation.

Depreciation expense for the first three years using the double-declining-balance method for a building that was acquired on January 1 at a cost of $870,000 with an estimated useful life of eight years and salvage value of $78,300 is shown below:

Given that the cost of the building is $870,000 and its salvage value is $78,300, we can calculate its depreciable cost as follows: Depreciable cost = cost - salvage value= $870,000 - $78,300= $791,700For double-declining balance method, the depreciation rate is calculated as follows:

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Use the given degree of confidence and sample data to construct a confidence interval for the population proportion p. n=56, x = 30; 95% confidence
A. 0.426

B. 0.405

C. 0.425

D. 0.404

Answers

The 95% confidence interval for the population proportion, p is:0.3836 ≤ p ≤ 0.6877. The correct option is (C) 0.425.

Confidence Interval-

A confidence interval is a range of values that is computed from a data sample, which may include the population parameter at a specific level of confidence. Confidence intervals can be created for different confidence levels, including 90 percent, 95 percent, and 99 percent.In the question, we have to construct a confidence interval for the population proportion, p at a 95% level of confidence.

The formula to calculate the confidence interval is:

Lower Limit of the Confidence Interval = point estimate - (critical value) * standard error

Upper Limit of the Confidence Interval = point estimate + (critical value) * standard error

The point estimate is x/n, the critical value is obtained from the z-table, and the standard error is given by the formula:

Standard Error = √(p*q/n),

where q = 1 - p.

Now, let's substitute the values we have:

Point Estimate = x/n

= 30/56

= 0.5357

q = 1 - p

= 1 - 0.5357

= 0.4643

n = 56

We will find the critical value using the Z table.

Since the level of confidence is 95%, the corresponding Z value is 1.96.

Standard Error = √(p*q/n)

= √(0.5357*0.4643/56)

= 0.0777

Using the above formula, the lower limit of the confidence interval is:

Lower Limit of the Confidence Interval = point estimate - (critical value) * standard error

= 0.5357 - (1.96) * 0.0777

= 0.3836

Similarly, the upper limit of the confidence interval is:

Upper Limit of the Confidence Interval = point estimate + (critical value) * standard error

= 0.5357 + (1.96) * 0.0777

= 0.6877

Thus, the 95% confidence interval for the population proportion, p is: 0.3836 ≤ p ≤ 0.6877

Therefore, the correct option is (C) 0.425.

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most people have rational expectations, it would be safe to say this supports that economic adjustments will happen quickly and thus support neoclassical theory. economic adjustments will not happen quickly and thus does not support neoclassical theory. economic adjustments won't be impacted and have no impact on the neoclassical theory. economic adjustments will happen quickly and thus support Keynesian theory. 11 of 25 An increase in the long-run aggregate supply curve, all else constant, would result in growth in income and output and increase in the price level. decline in income and output and increase in the price level. growth in income and output and decrease in price level. no change in income and output. 12 of 25 The neoclassical long-run aggregate supply curve implies the Phillips curve is a vertical shape indicating there is no long-run tradeoff between inflation and unemployment. Phillips curve is a vertical shape indicating there is a long-run tradeoff between inflation and unemployment. Phillips curve is an upward sloping curve indicating there is no long-run tradeoft between inflation and unemployment. Phillips curve is a downward sloping curve indicating there is a iong-run tradeoff between intlation and unemployment:

Answers

The term "rational expectations" refers to an economic theory in which people base their expectations about future events on all available information, including past events, current information, and the expected effects of future events.

Rational expectations theory assumes that people are rational, meaning that they make decisions based on the best available information and that they do not suffer from systematic biases. As a result, they make predictions about the future that are consistent with the outcomes that are most likely to occur.

Most people have rational expectations, and this supports that economic adjustments will happen quickly, thus supporting the neoclassical theory. An increase in the long-run aggregate supply curve, all else constant, would result in growth in income and output and a decrease in the price level.

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Performance management aligns human capital with organizational strategies. True False

Answers

The statement Performance management aligns human capital with organizational strategies is: True .

What is  Performance management?

Performance management is a methodical procedure that assists in coordinating employee efforts and performance with the objectives and plans of an organization.

It entails establishing precise performance expectations, offering coaching and feedback, assessing performance, and rewarding or recognising accomplishments.

Therefore the statement is true.

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Archie would be able to pay off a portion of his loan and would likely not incur a penalty because prepayment clauses are automatically included in Florida unless specifically excluded.
Archie wanted to pay off a portion of his mortgage loan. However, he was worried that he would be stuck with a penalty. What is likely the outcome?

Answers

Archie wanted to pay off a portion of his mortgage loan, but he was concerned about incurring a penalty. It is probable that he will not be penalized since prepayment clauses are automatically included in Florida, unless they are explicitly excluded. Would Archie be able to pay off a portion of his loan without incurring a penalty.

Yes, most probably because prepayment clauses are routinely included in Florida unless specifically excluded. This means that Archie has a high likelihood of paying off a portion of his mortgage without incurring a penalty. What is a prepayment penalty.

A prepayment penalty is an extra charge imposed by the mortgage lender if the borrower repays the loan ahead of schedule. This charge is designed to compensate the lender for the loss of interest payments that the borrower would have made over the life of the loan balance.

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In a market, the private supply curve is given by P=2+3.1Q and the private demand curve is given by P=71−4.8Q. The socially optimal quantity is 6 . What is the value of the marginal external benefit / cost? In case of a marginal external cost, report a negative number.

Answers

The value of the marginal external benefit / cost is -21.6. Since it is a marginal external cost, the value is negative.

In a market, the private supply curve is given by

P = 2 + 3.1Q

and the private demand curve is given by

P = 71 − 4.8Q.

The socially optimal quantity is 6. Let’s find out the value of the marginal external benefit / cost.

First, we need to calculate the marginal social cost (MSC) and marginal private cost (MPC).

We know that

MSC = MPC + Marginal External Cost (MEC)

Let’s calculate the value of MSC:

MSC = 2 + 3.1Q + MEC

Also, the marginal social benefit (MSB) is given by

MSB = 71 − 4.8Q

The socially optimal quantity is 6,

so substitute Q = 6 in MSB to find out the value of MSB when Q = 6:

MSB = 71 − 4.8(6)

MSB = 71 − 28.8

MSB = 42.2

Now, we need to find the value of Q where

MSB = MSC.

42.2 = 2 + 3.1Q + MEC

40.2 = 3.1Q + MEC

Now, we need to find the value of MEC when

Q = 6.40.2 = 3.1(6) + MEC

40.2 = 18.6 + MEC

MEC = 21.6

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Anyone who owns bonds is subject to interest rate risk because interest rates are always changing in financial markets. The prices of bonds fluctuate with changes in interest rates, giving rise to interest rate risk. A number of relations exist between bond prices and changes in interest rates. These relations are often called the bond theorems. All of the following theorems correctly explain the relationship between interest rates and bond prices except:
Group of answer choices
The lower the coupon of a bond, the greater its interest rate risk.
The longer the maturity of a bond, the greater its interest rate risk.
If the bond yield is greater than the coupon rate, the bond sells at a premium.
When bond yields rise, bond prices fall.

Answers

Theorems correctly explain the relationship between interest rates and bond prices except "If the bond yield is greater than the coupon rate, the bond sells at a premium.

"The relationship between interest rates and bond prices is an inverse one. When interest rates rise, bond prices fall, and when interest rates fall, bond prices rise. These movements happen because higher interest rates make the bond less attractive to investors who can get higher returns on their investment elsewhere.

Similarly, if the interest rates are expected to fall, people will buy more bonds that offer a fixed rate, driving up the bond prices and lowering yields. Following are the bond theorems that explain this relationship correctly.The lower the coupon of a bond, the greater its interest rate risk.

This theorem states that the interest rate risk of a bond is inversely proportional to its coupon rate. The lower the coupon rate of the bond, the more susceptible it is to fluctuations in interest rates. Conversely, the higher the coupon rate of a bond, the lower its interest rate risk.

The longer the maturity of a bond, the greater its interest rate risk. The interest rate risk of a bond is also affected by its maturity date. Bonds that have a long maturity period, such as 30 years, are at higher risk than those that have a short maturity period, such as 5 years.When bond yields rise, bond prices fall. When the bond yields increase, the bond prices decrease. This relationship is explained by the inverse relationship between bond prices and yields. When yields go up, bond prices go down because new bonds issued by the government or corporations offer a higher yield rate and are therefore more attractive to investors.

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Discount Travel has the following current assets: cash, $102 million; receivables, $94 million; inventory, $182 million; and other current assets, $18 million. Discount Travel also has the following liabilities: accounts payable, $98 million; current portion of long-term debt, $35 million; and long-term debt, $23 milion. Based on these amounts, what is the acid-test ratio? Select one: a. 1.47 b. 2.00 c. 2.84. d. 3.86.

Answers

Acid-test ratio, also known as the quick ratio, is a liquidity ratio that indicates the ability of a company to pay its short-term liabilities using its most liquid assets. A high acid-test ratio is considered a sign of good financial health. It is calculated by dividing a company's quick assets by its current liabilities.

Quick assets are the assets that can be quickly and easily converted into cash, such as cash, marketable securities, and accounts receivable. Current liabilities are the liabilities that are due within one year. The formula for the acid-test ratio is:Acid-test ratio = (cash + marketable securities + accounts receivable) / current liabilities

Given that Discount Travel has the following current assets: cash, $102 million; receivables, $94 million; inventory, $182 million; and other current assets, $18 million.

Discount Travel also has the following liabilities: accounts payable, $98 million; current portion of long-term debt, $35 million; and long-term debt, $23 million.

The quick assets are the sum of cash and accounts receivable.

Quick assets = cash + accounts receivable= $102 million + $94 million= $196 million

Current liabilities = accounts payable + current portion of long-term debt= $98 million + $35 million= $133 million

Acid-test ratio = quick assets / current liabilities= $196 million / $133 million= 1.47Therefore, the acid-test ratio is 1.47. Option a is correct.

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Cara’s Wedding Designs makes and sells bridal dresses, bridesmaids’ dresses, tuxedos, and suits. The company plans to produce 60 dresses during the next month and will require 390 yards of fabric for production. The total fabric required for the month is 429 yards. What are the direct materials per dress?
A) 0.65 yard
B) 6.5 yards
C) 1.1 yards
D) 7.15 yards

Answers

The correct option is (B). 6.5 yards.

The company plans to produce 60 dresses during the next month and will require 390 yards of fabric for production. The total fabric required for the month is 429 yards. What are the direct materials per dress?

The direct material cost per dress refers to the cost of materials that are used to produce one unit of the finished product. This cost includes all the necessary materials used to make one dress.

Direct materials are defined as those materials that can be conveniently traced into the finished product.

Let's find the direct material per dress. Direct material cost per dress= Total material cost / Number of dresses produced

Total fabric required for 60 dresses= 390 yards Total fabric required for one dress= 390 / 60 = 6.5 yards

The direct material cost per dress for Cara's Wedding Designs is 6.5 yards.

Hence, the correct option is (B). 6.5 yards.

Note: To calculate the total material cost, we need to know the price of each yard of fabric.

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Yahoo Finance for Ridley Corporation Limited (RIC.AX).
The assumptions are:
• Risk free rate = 2.5%
• Share beta = 0.60 • ASX 200 (Stock market return) = 14%
• Dividend payout ratio = 45% • Number of ordinary shares outstanding = 319490
• Industry P/E1 ratio = 15 (where E1 denotes the next period's earnings)
• Current traded price of an ordinary share = $2.0
• Current market value of interest-bearing debt = $290,000
• Cost of debt = 8.5%
• Corporate tax rate = 30%
• Floatation costs = 150 basis points
Questions: a) Calculate the value of a RIC share using the constant growth model. b) Calculate the value of Ridley's using the industry P/E1 ratio. c) Justify the differences between the two values calculated in parts a and b, if any. d) Calculate the weighted average cost of capital. e) Assume that Ridley will undergo a new expansion that requires $15 million to be raised in the bond market. Calculate the initial outlay for the expansion project adjusted for floatation costs. f) Assume the following information about the bond issue: • Coupon rate 11% with coupons paid semi-annually • Discount rate 10% • Term to maturity 5 years. Report the values of the first and last cash flows for this bond and calculate the price of one bond, assuming a face value of $1000. (2.5 marks)

Answers

a) Calculation of value of a RIC share using the constant growth model:Given, Next period's dividend (D1) = Current dividend × (1 + growth rate) = 0.45 × 2 = $0.9r = Required rate of return - growth rate = 14% - 2.5% = 11.5%.

Now,Constant growth model formula is: P0 = D1 / (r - g)Where, P0 = Current share priceD1 = Next period's dividend= $0.9r = Required rate of return - growth rate= 11.5%-0.45 = 11.05%Putting the values, P0 = $0.9 / (0.1105) ≈ $8.14b) Calculation of the value of Ridley's using the industry P/E1 ratio:Industry P/E1 ratio = 15Where,E1 = next period earningsTherefore,[tex]P0 = E1 × P/E ratioP0 = (EPS1 × N) × P/E ratio= [(EPS1 / D1) × D1 × N] × P/E ratio= [Payout ratio × (1 - g) × EPS1 / (r - g)] × N × P/E ratio= [0.45 × (1 - 0.045) × 0.75 / (0.11 - 0.045)] × 319490 × 15≈ $6.18c)[/tex]

Justification for the difference between the two values calculated in parts a and b, if any:The difference between the values calculated in parts a and b is $1.96 ($8.14 - $6.18), which indicates that the constant growth model results in a higher valuation compared to the industry P/E1 ratio model. The difference could be because the constant growth model assumes that dividends grow at a constant rate indefinitely, while the industry P/E1 ratio model calculates the share price based on the earnings and P/E ratio in the next period.

The constant growth model is best suited for mature companies with stable growth, while the industry P/E1 ratio model is best suited for companies in the growth phase.d) Calculation of the weighted average cost of capital:WACC = [E / (E + D)] × Re + [D / (E + D)] × Rd × (1 - t)Where,E = market value of equity= $2 × 319490= $638,980D = market value of debt= $290,000Re = required rate of return on equity=[tex]rRF + β × (rM - rRF)= 2.5% + 0.60 × 14%= 11.3%[/tex]Rd = required rate of return on debt= 8.5%t = corporate tax rate= 30%Putting the values, WACC [tex]= [(638980 / (638980 + 290000)) × 11.3%] + [(290000 / (638980 + 290000)) × 8.5% × (1 - 0.30)]= 7.45% + 2.75%≈ 10.20%e) .[/tex]

Calculation of the initial outlay for the expansion project adjusted for floatation costs:Initial outlay = Amount raised × (1 - floatation cost)Putting the values, Initial outlay = $15,000,000 × (1 - 1.5%)≈ $14,775,000f) Calculation of the price of one bond, assuming a face value of $1000:YearCouponPayment DiscountFactor Present Value[tex]01221(11/2)% $55 0.9524 $52.43152324(11/2)% $55 0.9070 $49.88632526(11/2)% + $1000 0.8638 $1,065.7926[/tex]Total $1,168.11Price of one bond = $1,168.11Therefore, the price of one bond, assuming a face value of $1000 is $1,168.11.

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complete the cost schedule below. when computing the cost per unit, round to two decimal places. round all other values to the nearest dollar. toys produced 88,400 109,200 142,800 total costs: total variable costs $33,592 d. $fill in the blank 1 j. $fill in the blank 2 total fixed costs 37,128 e. fill in the blank 3 k. fill in the blank 4 total costs $70,720 f. $fill in the blank 5 l. $fill in the blank 6 cost per unit: variable cost per unit a. $fill in the blank 7 g. $fill in the blank 8 m. $fill in the blank 9 fixed cost per unit b. fill in the blank 10 h. fill in the blank 11 n. fill in the blank 12 total cost per unit c. $fill in the blank 13 i. $fill in the blank 14 o. $fill in the blank 15

Answers

As opposed to variable costs, which do alter with production level, fixed costs are expenses that remain constant throughout time. The sum of the fixed and variable costs is the total cost. By dividing the overall cost by the quantity generated, the cost per unit is obtained.

The completed cost schedule is as follows:

Toys produced:       88,400        109,200         142,800

Total costs:

Total variable costs: $33,592    $41,184         $53,568

Total fixed costs:      $37,128     $37,128         $37,128

Total costs:               $70,720    $78,312         $90,696

Cost per unit:

Variable cost per unit:  $0.38       $0.38         $0.38

Fixed cost per unit:      $0.42        $0.34         $0.26

Total cost per unit:       $0.80        $0.72         $0.64

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hen is the effect of an increase in government spending on real GDP the highest in the short run? a. Steep SRAS, small expenditure multiplier b. Flat SRAS, small expenditure multiplier c. Steep SRAS, large expenditure multiplier d. Flat SRAS, large expenditure multiplier

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The answer is the option c. Steep SRAS, large expenditure multiplier. When the economy is operating below full employment level of output,  This is because the economy is experiencing an excess capacity in its labor force, capital stock, and other productive resources.

At this point, the aggregate supply curve is steep, and the expenditure multiplier is large.On the other hand, when the economy is operating at full employment level of output,

Therefore, the effect of an increase in government spending on the real GDP is the highest in the short run when the aggregate supply curve is steep, and the expenditure multiplier is large.The aggregate supply curve (SRAS) is the relationship between the price level and the level of output supplied by firms. The expenditure multiplier is the ratio of the change in real GDP to the change in autonomous expenditure.

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why
do some companies/designers decide to use an online infographic
template?

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Companies and designers may choose to use online infographic templates for several reasons:

Time Efficiency: Online infographic templates provide a ready-made design structure that can be easily customized with specific content and data. This saves time as companies and designers don't have to create the entire infographic from scratch. Templates offer pre-designed layouts, graphics, and icons, allowing them to quickly put together a visually appealing infographic without investing significant time in design.

Cost-effectiveness: Creating custom infographics can be expensive, especially when hiring professional designers. Online infographic templates often come at a fraction of the cost, or even for free, compared to custom designs. This makes them a cost-effective option for companies with limited budgets or those who require infographics for one-time use.

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Robinson Crusoe lives alone on an island. He has some resources at his disposal:
1. Land: Some of the land is rocky and better suited for raising sheep. Other parts of the land are better suited for growing wheat.
2. Sheep
3. 10 hours of daylight for working
Assume that the wheat is for Robinson’s consumption. He uses it to make bread. Do not assume that it is necessary to use the wheat to feed the sheep. Robinson produces cloth (from his sheep) and loaves of bread (from his wheat.) If Robinson uses all of his resources he has the following production possibilities:
Possibility Bread
(Loaves per Month) Cloth
(Yards per Month)
A 20 0
B 18 1
C 15 2
D 11 3
E 6 4
F 0 5
a. Draw Robinson’s production possibility curve, (PPF.) Put bread on the vertical axis (Y-axis), and cloth on the horizontal axis (X-axis.)
Bread
b. Find one point on the graph that is unattainable given Robinson’s resources and technology and label it x. This illustrates scarcity.
c. Find one point on the graph that is attainable given Robinson’s resources and technology, but is inefficient in the sense that it does not fully utilize all resources. Label this point y.
d. Find one point that is attainable given Robinson’s resources and technology, and is also efficient in the sense that it does fully utilize all resources. Label this point z.
e. What is the opportunity cost of moving from the production of 0 to 1 yards of cloth?
f. What is the opportunity cost of moving from the production of 1 to 2 yards of cloth?
g. What is the opportunity cost of moving from the production of 2 to 3 yards of cloth?
h. What is the opportunity cost of moving from the production of 3 to 4 yards of cloth?
i. What is the opportunity cost of moving from the production of 4 to 5 yards of cloth?
j. What is the opportunity cost of moving from the production of 0 to 6 loaves of bread?
k. Within the 0 to 6 range for bread production, what is the opportunity cost of producing one loaf of bread?
l. Would you say that the opportunity costs depicted in this PPF are constant or increasing? Explain
m. If you find that the opportunity costs are increasing or constant for your PPF, provide an explanation of why this is the case.
Now Crusoe is joined by Friday on his island. Friday also produces bread and cloth. His production possibilities, along with Robinson’s, are shown in the table below:
(For Robinson, you’ve already calculated part of his opportunity costs above.)
Robinson Friday
Bundle Bread
(Loaves per Month) OC of one loaf of bread Cloth
(Yards per Month) OC of one yard of cloth
Bundle Bread
(Loaves per Month) OC of one loaf of bread Cloth
(Yards per Month) OC of one yard of cloth
A 20 0 a 8 - 0 -
B 18 1 b 7 2
C 15 2 c 6 4
D 11 3 d 5 6
E 6 4 e 0 9
F 0 5
n. Graph the PPFs for both Robinson and Friday on the same graph below
(Robinson’s hasn’t changed)
Bread
(You should be able to answer parts o through s both by looking at the graph and by looking at the numbers in the chart)
o. Who has the absolute advantage at cloth production? Explain
p. Who has the absolute advantage at bread production? Explain
q. Who has the comparative advantage at cloth production? Explain
r. Who has the comparative advantage at bread production? Explain
s. Does either one have absolute advantage in both goods?
t. If Robinson originally has bundle D and Friday bundle b before trading, what are the total quantities of each good produced? Graphically depict the point showing total combined output before specialization on your graph in part n. Label this point "t".
u. If Robinson and Friday specialize, each will produce only the good for which they have the comparative advantage. If they do specialize, how much of each product will be produced in total? Graphically depict the point showing total output after specialization on your graph in part n. Label this point "u".
v. When Robinson and Friday specialize they must trade to experience the benefit of their specialization and to be able to consume both goods. Compare your answers in parts t and u to determine what the overall gains are from specializing and trading.

Answers

Part a) Robinson’s production possibilities are plotted in the graph as shown below.BreadPart b) The point that is unattainable given Robinson’s resources and technology is point F (0,5) which lies on the vertical axis of the graph. This point represents producing 5 units of cloth and no bread.

Bread Part c) The point that is attainable given Robinson’s resources and technology, but is inefficient in the sense that it does not fully utilize all resources is point Y (16,1) which lies between points B and C. This point represents producing 16 units of bread and 1 unit of cloth.

Bread Part d) The point that is attainable given Robinson’s resources and technology, and is also efficient in the sense that it does fully utilize all resources is point Z (10,3) which lies between points C and D.

This point represents producing 10 units of bread and 3 units of cloth.

Bread Part e) The opportunity cost of moving from the production of 0 to 1 yards of cloth is 2/20 = 1/10 loaves of bread.

Bread Part f) The opportunity cost of moving from the production of 1 to 2 yards of cloth is 3/18 = 1/6 loaves of bread.

Bread Part g) The opportunity cost of moving from the production of 2 to 3 yards of cloth is 3/15 = 1/5 loaves of bread.

Bread Part h) The opportunity cost of moving from the production of 3 to 4 yards of cloth is 3/11 ≈ 0.27 loaves of bread.

Bread Part i) The opportunity cost of moving from the production of 4 to 5 yards of cloth is 1/6 loaves of bread.

Bread Part j) The opportunity cost of moving from the production of 0 to 6 loaves of bread is 5/20 = 1/4 yards of cloth.

Bread Part k) Within the 0 to 6 range for bread production, the opportunity cost of producing one loaf of bread is 2.5 yards of cloth.

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You purchased a $1,000 bond with a coupon rate of 8 % on January 1, 2021 for $910. On the same date you also purchased a share of ABC Inc for $81. During 2021 you received a dividend of $2.50 on the ABC share. It is now January 1, 2022 and the bond is selling for $950 and the ABC share is worth $89.
Required, round all answers to two decimal points. For full marks you must either show all your calculations in the space provided below or submit them to the drop box provided in the Assignments area:
What was your total dollar return on the bond over the past year? (2 marks)
What was your total nominal return on the bond over the past year? (2 marks)
If the inflation rate last year was 5%, what was your total real rate of return on the bond? (2 marks)
Compute the total percentage return on the ABC share. (2 marks)
What was the dividend yield on the ABC share. (2 marks)
What was the capital gain yield on the ABC share. (2 marks

Answers

Solution:Given data:Face value of bond = $1,000Coupon rate = 8%Price of bond at the time of purchase = $910Price of bond at the end of year = $950Price of ABC share at the time of purchase = $81Price of ABC share after one year = $89Dividend on ABC share = $2.50.  the answers are:A) Total dollar return on the bond over the past year = $122.50B) Total nominal return on the bond over the past year = 13.46%C) Total real rate of return on the bond = 7.77%D) Total percentage return on the ABC share = 12.35%E) Dividend yield on the ABC share = 3.09%F) Capital gain yield on the ABC share = 9.88%.

A) Total dollar return on the bond over the past year Coupon rate on bond = 8%Face value of bond = $1,000Coupon payment on bond = 8% of $1,000 = $80Price of bond at the time of purchase = $910Price of bond at the end of year = $950Total interest earned on bond over the year = Coupon payment + Capital gain = $80 + ($950 - $910) = $120Total dollar return on bond over the past year = Total interest earned + Dividend earned on ABC share = $120 + $2.5 = $122.50

B) Total nominal return on the bond over the past year Nominal rate of return on bond = Total dollar return / Price of bond at the beginning of the year = $122.50 / $910 = 0.1346 or 13.46%

C) Total real rate of return on the bond Real rate of return on bond = (1 + Nominal rate of return) / (1 + Inflation rate) - 1Nominal rate of return on bond = 13.46%Inflation rate = 5%Real rate of return on bond = (1 + 13.46%) / (1 + 5%) - 1 = 7.77%

D) Total percentage return on the ABC share Percentage return on ABC share = (Price at the end of year - Price at the beginning of the year + Dividend) / Price at the beginning of the year * 100= ($89 - $81 + $2.5) / $81 * 100 = 12.35%

E) Dividend yield on the ABC share Dividend yield on ABC share = Dividend / Price of ABC share at the beginning of the year * 100= $2.5 / $81 * 100 = 3.09%

F) Capital gain yield on the ABC share Capital gain yield on ABC share = (Price of ABC share at the end of year - Price of ABC share at the beginning of the year) / Price of ABC share at the beginning of the year * 100= ($89 - $81) / $81 * 100 = 9.88%.

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What are your thoughts on this system and what non-food businesses
could learn from this interesting dabbawala indian mumabai lunch
carrier in India?

Answers

The Dabbawala lunchbox delivery system in Mumbai, India, is a remarkable example of efficiency, dedication, and teamwork. It is a low-tech delivery system that is based on trust, reliability, and accuracy. Each day, around 5,000 Dabbawalas deliver hot and fresh lunches from their homes to offices across Mumbai. They work in pairs, using bicycles and local trains to transport the lunchboxes to their final destinations.

The Dabbawalas have a remarkable track record of accuracy and punctuality, with an error rate of only one in six million deliveries. They have even been studied by management experts from around the world, who have been impressed by their innovative and efficient approach.What non-food businesses can learn from the Dabbawala system is the importance of teamwork, dedication, and simplicity. The Dabbawalas do not rely on high-tech gadgets or complex systems, but rather on a simple and effective method of delivery. They also place a high value on punctuality and reliability, which are essential qualities in any business.

The Dabbawalas have built strong relationships with their customers, many of whom have been using their services for years. They have also built strong relationships with each other, with many of them working together for decades. These relationships are built on trust, reliability, and mutual respect, which are essential qualities for any successful business.In conclusion, the Dabbawala lunchbox delivery system in Mumbai, India, is a remarkable example of efficiency, dedication, and teamwork. It provides valuable lessons for non-food businesses on the importance of simplicity, punctuality, teamwork, relationships, and trust. By learning from the Dabbawalas, non-food businesses can build strong teams, develop effective systems, and deliver high-quality services to their customers.

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Your company has been awarded a contract to clean the shoulder and verge of a provincial road stretching 325 km. The estimated cost of the entire project is R812 500 . The project has to be delivered within 65 work days. On day 42,190 km has been completed at a total cost of R380000. YOU ARE REQUIRED TO: A. Determine the Planned Value on day 42 ; B. Determine the Earned Value on day 42 ; C. Determine and interpret the Schedule Variance (in Rand) on day 42 ; D. Determine and interpret the Time Variance in (in days) on day 42 ; E. Determine and interpret the Cost Variance (in Rand) on day

Answers

A.  Planned value is also called the budgeted cost of work scheduled (BCWS).In this project, the total distance is 325km. So the PV at day 42 can be calculated as follows:PV= (total budgeted cost/total distance) x distance completedPV= (R812 500 /325 km) x 190 kmPV= R474 038.46

B. Determine the Earned Value on day 42;EV (Earned Value) refers to the budgeted cost of the project work that has been completed. The amount of the total project budget that is allocated to the work that is actually done.EV is also called the budgeted cost of work performed (BCWP). In this project, the total budgeted cost is R812 500 and the total distance is 325 km. The EV at day 42 can be calculated as follows:EV= (total budgeted cost/total distance) x distance completedEV= (R812 500 /325 km) x 190 kmEV= R470 000

C. Determine and interpret the Schedule Variance (in Rand) on day 42;SV (Schedule Variance) represents the variance between the budgeted cost of the work that is scheduled to be completed and the budgeted cost of the work that is actually completed. SV can be calculated as follows:SV = EV - PVSV = R470 000 - R474 038.46SV = -R4038.46This means that the project is behind schedule because the earned value is less than the planned value. The negative schedule variance means that it is taking more than the planned time to complete the project and hence the cost is increasing.

D. Determine and interpret the Time Variance in (in days) on day 42;TV (Time Variance) represents the variance between the budgeted time of the work that is scheduled to be completed and the budgeted time of the work that is actually completed. The TV can be calculated as follows:TV= (EV/PV) x duration of the projectTV= (R470 000/R474 038.46) x 65 daysTV= 0.98 x 65 daysTV= 63.7 daysThe result shows that the project is behind schedule by 1.3 days since the original planned time was 65 days, but by day 42, 63.7 days had already elapsed.

E. Determine and interpret the Cost Variance (in Rand) on day 42;CV (Cost Variance) represents the variance between the budgeted cost of the work that is scheduled to be completed and the budgeted cost of the work that is actually completed. CV can be calculated as follows:CV= EV - ACSV= R470 000 - R380 000CV= R90 000. The positive cost variance implies that the project is under budget. The actual cost of the project is less than the planned cost of the project.

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Companies that use a _____ have typically been those with mature product lines and stable technologies.
a. global dynamic structure
b. global geographic structure
c. global matrix structure
d. global product structure

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Global product structure The concept of global emphasizes the interconnectedness and interdependence of nations, cultures, and economies.

Global refers to something that encompasses or relates to the entire world or a significant portion of it. It signifies a broad and interconnected perspective that transcends geographical boundaries. In the context of business, global represents the expansion, reach, and impact of companies beyond their domestic markets, operating on an international scale. Globalization has facilitated the growth of global trade, investments, and cultural exchange, leading to an interconnected global economy. It has given rise to multinational corporations, global supply chains, and increased competition. Global initiatives and collaborations address global challenges such as climate change, poverty, and human rights. The concept of global emphasizes the interconnectedness and interdependence of nations, cultures, and economies.

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Among the effects of a country devaluating its currency is that there will probably be:
I. a credit to that nation's trade account balance.
II. a debit to that nation's trade account balance.
III. an increase in that nation's exports.
IV. an increase in that nation's imports.

A) I and IV.
B) II and III.
C) II and IV.
D) I and III.

Answers

Devaluation of currency is usually done to boost exports and reduce imports of a country. It happens when a nation reduces the value of its currency relative to foreign currencies.

This currency exchange action influences the balance of trade by promoting export and decreasing import. This, in turn, causes a country's trade account balance to change in one of two ways - a credit or a debit to the account balance.

There are both negative and positive impacts of currency devaluation on a country's economy. However, the option (D) is the correct answer.The effects of a country devaluating its currency is that there will probably be:a credit to that nation's trade account balance.an increase in that nation's exports.Explanation:Devaluation of currency is one of the economic policies that influence the balance of trade, affecting a country's economy.

When a country devalues its currency, the products become cheaper, and hence there is an increase in exports and a decrease in imports. This promotes the competitiveness of a country's products in the international market. For example, if one US dollar is equivalent to 110 Japanese yen, and the government reduces it to 100 Japanese yen, it is a devaluation.

It means that Japan's products will become cheaper, and the US products will be more expensive. Therefore, there will be an increase in the number of Japanese products imported into the US and a decrease in US products exported to Japan.A credit to that nation's trade account balance: It happens when the exports are greater than imports.

A nation's trade account balance refers to the difference between exports and imports. When exports are more than imports, the country's trade account balance is positive. Therefore, when a country devalues its currency, it increases its exports, making the balance of trade to shift to credit.

An increase in that nation's exports: It happens because devaluation makes exports cheaper. Cheaper exports promote the competitiveness of a country's products in the international market, increasing its exports. Therefore, the correct answer is I and III.

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woodstock company has the following information related to its inventory sales and purchases for december year 1 and the first quarter of year 2: dec. year 1 jan. year 2 feb. year 2 mar. year 2 (actual) (budgeted) (budgeted) (budgeted) cost of goods sold $ 66,000 $ 126,000 $ 166,000 $ 106,000 desired ending inventory levels are 25% of the following month's projected cost of goods sold. the company purchases all inventory on account. january year 2 budgeted purchases are $184,000. the normal schedule for inventory payments is 60% payment in month of purchase and 40% payment in month following purchase. budgeted cash payments for inventory in february year 2 would be:

Answers

Woodstock Company's budgeted cash payments for inventory in February Year 2 would be $171,400.

Here's the calculation:

February budgeted purchases: $184,000 - (25% * $166,000) = $152,000

February cash payments: (60% * $184,000) + (40% * $152,000) = $171,400

The company's normal schedule for inventory payments is 60% payment in the month of purchase and 40% payment in the month following purchase.

In February, Woodstock Company will pay 60% of the January budgeted purchases of $184,000, which is $110,400.

They will also pay 40% of the February budgeted purchases of $152,000, which is $60,800.

The total budgeted cash payments for inventory in February will be $110,400 + $60,800 = $171,400.

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