During the month of Januan 2024 with 320 units of its one product. These units were purchased near the end of 2023 for $24 each 19 for $29 each. Sales of 215 units and 210 purchased on January 8 for $27 each and another 320 units were purchased on January hand at the end of the month. SAM uses a periodic inventory system. 10 and January 25 , respectively. There were 375 units on Required: 1. Calculate ending inventory and cost of goods sold for January using FIFO. 2. Calculate ending inventory and cost of goods sold for January using average cost. Complete this question by entering your answers in the tabs below. Calculate ending inventory and cost of goods sold for January using average cost. Note: Round cost per unit to 2 decimal places. Salt and Mineral (SAM) began 2024 with 320 units of lts one product. These units were purchased near the end of 2023 for $24 cach During the month of January, 160 units were purchased on January 8 for $27 each and another 320 units were purchased on January 19 for $29 each. Sales of 215 units and 210 units were made on January 10 and January 25 , respectively There were 375 units on hand at the end of the month. SAM uses a periodic inventory system. Required: 1. Calculate ending inventory and cost of goods sold for January using FiFO: 2. Calculate ending inventory and cost of goods sold for January using average cost. Complete this question by entering your answers in the tabs below.

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Answer 1

These calculations assume that there were no additional purchases or sales during the month and that the units sold were from the available inventory.

To calculate ending inventory and cost of goods sold for January using the FIFO (First-In, First-Out) method, we need to follow these steps:

Beginning inventory: 320 units x $24 = $7,680
January 8 purchases: 160 units x $27 = $4,320
January 19 purchases: 320 units x $29 = $9,280
Total units available: 320 + 160 + 320 = 800 units
Cost of goods available: $7,680 + $4,320 + $9,280 = $21,280
Sales: 215 units
Ending inventory: 800 - 215 = 585 units
Cost of goods sold: 215 units x average cost per unit

To calculate ending inventory and cost of goods sold for January using the average cost method, follow these steps:

Determine the weighted average cost per unit: Total cost of goods available / Total units available
Total cost of goods available: $21,280
Total units available: 800 units
Weighted average cost per unit: $21,280 / 800 units = $26.60
Sales: 215 units
Ending inventory: 585 units
Cost of goods sold: 215 units x $26.60 per unit

Keep in mind that these calculations assume that there were no additional purchases or sales during the month and that the units sold were from the available inventory.

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Answer 2

1. Using FIFO (First-In, First-Out) method, the ending inventory for January is $9,735 and the cost of goods sold is $7,860.

2. Using the average cost method, the ending inventory for January is $9,754.29 and the cost of goods sold is $7,840.71.

1. FIFO method assumes that the first units purchased are the first ones sold. Based on the given information, the calculation for ending inventory using FIFO is as follows:

- The 320 units purchased near the end of 2023 are considered first, costing $24 each. This amounts to $7,680.

- Then, 55 units from the January 19 purchase (320 - 215) are added to the ending inventory, costing $29 each. This amounts to $1,595.

- The total ending inventory using FIFO is $7,680 + $1,595 = $9,275.

- The cost of goods sold is calculated by subtracting the ending inventory from the cost of goods available for sale: $24,510 - $9,275 = $7,860.

2. The average cost method calculates the average cost per unit based on the total cost of goods available for sale divided by the total number of units available for sale. The calculation for ending inventory using the average cost method is as follows:

- The total cost of goods available for sale is ($24 x 320) + ($27 x 160) + ($29 x 320) = $7,680 + $4,320 + $9,280 = $21,280.

- The total number of units available for sale is 320 + 160 + 320 = 800 units.

- The average cost per unit is $21,280 / 800 = $26.60.

- The ending inventory is calculated by multiplying the average cost per unit by the remaining units on hand: $26.60 x 375 = $9,975.

- The cost of goods sold is calculated by subtracting the ending inventory from the cost of goods available for sale: $21,280 - $9,975 = $7,840.71 (rounded to the nearest cent).

By applying the FIFO and average cost methods, we can determine the ending inventory and cost of goods sold for January based on the given information and the respective inventory valuation methods.

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Related Questions

Suppose a bank receives a new deposit of $500. The bank extends a new loan of $400 because it is required to hold the other $100 on reserve. What is the legal required reserve ratio?
1. 10 percent
2. 15 percent
3. 20 percent
4. 25 percent

Answers

The Required reserve ratio is 20%, and the correct answer is option (3), 20 percent.

To determine the legal required reserve ratio, we need to compare the required reserve amount to the total deposit amount.

In this scenario, the bank receives a new deposit of $500 and extends a new loan of $400, keeping the remaining $100 on reserve.

The required reserve ratio is calculated by dividing the required reserve amount by the total deposit amount and expressing it as a percentage.

Required reserve ratio = (Required reserve amount / Total deposit amount) × 100

In this case, the required reserve amount is $100 and the total deposit amount is $500.

Required reserve ratio = ($100 / $500) × 100

Required reserve ratio = 0.2 × 100

Required reserve ratio = 20%

Therefore, the correct answer is option 3: 20 percent.

The required reserve ratio is a percentage of the total deposits that banks are required to hold in reserve as mandated by the central bank or regulatory authority.

This reserve serves as a liquidity buffer to ensure that banks can meet the demands of their depositors and maintain stability in the banking system.

In this scenario, since the bank is required to hold $100 on reserve out of the $500 deposit, the required reserve ratio is calculated to be 20 percent.

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how do your financial choices impact the economy? trace the impact of your financial decisions. what are some of the advantages and disadvantages to a market economy? how do global factors influence the economy in your country? what are some of the ways in which the government is involved in the economy? what are the advantages and disadvantages of governmental involvement? why are healthy individual finances important to the economy in north america?

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Financial choices made by individuals and businesses have a significant impact on the economy. These decisions affect various aspects such as consumption, investment, savings, and borrowing, which collectively shape the overall economic conditions.

For instance, increased consumer spending can stimulate economic growth, while higher savings can provide capital for investment. However, excessive borrowing and financial instability can lead to economic downturns. Advantages of a market economy include efficiency in resource allocation, competition driving innovation, and individual freedom in decision-making. However, it may also lead to income inequality and the potential for market failures, such as monopolies or externalities.

Global factors, such as trade, foreign investment, and exchange rates, heavily influence domestic economies. Changes in global markets can impact employment, inflation, and economic growth. Government involvement in the economy can take various forms, including fiscal and monetary policies, regulation, public infrastructure investment, and social welfare programs. Advantages of governmental involvement include stabilization of the economy, addressing market failures, and ensuring equitable distribution of resources. However, it can also lead to inefficiencies, bureaucracy, and crowding out of private sector initiatives. Healthy individual finances are crucial for a robust economy in North America. Sound financial decisions, such as saving, investing, and responsible borrowing, contribute to stable financial markets, increased investment, and overall economic growth. It also promotes resilience during economic downturns and reduces the burden on government social support systems. Additionally, financially healthy individuals are more likely to make confident purchasing decisions, which supports businesses and employment opportunities.

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BearSource buys apples each day for sale in cafes across campus. Each morning any apples that are left from the previous day can be sold to a cannery for $0.10 per apple. This month BearSource has worked out a contract to purchase apples from a local farmer for $0.20 a piece. Each apple is sold for $0.50. Past sales history shows that tomorrow's average demand is 100 apples with a standard deviation of 10 apples. What is the understock cost per apple?

Answers

The understock cost per apple is $0.20, which represents the missed opportunity to sell an apple at a profit of $0.30.

The understock cost per apple can be calculated by determining the opportunity cost of not meeting the demand for apples on a given day.  To calculate the understock cost per apple, we need to consider the cost of the apples purchased from the local farmer, the potential revenue from selling the apples, and the cost of selling any leftover apples to the cannery.

Given that BearSource purchases apples for $0.20 each from the local farmer and sells them for $0.50 each, the profit per apple is $0.50 - $0.20 = $0.30.

Considering the average demand for apples is 100 with a standard deviation of 10, we can calculate the expected revenue by multiplying the average demand by the profit per apple:

100 x $0.30 = $30.

If there is an understock of apples and the remaining apples are sold to the cannery for $0.10 each, the opportunity cost per apple is $0.30 - $0.10 = $0.20.

Therefore, the understock cost per apple is $0.20.

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explain what happens to rwacc as more debt is added to the capital structure - according to m&m proposition ii with corporate taxes? show or demonstrate why.

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According to Modigliani-Miller Proposition II (M&M Proposition II) with corporate taxes, the weighted average cost of capital (WACC) decreases as more debt is added to the capital structure.

Let's demonstrate why this leads to a decrease in WACC as more debt is added:

Cost of Equity (Ke): The cost of equity represents the return required by equity investors to compensate for the risk they assume. It is typically higher than the cost of debt as equity investors have a residual claim on the firm's cash flows. According to M&M Proposition II, the cost of equity is unaffected by changes in the capital structure. Therefore, adding more debt does not directly impact the cost of equity.

Cost of Debt (Kd): The cost of debt represents the interest rate or yield that a firm needs to pay on its debt obligations. When a firm takes on additional debt, the cost of debt remains unchanged, assuming the risk profile of the firm remains the same.

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g if you invest $16,000 in a stock market index that earns 11.10% returns annually, how much would be the market value of your investment after 17 years? group of answer choices $100,565.33 $92,903.21 $95,776.50 $77,578.97 $81,410.03

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g if you invest $16,000 in a stock market index that earns 11.10% returns annually, how much would be the market value of your investment after 17 years? group of answer choices $100,565.33 $92,903.21 $95,776.50 $77,578.97 $81,410.03

Answer:$81,410.03

orts10: If it is established that Alex owed Tony a duty of care because proximity has been established, then the following tests must also be applied to prove a duty exists: a. The Foreseeable Plaintiff Test and Reasonable Foreseeability Test b. The only test that needs to be applied in order to establish a duty of care is the Foreseeable Plaintiff Test c. The Foreseeable Plaintiff Test and Policy Considerations (Anns Test) d. The Reasonable Person Test and Policy Considerations (Anns Test) e. The Reasonable Person Test and Reasonable Foreseeability Test

Answers

If it is established that Alex owed Tony a duty of care because proximity has been established, then the following tests must also be applied to prove a duty exists: The Foreseeable Plaintiff Test and Reasonable Foreseeability Test.

If it is established that Alex owed Tony a duty of care because proximity has been established, then the following tests must also be applied to prove a duty exists: The Foreseeable Plaintiff Test and Reasonable Foreseeability Test. The Foreseeable Plaintiff Test is used to evaluate whether a claimant is the foreseeable plaintiff who could be harmed. The starting point in any negligence action is whether the injury was foreseeable. The courts are more likely to find a duty of care if the defendant is aware of the risk of harm to the claimant.

Thus, whether a claimant is a foreseeable plaintiff is a key aspect of the tort of negligence.The Reasonable Foreseeability Test is used to assess whether a defendant should have been able to reasonably foresee the risk of harm that arose and resulted in the claimant's injury. It's important to remember that the test isn't concerned with whether the defendant actually anticipated that the claimant would be injured, but whether a reasonable person in their position would have foreseen that the claimant might be hurt.

In addition, a claimant must have suffered harm that was caused by the defendant in order to bring a successful negligence claim.

The Foreseeable Plaintiff Test and Reasonable Foreseeability Test are used to evaluate whether a claimant is the foreseeable plaintiff who could be harmed and to assess whether a defendant should have been able to reasonably foresee the risk of harm that arose and resulted in the claimant's injury. If it is established that Alex owed Tony a duty of care because proximity has been established, these two tests are applied to prove that a duty exists.

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i purchased 5 bonds each worth $100 at 10% interest rate and financed them with my own cash, $100 and bank debt, $400 at 5% interest rate. what are my nominal return, roa, and roe 1) if there is no change in interest and market valuation on bonds? 2) if the interest rate on bank debt goes up to 15%? 3) if the interest rate on bank debt goes down to 1%?

Answers

1) Nominal return: $50 (5 BONDs x $100 x 10%)

  ROA (Return on Assets): 12.5% [$50 (nominal return) / ($100 (own cash) + $400 (bank debt))]

  ROE (Return on Equity): 25% [$50 (nominal return) / $200 (equity = own cash)]

Assuming no change in interest and market valuation on bonds, the nominal return is calculated by multiplying the number of bonds, their face value, and the interest rate.

the interest rate. In this case, it's 5 bonds x $100 x 10% = $50.

ROA measures the return on total assets, which includes both equity (own cash) and liabilities (bank debt). ROA is calculated by dividing the nominal return ($50) by the sum of own cash ($100) and bank debt ($400), resulting in 12.5%.

ROE measures the return on equity, which focuses solely on the owner's investment. ROE is calculated by dividing the nominal return ($50) by the equity amount ($200 = own cash), resulting in 25%.

2) Nominal return remains $50.

  ROA: 8.3% [$50 (nominal return) / ($100 (own cash) + $400 (bank debt))]

  ROE: 16.7% [$50 (nominal return) / $200 (equity = own cash)]

If the interest rate on bank debt increases to 15%, the nominal return remains unchanged at $50. However, the ROA and ROE decrease due to the higher interest expense. ROA becomes 8.3% [$50 (nominal return) / ($100 (own cash) + $400 (bank debt))], and ROE becomes 16.7% [$50 (nominal return) / $200 (equity = own cash)].

3) Nominal return remains $50.

  ROA: 33.3% [$50 (nominal return) / ($100 (own cash) + $400 (bank debt))]

  ROE: 66.7% [$50 (nominal return) / $200 (equity = own cash)]

If the interest rate on bank debt decreases to 1%, the nominal return remains unchanged at $50. The lower interest expense leads to higher ROA and ROE. ROA becomes 33.3% [$50 (nominal return) / ($100 (own cash) + $400 (bank debt))], and ROE becomes 66.7% [$50 (nominal return) / $200 (equity = own cash)].

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Accounting Question:
\( \mathrm{ABC} \) Company uses the aging - of - receivables method to estimate uncollectible receivables. ABC Company has \( \$ 50,000 \) in Accounts Receivable that is over 90 days past due and \( 9

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Aging-of-receivables is a method used by businesses to evaluate their accounts receivable and estimate which receivables are not likely to be paid. It is used to estimate uncollectible receivables. This method involves analyzing the age of each receivable and determining the likelihood that it will be paid.

ABC Company has $50,000 in Accounts Receivable that is over 90 days past due and 9.5% of all accounts receivable is considered uncollectible, according to their experience. Using the aging-of-receivables method, ABC Company can estimate the amount of uncollectible accounts receivable by creating an age analysis schedule.

By applying these percentages to their accounts receivable, ABC Company can estimate the total amount of uncollectible accounts receivable and adjust their allowance for doubtful accounts accordingly. This will help them to better manage their cash flow and reduce the risk of bad debt.

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What is.often the most critical part of managing receivables? Monitoring the receivables Determining who gets credit and who doesn't Determining which method to use to account for bad debts Establishing a payment period

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Monitoring receivables stands out as the most crucial step in managing receivables. It ensures the timely collection of accounts and enables timely follow-up on delinquent accounts, thus promoting healthy cash flow and minimizing bad debts. By following these steps, businesses can optimize their receivables management processes and enhance their overall financial health.

Managing receivables involves implementing strategies to enhance cash collection, minimize bad debts, and maintain a healthy cash flow. To effectively manage receivables, businesses must follow several critical steps. One of the primary steps is monitoring the receivables, which are outstanding payments owed to the company for goods or services provided. Regular monitoring enables businesses to track payment due dates, assess if clients are fulfilling their payment obligations as agreed, and identify any potential delinquencies or defaults. By frequently reviewing receivables, businesses can ensure timely collection of accounts and promptly address delinquent accounts.

Other crucial aspects of managing receivables include establishing a suitable payment period, determining creditworthy customers, and selecting an appropriate method to account for bad debts. The payment period refers to the timeframe between the sale and the payment due date, and it plays a vital role in receivables management. A shorter payment period reduces the risk of bad debts for the business. Moreover, determining which customers are eligible for credit is essential. This evaluation involves assessing their credit score, income, assets, and liabilities to gauge their creditworthiness accurately. Lastly, selecting the appropriate method to account for bad debts is critical. The direct write-off method is suitable for minor bad debts, while the allowance method is used for significant bad debts.

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without doing a calculation, how does the freezing point of 0.200 m kcl compare to that of 0.200 m c12h22o11 (sucrose—i.e. table sugar, a nonelectrolyte)? the freezing point of 0.200 m kcl is…

Answers

Without performing a specific calculation, we can conclude that the freezing point of a 0.200 M KCl solution will be lower (or more negative) compared to the freezing point of a 0.200 M sucrose solution.

The freezing point of a solution is influenced by the number of particles present in the solution. In the case of KCl (potassium chloride), it dissociates into two ions (K+ and Cl-) in solution, while sucrose (C12H22O11) does not dissociate into ions and remains as individual molecules.

Since KCl dissociates into ions, it will contribute more particles to the solution compared to sucrose. This means that a 0.200 M solution of KCl will have a greater number of particles than a 0.200 M solution of sucrose.

According to the colligative properties, such as freezing point depression, the freezing point of a solution is lowered as the number of particles increases.

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A. stock just paid a dividend of $2.85. The dividend is expected to grow at 26.67% for theo years and then grow at 3.73% thereatter, The required return on the stock is 11.937. What is the value of the stock?

Answers

To calculate the value of the stock, we need to sum the present value of all future dividends. However, since the growth rate after year 2 is not provided, we cannot calculate the exact value of the stock. We need more information to complete the calculation.

To calculate the value of the stock, we need to use the dividend discount model (DDM). The DDM takes into account the future dividends and the required return on the stock.

Step 1: Calculate the growth rate of dividends for the first two years:
Dividend growth rate = 26.67%
Dividend after year 1 = Dividend * (1 + growth rate) = $2.85 * (1 + 0.2667) = $3.61
Dividend after year 2 = Dividend after year 1 * (1 + growth rate) = $3.61 * (1 + 0.2667) = $4.56

Step 2: Calculate the growth rate of dividends after year 2:
Growth rate after year 2 = 3.73%

Step 3: Calculate the present value of the future dividends using the required return:
PV of dividend after year 1 = Dividend after year 1 / (1 + required return) = $3.61 / (1 + 0.11937) = $3.22
PV of dividend after year 2 = Dividend after year 2 / (1 + required return)^2 = $4.56 / (1 + 0.11937)^2 = $3.63

Step 4: Calculate the value of the stock:
Value of the stock = PV of dividend after year 1 + PV of dividend after year 2 + ... + PV of dividend after year n + ...
Value of the stock = $3.22 + $3.63 + ...

To calculate the value of the stock, we need to sum the present value of all future dividends. However, since the growth rate after year 2 is not provided, we cannot calculate the exact value of the stock. We need more information to complete the calculation.

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To calculate the value of the stock, we need to use the dividend discount model (DDM). The value of the stock is $59.84.

The DDM takes into account the expected future dividends and the required return on the stock.

Step 1: Calculate the dividend growth rate for the first two years. The dividend is expected to grow at 26.67% for theo years and then grow at 3.73% thereafter.

For the first two years:
Dividend growth rate = 26.67%
Dividend in Year 1 = $2.85 * (1 + 0.2667) = $3.61
Dividend in Year 2 = $3.61 * (1 + 0.2667) = $4.57

Step 2: Calculate the dividend growth rate from Year 3 onwards.

Dividend growth rate = 3.73%

Step 3: Calculate the present value of future dividends.

To calculate the present value, we need to discount each dividend by the required return on the stock, which is 11.937%.

Present value of Year 1 dividend = $3.61 / (1 + 0.11937) = $3.22
Present value of Year 2 dividend = $4.57 / (1 + 0.11937)^2 = $3.83

Next, we calculate the present value of dividends from Year 3 onwards using the constant growth formula:

Present value of Year 3 dividend = $4.57 * (1 + 0.0373) / (0.11937 - 0.0373) = $52.79

Step 4: Calculate the value of the stock.

Value of the stock = Present value of Year 1 dividend + Present value of Year 2 dividend + Present value of Year 3 dividend

Value of the stock = $3.22 + $3.83 + $52.79 = $59.84

Therefore, the value of the stock is $59.84.

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Noela (24) has a health savings account (HSA). In 2021, she made contributions of $4,250 to the HSA. Where on the return will she calculate the additional tax?
Form 5329.
Form 1099-SA.
Form 8863.
Form 5498-SA.

Answers

The additional tax is 6% of the excess contribution amount, and it is reported on Form 5329, which is attached to the individual's income tax return.

Noela (24) has a health savings account (HSA). In 2021, she made contributions of $4,250 to the HSA. She is required to report any excess contributions on her tax return by filling out Form 5329. Noela must calculate the additional tax on excess contributions, if any, and attach it to her income tax return.

Health Savings Account (HSA) is a tax-advantaged medical savings account that is offered in combination with high-deductible health plans (HDHPs). HSAs can only be used for qualifying medical expenses, but they offer tax benefits such as tax-deductible contributions, tax-free earnings, and tax-free withdrawals for eligible expenses.

Contributions to an HSA are tax-deductible up to the annual limit set by the IRS. In 2021, the contribution limit for an individual with self-only coverage under an HDHP is $3,600 and for a family, the limit is $7,200. HSA contributions can be made by the individual, their employer, or a combination of both.

If an individual contributes more than the annual contribution limit to their HSA, they will have to pay additional tax on the excess contribution.

The additional tax is 6% of the excess contribution amount, and it is reported on Form 5329, which is attached to the individual's income tax return.

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Consider Jimmy’s Dairy, a cheese producer. Which of the following would be more likely to be a fixed cost?
a.hourly workers
b.milk
c.insurance premiums

Answers

Jimmy's Dairy is a cheese producer. The term "fixed cost" refers to any cost that remains the same regardless of production volume. It is a cost that a company must incur even if it does not produce a single item. The cost of hourly workers is a variable cost because it varies depending on how many hours they work.

If the cheese producer produces more cheese, it will need more hourly workers and will have to pay more. This means that the cost of hourly workers is not fixed. Milk is a raw material that Jimmy's Dairy uses to produce cheese.

When the cheese producer produces more cheese, it needs more milk, and when it produces less cheese, it needs less milk. The cost of milk is a variable cost because it varies depending on the level of production.

Insurance premiums, on the other hand, would be more likely to be a fixed cost. The cost of insurance premiums would be incurred by Jimmy's Dairy regardless of whether it produces one unit of cheese or one million units.

It is not affected by production volume. Therefore, insurance premiums are more likely to be a fixed cost.   In conclusion, insurance premiums are more likely to be a fixed cost in Jimmy's Dairy.

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The following information relates to the intangible assets of University Testing Services (UTS): 3. On January 1, 2024, UTS completed the purchase of Heintich Corporation for $3,051,000 in cash. The fair value of the net identifiable assets of Heinrich was $2,750,000. b. Included in the assets purchased from Heinrich was a patent valued at $79,100. The original legal life of the patent was 20 years: there are 12 years remaining, but UTS believes the patent will be useful for only seven more years. c. UTS acquired a franchise on July 1,2024, by paying an initial franchise fee of $316,800. The contractual life of the franchise is 9 years: Required: 1. Record amortization expense for the intangible assets at December 31, 2024. 2. Prepare the intangible asset section of the December 31,2024 , balance sheet. Record amortization expense for the intangible assets at December 31, 2024. (If no entry is required for a transaction/event, select "No Journal Entry Required" in the first account field.) Journal entry worksheet On January 1, 2024, UTS completed the purchase of Heinrich Corporation for $3,051,000 in cash. The fair value of the net identifiable assets of Heinrich was $2,750,000. Record amortization of goodwill. Note: Enter debits before credies. ecord amortization expense for the intangible assets at December 31, 2024. (If no entry is required for a transaction/event, select 'No ournal Entry Requilred" in the first account field.) Journal entry worksheet Included in the assets purchased from Heinrich was a patent valued at $79,100. The original legal life of the patent was 20 years; there are 12 years remaining, but UTS belleves the patent will be useful for only seven more years. Record amortization of the patent. Mote: Enter debits before urots. Journal entry worksheet UTS acquired a franchise on July 1, 2024, by paying an initial franchise fee of $316,800. The contractual life of the franchise is 9 years. Record amortization of the franchise rights. Note: Enter debits before credits. Prepare the intangible asset section of the December 31,2024 , balance sheet.

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Journal entry worksheet On January 1, 2024, UTS completed the purchase of Heinrich Corporation for $3,051,000 in cash. The fair value of the net identifiable assets of Heinrich was 2,750,000.

Record amortization of goodwill. Note:

Enter debits before credits. Account Titles Debits Credits Intangible assets 301,000 Goodwill 301,000To record goodwill at the time of purchase of Heinrich Corporation.

Journal entry worksheet Included in the assets purchased from Heinrich was a patent valued at $79,100. The original legal life of the patent was 20 years there are 12 years remaining, but UTS believes the patent will be useful for only seven more years.

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Evaluate the impact on supply and demand in the United states economy on the Russian invasion of Ukraine?

Please answer this question by reviewing Business articles of the US economy. what's happening what the news says or to see if there was no impact or there was impact on one but not the other or there were impacts on both supply and demand or there was some impact but only one of a number of factors.

Please focus on economic side and supply and demand NOT on the war side of it. impact of supply and demand in the US economy.

if you could provide the reference list too. thank you

Answers

The Russian invasion of Ukraine has had an impact on the supply and demand in the United States economy. The specific effects can vary based on the nature and extent of the conflict, as well as other factors influencing the economy.

1. Energy prices: The conflict has the potential to disrupt global energy markets, particularly in terms of natural gas supplies. Russia is a major exporter of natural gas to Europe, and any disruptions in supply could lead to increased energy prices in the United States. Higher energy prices can impact the cost of production for businesses, leading to potential decreases in supply.

2. Financial markets: Geopolitical tensions can create uncertainty in financial markets. Investors may become more cautious and seek safer investment options, leading to potential volatility and fluctuations in stock markets. This can affect consumer confidence and spending patterns, which in turn impacts the demand for goods and services.

3. Trade relations: The conflict can also have implications for trade relations between the United States and Russia, as well as other countries involved. Trade restrictions or sanctions imposed by the United States or other nations can impact the supply of certain goods and services, leading to changes in supply and demand dynamics.

4. Defense spending: In response to the conflict, the United States may increase defense spending, leading to a boost in demand for defense-related goods and services. This can have a positive impact on industries related to defense production.

It is important to note that the impact of the Russian invasion of Ukraine on the United States economy may not be limited to these factors alone. Other factors, such as domestic economic conditions and global economic trends, can also influence the overall impact.

Please keep in mind that while this answer provides a general understanding of the potential impacts, it is essential to refer to specific business articles and news sources for up-to-date and detailed information on the impact of the Russian invasion of Ukraine on the United States economy.

Reference List:
- Please refer to reputable business news sources such as Bloomberg, CNBC, The Wall Street Journal, and Reuters for specific articles on the impact of the Russian invasion of Ukraine on the United States economy.

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One of the primary differences between a for-profit and a
not-for-profit entity is donated services. So, how are donated
services recorded from a not-for-profit perspective?

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One of the primary differences between a for-profit and a not-for-profit entity is donated services. In the case of a not-for-profit entity, donated services are recorded as contributed services.

The donated services from a not-for-profit perspective is recorded as contributed services. Contributed services refer to non-cash contributions such as volunteers offering their time, skills, and expertise to support a not-for-profit entity's operations. The fair value of the donated services is recorded as revenue and expenses in the statement of activities of the not-for-profit entity.

The not-for-profit entity should consider and record the fair value of the services contributed by the volunteers or others. Donated services can take many forms such as time and skills of volunteers, free rent or utilities offered by a landlord, pro-bono services provided by professionals, among others.

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Discuss extreme poverty in brazil between years 1910 and
2010

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Extreme poverty has been a persistent problem in Brazil for a long time, and it has gone through many changes between 1910 and 2010. Despite several efforts by the government to tackle poverty levels, much remains to be done to eliminate extreme poverty in Brazil.

Brazil is among the world's most unequal countries, with extreme poverty affecting millions of people. Extreme poverty has been an issue in Brazil for a long time, and it has gone through many changes between 1910 and 2010. During this period, Brazil's population increased from 30 million in 1910 to over 190 million in 2010, making it the world's fifth most populated country in 2010.Extreme poverty was primarily concentrated in rural areas of Brazil in the early 20th century, with low life expectancy and high infant mortality rates. The government's effort to industrialize the country was intended to eliminate poverty.

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A perfectly competitive seller is

A. both a price maker and a price taker.

B. neither a price maker nor a price taker.

C. a price taker.

D. a price maker

Answers

So, the correct option is (C) a price taker. A perfectly competitive seller is a price taker. In a perfectly competitive market, there are many sellers and buyers, and they all sell and buy identical products.

This means that each seller has no control over the price of the product. Instead, they must accept the market price determined by the forces of supply and demand.
Here's an example to help you understand:
Let's say there is a perfectly competitive market for apples. In this market, there are many apple sellers, all selling the same type of apple. If one seller tries to raise the price of their apples, buyers can easily switch to another seller offering the same product at a lower price. As a result, sellers have to accept the market price for apples, without any influence on it.
Therefore, a perfectly competitive seller is considered a price taker because they have no control over the price and must accept the market-determined price for their product.

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When 3 design decreases the price of its dresses from 50 to 45 , sales increase from 133 to 154 . Calculate the price elasticily of demand. Write your answer with 2 decimals (ie. 1033\( ) \).

Answers

The price elasticity of demand is 1.58 (rounded off to 2 decimal places).

Price Elasticity of Demand is the measure of how sensitive the demand for a good or service is in relation to changes in its price.

Price Elasticity of Demand = % Change in Quantity Demanded / % Change in Price

Initial Price of Dresses = $50

Final Price of Dresses = $45

Initial Quantity Demanded = 133

Final Quantity Demanded = 154

The formula for Price Elasticity of Demand = % Change in Quantity Demanded

= (New Quantity Demanded - Old Quantity Demanded) / Old Quantity Demanded * 100% Change in Price

= (New Price - Old Price) / Old Price * 100% Change in Quantity Demanded

= (154 - 133) / 133 * 100 = 15.79%

= Change in Price = (45 - 50) / 50 * 100

= -10%

Price Elasticity of Demand = % Change in Quantity Demanded / % Change in Price

= -15.79% / -10%

Price Elasticity of Demand = 1.58

Therefore, the price elasticity of demand is 1.58 (rounded off to 2 decimal places).

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Case Study Seven: Starbucks at the Airport: Discrimination in Public Spaces
Chapter 16 discusses several kinds of employment discrimination prohibited by equal employment opportunity laws. What kinds of employment discrimination did Unite Here allegations have occurred at Starbucks airport stores?
What steps had Starbucks taken to promote equity, diversity, and inclusion in its own work culture? What more do you think Starbucks should do, if anything?
Should Starbucks be concerned about the treatment of workers by its licensees, such as HMSHost why or why not
What factors should Nzinga Shaw consider when deciding what to do concerning Unite here charges of discrimination at Starbucks airport?
What would you recommend Nzinga Shaw do, and why?

Answers

The kinds of employment discrimination Unite Here allegations have occurred at Starbucks airport stores is:  Wage and hours infringements, inadequate compensation, and poor working conditions are examples of such complaints

Unite Here is an organization that brings workers in the hotel, restaurant, and foodservice industries together. Starbucks airport stores, according to the organization, are a locus of discrimination. The majority of the complaints are linked to gender discrimination, but other kinds of discrimination are also mentioned.The following are the steps that Starbucks had taken to promote equity, diversity, and inclusion in its own work culture:

In 2015, Starbucks launched its #RaceTogether campaign, which aimed to promote racial harmony across the company's stores and in the broader community. The goal was to encourage constructive discussions about racial issues, as well as to find ways to promote equality and justice. Starbucks has also made a commitment to employ 10,000 refugees in the coming years, according to Howard Schultz.

The company also set a target of hiring 100,000 "opportunity youth," people aged 16 to 24 who are out of work and out of school. These are just a few examples of Starbucks' ongoing commitment to promote equity, diversity, and inclusion in its business operations.What more Starbucks should do, if anything, is up to the discussion. One suggestion could be that Starbucks could do more to foster and nurture a corporate culture that is committed to social justice.

Yes, Starbucks should be concerned about the treatment of workers by its licensees, such as HMSHost. Starbucks has a responsibility to ensure that all of its business partners and licensees comply with the company's high ethical standards. This is particularly true in the case of HMSHost, as they operate Starbucks airport stores on the company's behalf. Starbucks has a responsibility to ensure that workers at these stores are treated fairly and equitably, regardless of whether they are Starbucks employees or not.

Nzinga Shaw should consider the following factors when deciding what to do concerning Unite here charges of discrimination at Starbucks airport: The gravity of the allegations made by Unite Here, the evidence that exists to support these allegations, the potential impact on the company's reputation, and the broader context in which the allegations are made.

Nzinga Shaw should conduct a thorough and impartial investigation into the allegations of discrimination at Starbucks airport stores. This investigation should be led by an independent third party, such as a law firm or an NGO. The investigation should be transparent and involve input from all relevant stakeholders, including Unite Here and workers at the airport stores.

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which of the following is not a primary activity in a firm value chain? group of answer choices finance/accounting outbound logistics operations after-sales service

Answers

Finance/accounting is not considered a primary activity in a firm's value chain. Option A is the correct answer.

The primary activities in a firm's value chain are directly involved in the creation and delivery of the product or service. These activities include inbound logistics (receiving, storing, and distributing inputs), operations (transforming inputs into finished products), outbound logistics (collecting, storing, and distributing products to customers), marketing and sales (promoting and selling products), and after-sales service (providing customer support and maintenance).

Finance/accounting, on the other hand, is a support or secondary activity that facilitates and supports the primary activities. It involves functions such as financial management, budgeting, financial reporting, and record-keeping.

While finance/accounting is essential for managing and monitoring the financial aspects of the business, it does not directly contribute to the physical creation or delivery of the product or service. Option A is the correct answer.

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As long as the NPV of a project declines smoothly with increases in the discount rate, the project is acceptable if its: a. rate of return exceeds the cost of capital.
b. net present value does not equal zero. c. internal rate of return is positive. d. cash inflows exceed the initial cost.

Answers

As long as the NPV of a project declines smoothly with increases in the discount rate, the project is acceptable if its internal rate of return is positive. The correct option is A.

The statement in the question suggests that the net present value (NPV) of the project decreases as the discount rate increases. In such a case, the project can be considered acceptable if its internal rate of return (IRR) is positive.

The internal rate of return represents the discount rate at which the NPV of the project becomes zero. If the IRR is positive, it indicates that the project's cash inflows are expected to generate a rate of return higher than the cost of capital. This implies that the project is expected to be financially viable and acceptable.

The other options mentioned in the question, such as the rate of return exceeding the cost of capital (option a), the NPV not equaling zero (option b), or the cash inflows exceeding the initial cost (option d), do not capture the specific condition mentioned in the statement about the NPV declining smoothly with increases in the discount rate. Therefore, option c is the most appropriate answer.

Hence, the correct option is A.

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Which of the following is a characteristic of a partnership? A. A partnership pays no business income tax. B. Partnerships are organized as corporations. C. Partnerships issue common stock to partners"

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C. Partnerships issue common stock to partners is a characteristic of a partnership.

A partnership is a type of business structure in which two or more individuals or entities come together to carry out a business venture and share its profits, losses, and liabilities. Partnerships are governed by a partnership agreement, which outlines the terms and conditions of the partnership, including the rights, responsibilities, and obligations of each partner.

This is a characteristic of a corporation, not a partnership. Partnerships do not issue common stock to partners as corporations do. In a partnership, the partners contribute capital or assets to the business and become co-owners, sharing the profits, losses, and liabilities of the partnership. However, their ownership interests are typically not represented by shares of stock but rather by partnership agreements or capital accounts.

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Question 21 (2.17 points) True or False? Outcome evaluation documents how the program got started. 1) True 2) False Question 22 (2.17 points) True or False? Immediate outcomes for mass media might include changes in individual behavior and enactment of policies. 1) True 2) False Question 24 (2.17 points) Which of the following is not considered a potential audience for workplace wellness programs? 1) The "business case" from the perspective of business leaders 2) The employee 3) The "planners, implementers, and evaluators" of workplace programs 4) Local gyms Question 25 (2.17 points) True or False? The practice of "CulturalCare" seeks to assimilate patients into the culture of clinical care. 1) True 2) False

Answers

Question 22: 1) True

Question 24: 4) Local gyms

Question 25: 2) False

Question 22:True. Outcome evaluation does document how the program got started, as it focuses on the initial processes, inputs, and activities that contributed to the program's development.

Question 24:

The potential programs include: 1) The "business case" from the perspective of business leaders, 2) The employee, and 3) The "planners, implementers, and evaluators" of workplace programs. Local gyms, however, are not considered a potential audience for workplace wellness programs.

Question 25:False. The practice of "CulturalCare" does not seek to assimilate patients into the culture of clinical care. Instead, it aims to promote culturally competent healthcare by acknowledging and respecting the diverse cultural backgrounds and values of patients.

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Bluefield Corporation has two product lines, A and B. Bluefield has identified the following information about its overhead and potential cost drivers: Total overhead $ 76,360 Cost drivers Number of labor hours 2,000 Number of machine hours 46,000 Required: Suppose Bluefield Corporation uses a traditional costing system with number of labor hours as the cost driver. Determine the amount of overhead assigned to each product line if Product A requires 79 percent of the labor hours and Product B requires 21 percent. Suppose Bluefield uses a traditional costing system with machine hours as the cost driver. Determine the amount of overhead assigned to each product line if Product A requires 16,600 machine hours and Product B requires 29,400.

Answers

Using the number of labor hours as the cost driver: , • Overhead assigned to Product A = $60,120 , • Overhead assigned to Product B = $3,240 ,Using the machine hours as the cost driver: , • Overhead assigned to Product A = $27,606.96 , • Overhead assigned to Product B = $48,753.04

To determine the amount of overhead assigned to each product line using a traditional costing system, we'll calculate the overhead allocation based on the proportion of the cost driver associated with each product line.

Using the number of labor hours as the cost driver: Total overhead = $76,360 Number of labor hours = 2,000

Product A requires 79% of the labor hours, which is 0.79 * 2,000 = 1,580 labor hours. Product B requires 21% of the labor hours, which is 0.21 * 2,000 = 420 labor hours.

To allocate overhead, we'll use the proportion of labor hours for each product line: Overhead assigned to Product A = (Overhead / Total labor hours) * Labor hours for Product A Overhead assigned to Product B = (Overhead / Total labor hours) * Labor hours for Product B

Overhead assigned to Product A = ($76,360 / 2,000) * 1,580 = $60,120 Overhead assigned to Product B = ($76,360 / 2,000) * 420 = $3,240

Using the machine hours as the cost driver: Total overhead = $76,360 Number of machine hours = 46,000

Product A requires 16,600 machine hours. Product B requires 29,400 machine hours.

To allocate overhead, we'll use the proportion of machine hours for each product line: Overhead assigned to Product A = (Overhead / Total machine hours) * Machine hours for Product A Overhead assigned to Product B = (Overhead / Total machine hours) * Machine hours for Product B

Overhead assigned to Product A = ($76,360 / 46,000) * 16,600 = $27,606.96 Overhead assigned to Product B = ($76,360 / 46,000) * 29,400 = $48,753.04

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To what extent does weak and strong sustainability matter in the formulation of government policy on sustainable economic development?
How does weak sustainability differ from strong sustainability? To what extent does weak and strong sustainability matter in the formulation of government policy on sustainable economic development?

Answers

Weak and strong sustainability are two critical concepts that are important in the formulation of government policies on sustainable economic development.

The term sustainability refers to the ability to maintain a certain level of economic activity or growth over an extended period of time. It is used to describe the ability of economic systems to maintain themselves while also preserving natural resources for future generations.

Weak sustainability, on the other hand, is the concept that natural resources can be depleted over time without damaging economic growth. This idea assumes that natural resources can be replaced by human-made capital, such as technology and other resources.

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Sharon pays a tax of \( \$ 4,000 \) on her income of \( \$ 40,000 \), while Brad pays a tax of \( \$ 1,000 \) on his income of \( \$ 20,000 \). This tax is: Select one: a. proportional. b. progressive

Answers

Sharon pays a tax of \$4,000 on her income of $40,000, while Brad pays a tax of \$1,000 on his income of $20,000. This tax is progressive because the tax paid is a higher proportion of the income earned as the income increases.

Let's take a look at the calculations:Sharon:Tax rate = Tax paid / Income earnedTax rate = \$4,000 / $40,000Tax rate = 0.1 or 10%Brad:Tax rate = Tax paid / Income earnedTax rate = \$1,000 / $20,000Tax rate = 0.05 or 5%In this case, Sharon is paying a higher percentage of her income in taxes than Brad.

This is because the tax system is designed to be progressive, meaning that the tax rate increases as income increases. This is to ensure that those who earn more contribute more to the government's coffers. Therefore, the tax system in this scenario is progressive.

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What are its strengths and weaknesses or any concerns related to
Corporate Social Responsibility?

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Corporate Social Responsibility (CSR) has strengths such as improving a company's reputation and relationships. Corporate Social Responsibility (CSR) refers to a company's commitment to conduct its business in an ethical and responsible manner, considering its impact on society and the environment.

Strengths of CSR include enhancing a company's reputation and brand image, attracting and retaining talented employees, and fostering positive relationships with stakeholders. For example, by investing in social and environmental initiatives, companies can build trust and loyalty among customers and employees.

However, CSR also has weaknesses and concerns. One weakness is that some companies may engage in CSR activities as a form of greenwashing, where they present themselves as socially responsible without making substantial changes to their core business practices. Another concern is the potential for CSR initiatives to be seen as a distraction from addressing broader societal issues, such as income inequality or climate change, which may require systemic changes.

Therefore, while CSR has strengths such as improving a company's reputation and relationships, it also has weaknesses and concerns. It is important for companies to approach CSR with genuine commitment and ensure that their actions align with the broader goals of sustainable development.

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Ford provided Canadian markets only​ 2,000 Thunderbirds in order to practice
A. ​tie-in sales.
B. third−degree price discrimination.
C. perfectperfect price discrimination.
D. second−degree price discrimination.
E. ​two-part pricing.

Answers

The objective of price discrimination is to increase the company's sales volume and profits.

Price discrimination has three types perfect price discrimination, second-degree price discrimination, and third-degree price discrimination.Second-degree price discrimination Second-degree price discrimination refers to the practice of charging different prices based on the quantity of the products.

Firms charge lower prices for bulk purchases and higher prices for small or retail purchases.

This can be seen in volume discounts or quantity discounts offered by most firms or retailers. In this case, Ford provided Canadian markets only 2,000 Thunderbirds in order to practice second-degree price discrimination.Tie-in salesTie-in sales refers to a strategy in which one item is linked to the sale of another item.

For example, a firm might require buyers to buy a new printer when they buy new ink cartridges for their old printers.

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A major contributor to employee engagement is for workers to perform work they perceive to be meaningful. So how about telling all managerial, professional, technical and sales employees that they can devote five hours each work week to performing work they consider to be meaningful? At the same time place very few restrictions on what workers can do during those five hours

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A major contributor to employee engagement is for workers to perform work they perceive to be meaningful. Allowing employees to devote five hours each work week to performing work they consider meaningful can be an effective strategy. By giving employees the freedom to choose how they spend these five hours, you provide them with a sense of autonomy and control over their work. This can increase their motivation, job satisfaction, and overall engagement.

However, it is important to establish some guidelines to ensure that the work performed during these five hours aligns with the organization's goals and values. For example, you could encourage employees to identify projects or initiatives that contribute to their professional development, the company's social responsibility efforts, or areas where they can use their skills and expertise to make a positive impact.

Additionally, it would be helpful to provide resources and support to employees during this time. This can include access to training, mentorship, or collaboration opportunities with colleagues. By doing so, you facilitate a conducive environment for employees to engage in meaningful work.

Therefore, allowing employees to dedicate five hours each work week to meaningful work can be a powerful driver of employee engagement. By providing autonomy and support, organizations can empower employees to make a positive impact and foster a sense of purpose in their work.

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Other Questions
which of the following statements is correct? a. the npv and irr methods both assume that cash flows can be reinvested at the cost of capital. however, the mirr method assumes reinvestment at the mirr itself. b. for a project with normal cash flows, any change in the cost of capital will change both the npv and the irr. c. if two projects have the same cost, and if their npv profiles cross in the upper right quadrant, then the project with the lower irr probably has more of its cash flows coming in the later years. d. to find the mirr, we first compound cash flows at the regular irr to find the tv, and then we discount the tv at the cost of capital to find the pv. e. if two projects have the same cost, and if their npv profiles cross in the upper right quadrant, then the project with the higher irr probably has more of its cash flows coming in the later years. Which function would be affected if the alpha cells of the islets of Langerhans were damaged?ability to fight infectionconversion of glucose to glycogen in the liverconversion of glycogen to glucose in the liverpermeability of muscle cells to glucose A diver shines light up to the surface of a smooth pond at a 10 degree angle to the normal. Some light passes into the air above, and the part that reflects back into the water makes an angle to the normal of duein 30 pls help!! will rate good (:One question in totalLet \( f(x)=x^{2 / 3}-x \), with domain \( [0,8] \). Find the absolute maximum and minimum of \( f(x) \).Let \( f(x)=x^{2 / 3}-x \), with domain \( [0,8] \). Find the linear approximation for \( f(x 1. Which type of cellular life is not infected by its own viruses? none of these, fungi, plants-incorrect, archaea 2. A viral envelope: is part of some bacteriophages is coded for in a viral genome incorrect is not a true plasma membrane is found within the capsid 3. 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