in general, ________ that falls outside an acceptable range of variation must be dealt with by a manager.

Answers

Answer 1

In general, any factor or situation that falls outside an acceptable range of variation must be dealt with by a manager. A manager is an individual who is responsible for overseeing the activities and performance of a team, department, or organization.


Managers are responsible for overseeing the operations and performance of their teams or organizations. They are tasked with ensuring that processes, outcomes, and key performance indicators align with established standards and goals. When a factor or situation deviates from the acceptable range of variation, it can indicate a potential issue or problem that requires attention and intervention.

These factors can encompass various aspects such as financial performance, employee productivity, customer satisfaction, quality control, operational efficiency, and more. Managers must identify and address such deviations promptly to mitigate risks, optimize performance, and maintain organizational stability.

By promptly addressing these issues, managers can implement corrective measures, allocate resources effectively, make informed decisions, and steer their teams or organizations back on track towards achieving desired outcomes.


To know more about manager, click here, https://brainly.com/question/32150882


#SPJ11


Related Questions

Broker Brian is a real estate appraiser and legendary broker. In listing a property, he completes a market analysis to help the seller price the property. In this case, who makes the final decision in setting the listing price?
A) Broker Brian because he is an appraiser and legendary broker
B) The seller because Broker Brian has the duty of Loyalty
C) The seller because Broker Brian has the duty of Obedience
D) The buyer because they will make the offer

Answers

The final decision in setting the listing price is The seller because Broker Brian has the duty of Obedience. Option C is the correct answer.

In a real estate transaction, the seller ultimately has the authority to make the final decision in setting the listing price. The broker's role is to provide expert advice and guidance based on their market analysis and appraisal expertise. However, the broker must adhere to their duty of obedience, which means they are required to follow the seller's instructions and decisions regarding the listing price.

While Broker Brian may be an appraiser and a legendary broker, their role is to provide professional input and recommendations to the seller. Ultimately, it is the seller's prerogative to determine the listing price based on various factors such as market conditions, personal goals, and financial considerations. Option C is the correct answer.

For such more question on seller:

https://brainly.com/question/29311560

#SPJ8

"arise when a buyer's willingness to pay for a company's product increases with the number of other buyers who patronize the company."

Answers

Supply-side economies of scale are not limited to manufacturing and enhance competitiveness. New entrants join to develop a brand image, and strong product differentiation increases rivalry among competitors. The correct answer is options are C and D.

1: Supply-side economies of scale are not limited to the manufacturing sector. However, they occur when an organization can produce and supply goods and services at a lower cost than its competitors. Consequently, this leads to a firm's enhanced competitiveness in the market. Therefore, the correct answer is option C.New entrants are encouraged to join the market because the company can reach a larger audience, which aids in the development of a brand image that can be leveraged to improve the quality of products and services. Aspiring industry entrants are compelled to join the market on a large scale to benefit from the economies of scale created by established players.2: According to Porter, rivalry among competitors is greater when strong product differentiation exists among current players. In this case, a higher level of competitiveness among firms is beneficial to both consumers and producers. Therefore, the correct answer is option D.Strong product differentiation forces players in the industry to create unique products or services to satisfy their customers. It also enhances the quality of products in the market, ultimately leading to customer satisfaction and retention. Thus, rivalry among competitors is high when there is a need to create new products or services and ensure that they are of high quality.

For more questions on Supply-side economies

https://brainly.com/question/10399104

#SPJ8

The correct question would be as

MORE THAN ONE CORRECT ANSWER FOR BOTH QUESTIONS

Supply-side economies of scale

a. arise when a buyer's willingness to pay for a company's product increases with the number of other buyers who patronize the company.

b. encourage new entrants to the market.

c. are limited to the manufacturing sector.

d. force aspiring industry entrants to enter the market on a large scale.

According to Porter, rivalry among competitors is greater

a. when low investment intensity exists in businesses.

b. when dominant firms exist in industry.

c. when low switching costs exist for the buyers.

d. when strong product differentiation exists among current players.

1. Prepare journal entries to record the following transactions for Sherman Systems. a. Purchased 5,000 shares of its own common stock at \( \$ 25 \) per share on October 11 , b. Sold 1,000 treasury s

Answers

The journal entries to record the transactions for Sherman Systems are $1,25,000 and $30,000 for the purchase of own common stock and sale of 1,000 treasury stocks, respectively.

The journal entries to record the transactions for Sherman Systems are:ParticularsDebitCreditPurchase of own common stock at $25 per share on October 11. 1. Cash 1,25,000 2. Treasury Stock 1,25,000 (To record the purchase of own common stock)

Sale of 1,000 treasury stock. 1. Cash 30,000 2. Treasury Stock 22,000 3. Paid-in Capital from Treasury Stock 8,000 (To record the sale of treasury stock) The journal entry to record the purchase of own common stock at $25 per share on October 11 is:Cash AccountDr. $1,25,000. To Treasury Stock Account $1,25,000(To record the purchase of own common stock)

The journal entry to record the sale of 1,000 treasury stock is:Cash AccountDr. $30,000.To Treasury Stock Account $22,000. To Paid-in Capital from Treasury Stock Account$8,000(To record the sale of treasury stock)

Hence, the journal entries to record the transactions for Sherman Systems are $1,25,000 and $30,000 for the purchase of own common stock and sale of 1,000 treasury stocks, respectively.

To know more about Journal entry visit-

brainly.com/question/33045014

#SPJ11

What are the important factors/qualities that a buyer looks for in a salesperson? What tools, techniques, and processes does a good sales person employ to convey those qualities and do their sales job effectively?

Answers

Important factors that buyers look for in a salesperson include knowledge, communication skills, trustworthiness, and problem-solving ability.

The important factors/qualities that a buyer looks for in a salesperson can vary depending on the industry and the buyer's specific needs. However, some common factors include:

1. Knowledge: Buyers expect salespeople to have a deep understanding of the product or service being sold. This includes knowing its features, benefits, and how it solves the buyer's problems.

2. Communication skills: A good salesperson should be able to effectively communicate with the buyer, actively listening to their needs and concerns, and providing clear and concise information in return.

3. Trustworthiness: Buyers want to work with salespeople they can trust. This means being honest, reliable, and transparent throughout the sales process.

4. Problem-solving ability: A good salesperson should be able to identify the buyer's challenges and offer appropriate solutions. This requires critical thinking and a strong understanding of the buyer's industry.

To convey these qualities and do their sales job effectively, salespeople employ various tools, techniques, and processes. Some examples include:

1. Research: Good salespeople research their prospects to understand their needs and pain points before engaging with them. This allows them to tailor their approach and demonstrate their knowledge.

2. Active listening: Salespeople who actively listen to their buyers can better understand their needs and provide solutions that address their specific challenges.

3. Effective communication: Good salespeople communicate clearly and confidently, using persuasive language and storytelling techniques to engage buyers and demonstrate the value of their product or service.

4. Relationship-building: Building rapport and establishing trust with buyers is essential. Salespeople can achieve this through regular communication, follow-ups, and providing exceptional customer service.

In summary, important factors that buyers look for in a salesperson include knowledge, communication skills, trustworthiness, and problem-solving ability. To convey these qualities and do their sales job effectively, salespeople use tools like research, active listening, effective communication, and relationship-building techniques.

Learn more about Solution here:

https://brainly.in/question/12054000

#SPJ11

Holo Company reported the following financial numbers for one of its divisions for the year: average total assets of $5,800,000; sales of $5,375,000; cost of goods sold of $3,225,000; and operating expenses of $1,147,000. Compute the division's return on investment. Round your answer to one decimal point and include the \% sign (For example, 32.3\%)

Answers

The division's return on investment is 17.3%. Return on investment (ROI) is used to measure the performance of an investment or compare the efficiency of multiple investments.

ROI formula is as follows:

ROI = Net Income / Investment * 100

Holo Company's ROI can be calculated as follows:

ROI = Net Income / Investment * 100

ROI is usually measured as a percentage, hence 32.3% is the answer.

ROI = (Sales - Cost of goods sold - Operating expenses) / Average total assets * 100

Now, calculating ROI from the given information.

ROI = (5,375,000 - 3,225,000 - 1,147,000) / 5,800,000 * 100

ROI = 1,003,000 / 5,800,000 * 100ROI = 17.3%

The main answer is 17.3% which is the division's return on investment. The answer is rounded off to one decimal point.

Learn more about Operating expenses: https://brainly.com/question/15080057

#SPJ11

. a company anticipates selling 1,000 units of its product at a uniform rate over the next year. each time the company places an order for x units, it is charged a flat fee of $240. carrying costs are $300 per unit per year. how many times should the company reorder each year and what should be the lot size of each order to minimize inventory costs.

Answers

The eoq is 40 units.to determine the number of times the company should reorder, we divide the annual demand by the eoq:

number of orders = annual demand / eoq

number of orders = 1,000 / 40

number of orders = 25

thus, the company should reorder 25 times per year.

The company should reorder 4 times per year with a lot size of 250 units to minimize inventory costs.

to determine the optimal number of times the company should reorder and the lot size for each order, we can use the economic order quantity (eoq) formula. the eoq formula is used to minimize inventory costs by balancing the ordering costs and carrying costs.

given:

- anticipated annual demand: 1,000 units

- ordering cost per order: $240

- carrying cost per unit per year: $300

using the eoq formula:

eoq = sqrt((2 * annual demand * ordering cost) / carrying cost per unit)

substituting the given values:

eoq = sqrt((2 * 1,000 * $240) / $300)

eoq = sqrt((480,000) / $300)

eoq = sqrt(1,600) to calculate the lot size for each order, we divide the annual demand by the number of orders:

lot size = annual demand / number of orders

lot size = 1,000 / 25

lot size = 40 units

Learn more about Company here:

https://brainly.com/question/30532251

#SPJ11

Jasmine would like to accumulate $250,000 for his retirement in 13 years. If he is promised a rate of 4.08% compounded semi-annually by his local bank, how much should he invest today? Round to the nearest cent

Answers

Jasmine should invest approximately $153,430.35 today to accumulate $250,000 for his retirement in 13 years.

To calculate the amount Jasmine should invest today, we can use the formula for compound interest:

A = P(1 + r/n)^(nt)

Where:

A = the future value (amount Jasmine wants to accumulate)

P = the principal amount (the amount Jasmine needs to invest today)

r = the annual interest rate (4.08% or 0.0408 as a decimal)

n = the number of compounding periods per year (semi-annually, so 2)

t = the number of years (13)

Plugging in the values, we have:

250,000 = P(1 + 0.0408/2)^(2 * 13)

To solve for P, we rearrange the equation:

P = 250,000 / (1 + 0.0408/2)^(2 * 13)

Using a calculator, we can compute the value to be approximately $153,430.35. Therefore, Jasmine should invest approximately $153,430.35 today to accumulate $250,000 for his retirement in 13 years, assuming an interest rate of 4.08% compounded semi-annually.

To know more about Interest visit-

brainly.com/question/14295570

#SPJ11

A Moving to another question will save this response. Question 9 Which one of the following involves the study of a firm's stock price for the few days surrounding a news announcement? web survey market analysis trend study event study As Moving to another question will save this response. uestion 5 If the 589500 falls by 7 percent, the NYSE will: halt trad ing for one hour if the decline occurs after noon. halt trading for thirty minutef. halt trading for 15 mithutes it the decline occurs before 3425 p.m. halt trabing for one hour.

Answers

The study of a firm's stock price for the few days surrounding a news announcement is called an event study. An event study involves analysing the impact of specific events or news announcements on a firm's stock price and related market variables.


An event study focuses on examining how the stock market reacts to particular events, such as earnings releases, mergers and acquisitions, product launches, regulatory changes, or macroeconomic indicators.

By studying the stock price movements before, during, and after an event, researchers can assess the market's response and evaluate the event's impact on the firm's value. Event studies often employ various statistical techniques, such as event windows and abnormal returns analysis, to measure the significance and magnitude of the market's reaction.

Event studies are valuable for investors, financial analysts, and researchers as they provide insights into market efficiency, investor behaviour, and the informational efficiency of stock prices surrounding specific events.


To know more about firm's stock, click here, https://brainly.com/question/32375390


#SPJ11

Assume that China’s policy was of fixing the exchange rate. How
the graph for the US-dollar market in China looks like?

Answers

The Chinese central bank buys US dollars in exchange for Chinese yuan, it shifts the demand curve to the right while maintaining the same supply of yuan to the foreign exchange market in China.

As a result, the supply and demand graph for the US-dollar market in China will look like a horizontal line. The exchange rate, on the other hand, remains unchanged. When China's central bank purchases the US dollar, it raises the US dollar price of the Chinese yuan by reducing the supply of yuan to the market.

Since China has a fixed exchange rate, the value of the yuan is not allowed to fluctuate beyond a specific range. Furthermore, because China is a significant player in the international market, the impact of its actions in the foreign exchange market can be felt throughout the world. In recent years,

To know more about Chinese visit:

https://brainly.com/question/32856318

#SPJ11

without a calculator or computer, match the functions with their graphs in figure 12.28.

Answers

Figure 12.28 shows graphs of the three common functions, namely the quadratic, exponential and sinusoidal functions. A quadratic function is a second-degree polynomial, which means it has an x² term.

It forms a U-shaped graph known as a parabola. When a is positive, the parabola opens upwards, and when it is negative, it opens downwards. For example, the quadratic function f(x) = x² - 4x + 3 has a minimum value of 2, which occurs at x = 1. A function of the form f(x) = ax² + bx + c is a quadratic function if a ≠ 0, where a, b and c are constants.

An exponential function is a function of the form [tex]f(x) = ab^x[/tex], where a and b are constants. It forms a J-shaped graph that increases or decreases rapidly. If b > 1, the function grows exponentially, and if 0 < b < 1, it decays exponentially. For example, the function [tex]f(x) = 2(1.1)^x[/tex] is an exponential function that grows exponentially because 1.1 > 1.

To know more about graphs visit:

https://brainly.com/question/17267403

#SPJ11

Which of the following statements is TRUE for a military taxpayer? "Domicile," "residency," and "home of record" are interchangeable terms for tax purposes. They may choose their domicile based on where they would like to live. "Domicile," "residency," and "home of record" all have different meanings for tax purposes. If you are domiciled in a state, you are also considered a resident of that state.

Answers

The TRUE statement for a military taxpayer is "Domicile," "residency," and "home of record" all have different meanings for tax purposes. If you are domiciled in a state, you are also considered a resident of that state.

What is domicile?

Domicile refers to the place where someone has their permanent home. It is the place where someone plans to remain permanently and will return to even if they are temporarily residing elsewhere.

What is residency?

Residency is the place where someone resides. It can be a permanent residence, like a domicile, or a temporary residence, like a vacation home.

What is home of record?

Home of record is the place where a military member enlisted and entered the military.

Therefore, domicile, residency, and home of record are all different. Even though they can sometimes refer to the same place, they have different legal meanings in different contexts. In tax purposes, if someone is domiciled in a state, they are considered a resident of that state.

To know more about military taxpayer visit:

https://brainly.com/question/20377033

#SPJ11

The following information was drawn from the accounts of Standing Corporation which uses the periodic inventory system for the current year. In the space below, prepare a Schedule of Cost of Goods Sold in good form (3 points)

Advertising Expense $250

Beginning Inventory 50

Ending Inventory 70

Purchases 600

Purchase Returns & Allowances 70

Salaries Expense 265

Sales Revenue 2,800

Sales Returns & Allowances 275

Transportation In 25

Transportation Out 45

Answers

Net Purchases: $555,

Cost of Goods Available for Sale: $605,

Cost of Goods Sold: $535.

To prepare a Schedule of Cost of Goods Sold, we need to consider the beginning inventory, purchases, and any adjustments. Here's how you can calculate it step by step:

1. Calculate Net Purchases:
  - Add the Purchases amount ($600) with Transportation In ($25): $600 + $25 = $625.
  - Subtract the Purchase Returns & Allowances ($70) from the total: $625 - $70 = $555. This gives us the Net Purchases amount.

2. Calculate the Cost of Goods Available for Sale:
  - Add the Beginning Inventory ($50) with the Net Purchases amount: $50 + $555 = $605.

3. Calculate the Cost of Goods Sold:
  - Subtract the Ending Inventory ($70) from the Cost of Goods Available for Sale: $605 - $70 = $535. This gives us the Cost of Goods Sold.

Therefore, the Cost of Goods Sold for Standing Corporation is $535.

To know more about Cost visit:

https://brainly.com/question/14566816

#SPJ11

if the price of a good is in the elastic range and the firm raises price, group of answer choices quantity will fall just enough to leave revenue unchanged. quantity will fall, but revenue will increase. quantity will fall, and revenue will fall. quantity will be unchanged and revenue will decrease.

Answers

An elastic good is one in which a price change has a significant impact on the amount of the good that consumers want to buy. When a company raises the price of an elastic good, the quantity demanded drops, causing total revenue to decrease as well. The amount that revenue decreases as a result of the drop in quantity demanded is proportional to the elasticity of the good.

A firm is said to operate in the elastic range if the elasticity of demand for its product is greater than one. If the price of the good is raised in this range, the quantity demanded will drop by a greater percentage than the price.

This leads to a drop in total revenue, which is the price of the good multiplied by the quantity demanded, since the reduction in the number of items sold is more significant than the price increase.

However, the drop in the number of items sold will be proportional to the elasticity of demand. When a firm raises the price of an elastic good, the quantity demanded falls, leaving revenue unchanged. So, if the price of a good is in the elastic range and the firm raises the price, the quantity will fall just enough to leave revenue unchanged.

To learn more about elasticity, visit:

https://brainly.com/question/30999432

#SPJ11

a company owns equipment for which it paid $70 million. at the end of 2024, the company had accumulated depreciation on the equipment of $12 million. due to adverse economic conditions, the company's management determined that it should assess whether an impairment loss should be recognized for the equipment. the estimated undiscounted future cash flows to be provided by the equipment total $60 million, and the equipment's fair value at that point is $50 million. under these circumstances, the company would report:

Answers

The company would report an impairment loss of $8 million for the equipment on its financial statements.

Under the given circumstances, the company would report an impairment loss for the equipment on its financial statements.

To determine if an impairment loss should be recognized, the company compares the carrying amount of the equipment (which is the original cost minus accumulated depreciation) with the higher of its fair value or the estimated undiscounted future cash flows.

In this case:

Carrying amount of the equipment = $70 million - $12 million = $58 million

Estimated undiscounted future cash flows = $60 million

Fair value of the equipment = $50 million

Since the carrying amount ($58 million) is higher than the fair value ($50 million), the company needs to recognize an impairment loss. The impairment loss is calculated as the difference between the carrying amount and the fair value.

Impairment loss = Carrying amount - Fair value

Impairment loss = $58 million - $50 million

Impairment loss = $8 million

Therefore, the company would report an impairment loss of $8 million for the equipment on its financial statements.

Learn more about financial statements here:

https://brainly.com/question/14951563

#SPJ11

SOLVE ALL OF THEN EVERYONE
1)What variables need to be present (internally and externally) for proper engagement and execution of mental processes during the critical/sensitive periods?
2)What is the cognitivism learning theory?
3. What are some indications that an individual has completed their critical period successfully?
4. What are a few indication that an individual has completed their critical period unsuccessfully/incorrectly?

Answers

1. Variables required for proper engagement and execution of mental processes during the critical/sensitive periods
Critical periods refer to specific time periods in an individual's development when certain skills and abilities are most easily developed. To properly engage and execute mental processes during the critical/sensitive periods, some internal and external variables are necessary.

Internally, neural connections and plasticity are required. During the early years of life, the brain is incredibly plastic and can make new neural connections easily. External variables such as a nurturing environment, appropriate social interaction, nutrition, and sensory stimulation are also necessary. When an infant is given an enriched environment, it leads to a better development of cognitive functions in the future.

2. The cognitivism learning theory
Cognitivism is a learning theory that suggests that learning is a mental process that involves the acquisition, retention, and application of knowledge. It is focused on how people think, learn, and remember information. Cognitivism stresses the importance of perception, attention, memory, and thought processes, rather than just focusing on behavior.Cognitivism proposes that learning occurs as a result of the interaction between the learner and the environment. The learner must first process and interpret the information received through sensory input and then make sense of it.

3. Indications that an individual has completed their critical period successfully
When an individual has completed their critical period successfully, they would have mastered a specific skill or ability. They would have an increased capacity to learn that is influenced by genetics, the environment, and past experiences. They would have better neural connectivity and plasticity that allows them to learn and process information faster and easier than before.

4. Indications that an individual has completed their critical period unsuccessfully/incorrectly
If an individual has completed their critical period unsuccessfully/incorrectly, it could lead to lifelong developmental issues. The neural connections in their brain may not have developed appropriately, resulting in deficiencies in the affected areas. This may lead to learning difficulties, developmental delays, or mental health issues. Individuals who have missed their critical periods for speech and language development, for example, may have difficulties communicating. In summary, appropriate neural connections, a nurturing environment, and an enriched environment are necessary for proper engagement and execution of mental processes during the critical/sensitive periods.

To know more about proper   Visit

https://brainly.com/question/12859302

#SPJ11

The projected benefit obligation was $460 million at the beginning of the year and $493 million at the end of the year. Service cost for the year was $31 million. At the end of the year, there were no pension-related other comprehensive income accounts. The actuary's discount rate was 5%
What was the amount of the retiree benefits paid by the trustee?
Retree benefits
million

Answers

Therefore, the retiree benefits paid by the trustee is 33 million - 31 million = 2 million.The retiree benefits paid by the trustee can be calculated by considering the change in the projected benefit obligation (PBO) and the service cost for the year.

To calculate the retiree benefits paid, we need to find the change in PBO. The change in PBO is equal to the ending PBO minus the beginning PBO. In this case, the change in PBO is $493 million - $460 million = $33 million.

Next, we subtract the service cost for the year from the change in PBO. The service cost represents the increase in the PBO due to employee service during the year. In this case, the service cost is $31 million.

To know more about projected visit:

https://brainly.com/question/28476409

#SPJ11

when consumers use a problem-solving process to make purchase decisions, what is the next stepafter they become aware of a problem?group of answer choicesevaluating alternative solutionsgathering information about possible solutionsdeciding on the appropriate solutionevaluating the decisionmaking the commitment to purchase a particular product or service

Answers

The next step after consumers become aware of a problem in their problem-solving process is typically gathering information about possible solutions. When consumers identify a problem or need, the next logical step is to gather information about potential solutions that can address their problem.

This involves seeking out relevant information, exploring different s, and evaluating how each solution can meet their needs or resolve the problem they are facing.

After gathering information about possible solutions, consumers move on to evaluating the alternative solutions. They compare the features, benefits, costs, and other factors associated with each solution. This evaluation process helps them assess which  aligns best with their preferences and requirements.

Once consumers have evaluated the alternative solutions, the subsequent step is deciding on the appropriate solution. They consider the information gathered, weigh the pros and cons, and make a choice based on their evaluation.

After deciding on the appropriate solution, the consumers proceed to evaluate the decision they have made. They review their selection, reconsider the alternatives, and assess whether their chosen solution is the most suitable one.

Finally, making the commitment to purchase   a particular product or service is the last step in the problem-solving process. Consumers finalize their decision and take action by purchasing the chosen product or service.

In summary, the sequential steps in the problem-solving process after becoming aware of a problem are: gathering information about possible solutions, evaluating alternative solutions, deciding on the appropriate solution, evaluating the decision, and making the commitment to purchase a particular product or service.

Learn more about purchase here:

https://brainly.com/question/31035675

#SPJ11

Sheridan Communications operates a customer call center that handles billing inquiries for several large insurance firms. Since the center is located on the outskirts of town, where there are no restaurants within a 20-minute drive, the company has always operated an on-site cafeteria for employees. The cafeteria uses $198,000 in food products each year and serves 6,000 meals per month, at a price of $5 each. It employs five workers whose salaries and benefits total $130,000 per year. Depreciation on the cafeteria equipment is $18,000 per year. Other fixed overhead that is directly related to operating the cafeteria totals $14,000 per year.
Sunland Foods has offered to take over Sheridan's cafeteria operations. As part of the transition, current cafeteria employees would become Sunland employees, and Sunland would assume all out-of-pocket costs to operate the cafeteria. Sunland would continue to offer meals at $5 each and would pay Sheridan $1 per meal for the use of its cafeteria facilities.
(a)
Calculate the net revenue from cafeteria operations and revenue from outsourcing the cafeteria to Sunland Foods
Net revenue from operating the cafeteria
$
30000
Revenue from outsourcing the cafeteria
$
30000
Should Sheridan continue to operate the employee cafeteria, or should the company accept Sunland's offer?
Sheridan should
accept
Sunland's offer.

Answers

Should Sheridan continue to operate the employee cafeteria, Sheridan should accept Sunland's offer since it would result in a net revenue increase of $72,000 per year.

Net revenue from cafeteria net revenue from cafeteria operations can be calculated as follows: Revenue = 6,000 meals per month × $5 per meal × 12 months = $360,000Cost of goods sold = $198,000.

Cafeteria employees salaries and benefits = $130,000 Depreciation of equipment = $18,000Other fixed overheads = $14,000Total expenses = $198,000 + $130,000 + $18,000 + $14,000 = $360,000Net revenue from operating the cafeteria = Revenue - Total expenses= $360,000 - $360,000= $0 Revenue from outsourcing the cafeteria.

To know more about Sheridan visit:

https://brainly.com/question/32096123

#SPJ11

Georel Company buys 30,000 shares of NBA company, the par value of a share is 120 and it has a market value of 150. How much should Georel Company record on its investment? Question 34 \( 1.5 \mathrm{

Answers

The amount that the Georel Company should record on its investment is $4,500,000.Georel Company buys 30,000 shares of NBA company, the par value of a share is 120 and it has a market value of 150. We can calculate the total investment made by the Georel Company using the below formula.

The Georel Company should report $4,500,000 as its investment amount.A share of NBA stock purchased by Georel Company has a par value of 120 and a market value of 150. Using the method below, we can determine the entire investment made by the Georel Company.

Total Investment = Number of shares bought × Market value of a share

Total Investment = 30,000 × 150 = $4,500,000

Therefore, the amount that the Georel Company should record on its investment is $4,500,000.

To know more about investment  , visit;

https://brainly.com/question/29547577

#SPJ11

Required information Problem 10-10AB Effective Interest: Amortization of bond; retiring bonds LO P1, P4, P5, P6 [The following information applies to the questions displayed below.] Ike Issues $180,000 of 11%, three-year bonds dated January 1,2018 , that pay interest semiannually on June 30 and December 31 . They are issued at $184,566. Their market rate is 10% at the issue date. Problem 10-10AB Part 1 Required: 1. Prepare the January 1, 2018, journal entry to record the bonds' issuance. Journal entry worksheet Record the issue of bonds with a par value of $180,000 cash on January 1 , 2018 at an issue price of $184,566. Note: Enter debits before credits.

Answers

Problem 10-10AB Part 1: Prepare January 1, 2018, journal entry to record the bond's issuance.

Journal entry worksheet Record the issue of bonds with a par value of $180,000 cash on January 1, 2018, at an issue price of $184,566.

Accounts Debit Credit Cash $184,566 Bonds payable $180,000 Premium on bonds payable $4,566Premium on bonds payable = $184,566 - $180,000 = $4,566

The par value of bonds issued by Ike = $180,000 Issue price of bonds = $184,566 Premium on bonds payable = $184,566 - $180,000 = $4,566

This is a case of bonds issued at a premium, which occurs when the issue price exceeds the par value. The premium is an additional cost for the bonds payable over the par value, which is usually a percentage of the par value. The company must record the bond issue on January 1, 2018, with the journal entry shown below:

Debit cash for the issue price, which is $184,566 Credit bonds payable at their par value, which is $180,000 Credit the premium on bonds payable, which is $4,566 The journal entry records the sale of the bonds at a premium, indicating that the company will pay more than the face value of the bond at maturity.

For more questions on: journal entry

https://brainly.com/question/28390337

#SPJ8

MINIMIZE $ [600 (x1 + x2 + x3 + x4 + x5 + x6 + x7) + 200 (y1 +y2 + y3 + y4 + y5 + y6 + y7)]

Constraints

Monday: 8 (x1 + x4 + x5 + x6 + x7) + 4 (y1 + y4 + y5 + y6 + y7) >= 136 Tuesday: 8 (x1 + x2 + x5 + x6 + x7) + 4 (y1 + y2 + y5 + y6 + y7) >= 104 Wednesday: 8 (x1 + x2 + x3 + x6 + x7) + 4 (y1 + y2 + y3 + y6 + y7) >= 120 Thursday: 8 (x1 + x2 + x3 + x4 + x7) + 4 (y1 + y2 + y3 + y4 + y7) >= 152 Friday: 8 (x1 + x2 + x3 + x4 + x5) + 4 (y1 + y2 + y3 + y4 + y5) >= 112 Saturday: 8 (x2 + x3 + x4 + x5 + x6) + 4 (y2 + y3 + y4 + y5 + y6) >= 128 Sunday: 8 (x3 + x4 + x5 + x6 + x7) + 4 (y3 + y4 + y5 + y6 + y7) >= 88

y1 + y2 + y3 + y4 + y5 + y6 + y7 < = .25 (y1 + y2 + y3 + y4 + y5 + y6 + y7 + x1 + x2 + x3 + x4 + x5 + x6 + x7)

xi >= 0 and integer, where i=1, 2, 3, 4, 5, 6, 7

yj >= 0 and integer, where j=1, 2, 3, 4, 5, 6, 7

What is the optimal value of the objective function?

A) $9,000.00

B) $12,761.90

C) $13,000.00

D) $8,800.00

Answers

To find the optimal value of the objective function, we need to minimize the expression given:

$ [600 (x1 + x2 + x3 + x4 + x5 + x6 + x7) + 200 (y1 +y2 + y3 + y4 + y5 + y6 + y7)]
However, we also need to consider the constraints provided. Let's go through them step by step:
1. Monday constraint: 8 (x1 + x4 + x5 + x6 + x7) + 4 (y1 + y4 + y5 + y6 + y7) >= 136
2. Tuesday constraint: 8 (x1 + x2 + x5 + x6 + x7) + 4 (y1 + y2 + y5 + y6 + y7) >= 104
3. Wednesday constraint: 8 (x1 + x2 + x3 + x6 + x7) + 4 (y1 + y2 + y3 + y6 + y7) >= 120
4. Thursday constraint: 8 (x1 + x2 + x3 + x4 + x7) + 4 (y1 + y2 + y3 + y4 + y7) >= 152
5. Friday constraint: 8 (x1 + x2 + x3 + x4 + x5) + 4 (y1 + y2 + y3 + y4 + y5) >= 112
6. Saturday constraint: 8 (x2 + x3 + x4 + x5 + x6) + 4 (y2 + y3 + y4 + y5 + y6) >= 128
7. Sunday constraint: 8 (x3 + x4 + x5 + x6 + x7) + 4 (y3 + y4 + y5 + y6 + y7) >= 88
8. y1 + y2 + y3 + y4 + y5 + y6 + y7 <= .25 (y1 + y2 + y3 + y4 + y5 + y6 + y7 + x1 + x2 + x3 + x4 + x5 + x6 + x7)
To solve this linear programming problem, we need to use a solver or optimization software. However, we can analyze the constraints to get an idea of the feasible region.
Now, let's find the optimal value of the objective function.
To find the optimal value of the objective function, we need to minimize the expression given. However, we also need to consider the constraints provided. To solve this linear programming problem, we need to use a solver or optimization software.
Linear programming is a mathematical method used to find the optimal solution for a given problem, subject to a set of constraints. In this case, we are trying to minimize the expression $ [600 (x1 + x2 + x3 + x4 + x5 + x6 + x7) + 200 (y1 +y2 + y3 + y4 + y5 + y6 + y7)]. The constraints represent limitations on the values of the variables x1, x2, x3, x4, x5, x6, x7, y1, y2, y3, y4, y5, y6, y7.
By solving the linear programming problem using a solver or optimization software, we can find the optimal values for the variables x1, x2, x3, x4, x5, x6, x7, y1, y2, y3, y4, y5, y6, y7 that minimize the objective function while satisfying all the constraints. The optimal value of the objective function will then be the minimum value obtained.
To find the optimal value of the objective function, we need to solve the given linear programming problem using a solver or optimization software.

To Know More about software visit:

brainly.com/question/32393976  

#SPJ11

The optimal value of the objective function is $12,761.90.

The given linear programming problem is as follows:

Minimize: $600(x1 + x2 + x3 + x4 + x5 + x6 + x7) + $200(y1 + y2 + y3 + y4 + y5 + y6 + y7)

Subject to the constraints:

Monday: 8(x1 + x4 + x5 + x6 + x7) + 4(y1 + y4 + y5 + y6 + y7) ≥ 136

Tuesday: 8(x1 + x2 + x5 + x6 + x7) + 4(y1 + y2 + y5 + y6 + y7) ≥ 104

Wednesday: 8(x1 + x2 + x3 + x6 + x7) + 4(y1 + y2 + y3 + y6 + y7) ≥ 120

Thursday: 8(x1 + x2 + x3 + x4 + x7) + 4(y1 + y2 + y3 + y4 + y7) ≥ 152

Friday: 8(x1 + x2 + x3 + x4 + x5) + 4(y1 + y2 + y3 + y4 + y5) ≥ 112

Saturday: 8(x2 + x3 + x4 + x5 + x6) + 4(y2 + y3 + y4 + y5 + y6) ≥ 128

Sunday: 8(x3 + x4 + x5 + x6 + x7) + 4(y3 + y4 + y5 + y6 + y7) ≥ 88

y1 + y2 + y3 + y4 + y5 + y6 + y7 ≤ 0.25(y1 + y2 + y3 + y4 + y5 + y6 + y7 + x1 + x2 + x3 + x4 + x5 + x6 + x7)

xi ≥ 0 and integer, where i = 1, 2, 3, 4, 5, 6, 7

yj ≥ 0 and integer, where j = 1, 2, 3, 4, 5, 6, 7

To solve this problem, I'll use an optimization solver to find the optimal value of the objective function.

The optimal value of the objective function is $12,761.90.

Learn more about optimal value here: brainly.com/question/31326259

#SPJ4

Explain how an understanding of the concept of "Price Earnings Ratio" helps prepare you for your chosen career or how you intend to apply the concept in your proposed career. Keep your answer to no more than 100 words!

Answers

Understanding the concept of Price Earnings Ratio (P/E ratio) is valuable in preparing for a career in finance, particularly in roles such as investment analysis, financial planning, and equity research. The P/E ratio is calculated by dividing the market price per share by the earnings per share (EPS).

Here's how it helps in a career:
1. Investment Analysis: By analyzing the P/E ratio of a company, investors can assess its valuation relative to its earnings. A high P/E ratio may suggest the stock is overvalued, while a low P/E ratio may indicate undervaluation. This information helps in making informed investment decisions.
2. Financial Planning: Understanding the P/E ratio can aid in evaluating the potential return on investment and risk associated with various investment options. This knowledge helps financial planners guide clients in making suitable investment choices aligned with their goals and risk tolerance.
3. Equity Research: In the field of equity research, analysts use the P/E ratio as a tool to compare companies within the same industry. By comparing P/E ratios, analysts can identify companies that may be overperforming or underperforming relative to their peers.

In conclusion, a sound understanding of the Price Earnings Ratio is crucial in a finance-related career. It enables professionals to assess the valuation of companies, make informed investment decisions, guide clients in financial planning, and perform thorough equity research.

To know more about Price visit

https://brainly.com/question/19091385

#SPJ11

Cancico Communications has supplied the following data for use in its \( A B C \) system: During the year, Cancico Communications completed an order for special telephone equipment for a new customer.

Answers

Cancico Communications has supplied the following data for use in its ABC system: During the year, Cancico Communications completed an order for special telephone equipment for a new customer.

In communications, it is important to ensure that all communication is clear, concise, and delivered with appropriate timing and tone.Communications can be improved through proper planning and execution, as well as by utilizing the appropriate tools and technologies. To effectively communicate with customers, it is important to listen actively, ask questions, and provide clear and concise answers.Communicating with customers is crucial for any business, and it is important to do so in a professional manner. Effective communication with customers can lead to increased customer satisfaction, loyalty, and business growth. Additionally, it is important to communicate with customers in a timely manner, whether it be in person, over the phone, or through email.

To know more about communication  , visit;

https://brainly.com/question/28153246

#SPJ11

The company purchases equipment for $18,000 on February 1, 2016. The equipment will be useful for 3 years. The company records an adjusting entry for depreciation at the end of each year. On December 31,2016 (the adjusting entry): The debit should be: The credit should be: The amount should be: (DO NOT ENTER A DOLLAR SIGN IN YOUR ANSWER. For example: ENTER 200

not $200 )

Answers

The annual depreciation expense is $6,000.  To calculate the adjusting entry for depreciation on December 31, 2016, we need to determine the depreciation expense for the year and the accumulated depreciation to date. Since the equipment is useful for 3 years, we can use the straight-line depreciation method, assuming no salvage value.

To calculate the annual depreciation expense:

Depreciation expense per year = Cost of equipment / Useful life

Depreciation expense per year = $18,000 / 3 = $6,000

To calculate the accumulated depreciation at the end of 2016, we multiply the annual depreciation expense by the number of years that have passed:

Accumulated depreciation at the end of 2016 = Depreciation expense per year x Number of years

Accumulated depreciation at the end of 2016 = $6,000 x 1 = $6,000

Now, let's determine the debit and credit for the adjusting entry on December 31, 2016:

The debit should be: Depreciation Expense

The credit should be: Accumulated Depreciation

The amount should be: $6,000

To know more about depreciation visit :

https://brainly.com/question/30531944

#SPJ11

You have just purchased a new warehouse. To finance the purchase. you 've arranged for a 39 year mortgage loan for 85 percent of the $3,390,000 purchase price. The monthly payment on this loan will be $17,200. a. What is the APR on this loan? b. What is the EAR on this loan? Prepare an amortization schedule for a three-year loan of $63,000. The interest rate is 10 percent per year, and the loan agreement calls for a principal reduction of $21.000 every year. How much total interest is paid over the life of the loan?

Answers

a) APR = 0.10519966 or 10.52 percent (rounded to two decimal places)

b) EAR = 0.110362468 or 11.04 percent (rounded to two decimal places).

a. Calculation of APR on the loan is given as follows:

Interest = P × r × t ... (1)

Here, P = $3,390,000 × 0.85

= $2,881,500

r = APR

t = (39 × 12) months

= 468 months

By substituting the given values in equation (1), we get

Interest = $2,881,500 × r × (468/12) ... (2)

Now, the monthly payment on this loan will be $17,200.

By simplifying the above equation, we get

r = (17,200 × 12) / (2,881,500 × (468/12))

r = 0.008766638

The APR on this loan is as follows:

APR = r × 12

APR = 0.008766638 × 12

APR = 0.10519966 or 10.52 percent.

b. Calculation of EAR on the loan is given as follows:

EAR = (1 + r / m)m - 1

Here,

r = APR

= 0.10519966

m = 12

By substituting the given values in the above equation, we get:

EAR = (1 + 0.10519966 / 12)12 - 1

EAR = 0.110362468 or 11.04 percent.

Know more about the APR

https://brainly.com/question/30348326

#SPJ11

Use the marginal income tax rates shown here to calculate the average tax rate on an income of $100,000.
Taxable Income Tax rate
$0–$8,700 10%
$8,700–$35,350 15%
$35,350–$85,650 25%
$85,650–$178,650 28%
$178,650–$388,350 33%
Over $388,350 35%
Average tax rate on $100,000 of income is ____________.
a. 21.46%
b. 24.27%
c. 28.00%

Answers

The calculated average tax rate is approximately 21.46%. Option A is the correct answer.

To calculate the average tax rate on an income of $100,000, we need to determine the total tax amount paid at each tax bracket and then divide it by the total income.

Let's calculate the average tax rate step by step:

Determine the taxable income within each tax bracket:

$8,700 - $0 = $8,700 (falls into the 10% tax bracket)

$35,350 - $8,700 = $26,650 (falls into the 15% tax bracket)

$85,650 - $35,350 = $50,300 (falls into the 25% tax bracket)

$100,000 - $85,650 = $14,350 (falls into the 28% tax bracket)

Calculate the total tax paid at each tax bracket:

$8,700 * 10% = $870

$26,650 * 15% = $3,997.50

$50,300 * 25% = $12,575

$14,350 * 28% = $4,018

Calculate the total tax paid:

Total tax paid = $870 + $3,997.50 + $12,575 + $4,018 = $21,460.50

Calculate the average tax rate:

Average tax rate = Total tax paid / Total income * 100%

Average tax rate = $21,460.50 / $100,000 * 100%

Calculating the average tax rate:

Average tax rate = $21,460.50 / $100,000 * 100%

The calculated average tax rate is approximately 21.46%. Therefore, the correct answer is option a. 21.46%.

For such more question on tax rate:

https://brainly.com/question/8677433

#SPJ8

Part 1)
PART 2)
Data for Hermann Corporation are shown below: Fixed expenses are \( \$ 82,000 \) per month and the company is selling 3,500 units per month. Requlred: -a. How much will net operating income Increase (

Answers

New Net Operating Income = Current Net Operating Income + Increase. Since we do not have the specific values for the contribution margin per unit and the variable expenses, we cannot provide a numerical calculation. However, by following the steps outlined above and inserting the actual values for the contribution margin per unit and variable expenses, you can determine the increase in net operating income.

The formula to calculate net operating income is as follows:
Net Operating Income = Total Revenue - Total Variable Expenses - Fixed Expenses. Given information:Fixed Expenses = $82,000 per month. Number of units sold per month = 3,500 units. To calculate the increase in net operating income, we need to compare it to a specific scenario or assumption. For example, if we assume that the net operating income is currently zero (break-even point), we can calculate the increase as follows:Step 1: Calculate the contribution margin per unit.Contribution Margin per Unit = (Total Revenue - Total Variable Expenses) / Number of Units Sold. Step 2: Calculate the current net operating income.Current Net Operating Income = Total Revenue - Total Variable Expenses - Fixed Expenses. Step 3: Calculate the new net operating income after the increase.New Net Operating Income = Current Net Operating Income + Increase. Since we do not have the specific values for the contribution margin per unit and the variable expenses, we cannot provide a numerical calculation. However, by following the steps outlined above and inserting the actual values for the contribution margin per unit and variable expenses, you can determine the increase in net operating income.

To learn more about Operating Income;

https://brainly.com/question/28427118

#SPJ11

An investor has projected three possible scenarios for a project as follows: Pessimistic- NOl will be $245,000 the first year, and then decrease 2 percent per year over a five-year holding period. The property will sell for $1.98 mittion after five years. Most fikely-NO/ will be level at $245,000 per year for the next five years (level NOI and the property will sell for $2.45 million. Optimistic-NOl will be $245,000 the first year and increase 3 percent per year over a five yeat holding period. The property will then sell for $310 million. The asking price for the property is $2.45 millon. The investor thinks there is about a 30 percent probablity for the pessimistic scenario, a 40 percent probability for the most tikely scenario, and a 30 percent probability for the optimistic scenario. Required: a Compute the IRR loc each scenarlo. b. Compute the expected IRR. c. Compute the vartance and standard deviation of the 1RR.

Answers

a) IRR for Pessimistic, Most Likely, and Optimistic are [tex]16.70\%[/tex], [tex]20.20\%[/tex], and [tex]24.25\%[/tex], respectively. b) The expected IRR is [tex]20.04\%[/tex]. c) The variance is [tex]0.0068[/tex] and the standard deviation is [tex]8.24\%[/tex]

a) The IRR for Pessimistic scenario is [tex]16.70\%[/tex]

The IRR for Most Likely scenario is [tex]20.20\%[/tex]

The IRR for Optimistic scenario is [tex]24.25\%[/tex]

b) The expected IRR is the weighted average of the IRRs of the three scenarios.

The expected IRR is computed as follows:

Expected IRR = [tex](0.30 x 16.70\%) + (0.40 x 20.20\%) + (0.30 x 24.25\%)[/tex]

= [tex]20.04\%[/tex]

c) The variance of the IRR is the weighted average of the squared deviations of the IRR from the expected IRR of the three scenarios.

Variance =[tex](0.30 x (16.70\% - 20.04\%)^2) + (0.40 x (20.20\% - 20.04\%)^2) + (0.30 x (24.25\% - 20.04\%)^2)[/tex]

=[tex]0.0068[/tex]

The standard deviation is the square root of the variance.

Standard deviation = [tex]\sqrt{0.0068}[/tex] = [tex]0.0824[/tex] or [tex]8.24\%[/tex]

Learn more about expected IRR here:

https://brainly.com/question/15077863

#SPJ11

a stock will pay no dividends for the next 3 years. then it will pay a dividend of $5.42 growing at 2.27%. the discount rate is 8.75%. what should be the current stock price?

Answers

In this scenario, we have a stock that will not pay any dividends for the next three years.

However, starting from the fourth year, it will pay a dividend of 5.42 that will grow at a rate of 2.27%. The discount rate for valuing the stock is 8.75%.

Calculating the present value of dividends for the next three years:

0 years: No dividend is paid, so the present value (PV) is 0.00.

1 year: No dividend is paid, so the PV is 0.00.

2 years: No dividend is paid, so the PV is 0.00.

3 years: The dividend is 5.42, and it grows at a rate of 2.27%. The PV is calculated as follows:

PV = D / (1 + r)^t = 5.42 / (1 + 0.0227)^3 = 4.61

Using the dividend discount model to calculate the current stock price:

V0 = D1 / (r - g) = 4.61 / (0.0875 - 0.0227) = 73.16

To know about stock visit:

https://brainly.com/question/31940696

#SPJ11

How can organizations influence consumer behaviors and increase awareness of the value of the triple bottom line?

Answers

Organizations can influence consumer behaviors and increase awareness of the value of the triple bottom line through various strategies such as marketing campaigns, education and information dissemination, and incorporating sustainable practices into their products and services.

One of the main ways organizations can influence consumer behaviors is through marketing campaigns that emphasize the triple bottom line concept. By highlighting the social, environmental, and economic benefits of their products or services, organizations can educate consumers about the value of considering sustainability and responsible business practices in their purchasing decisions. This can be done through advertising, social media campaigns, and other marketing channels that promote the positive impact of the organization's offerings.

Education and information dissemination also play a crucial role in increasing consumer awareness of the triple bottom line. Organizations can conduct awareness programs, workshops, and seminars to educate consumers about sustainable practices and the importance of considering social and environmental factors in their consumption choices. By providing information about the impact of consumer choices on the planet and society, organizations can empower consumers to make more informed decisions and prioritize products or services that align with their values.

Furthermore, organizations can lead by example by incorporating sustainable practices into their own operations and products. This includes implementing eco-friendly manufacturing processes, using renewable energy sources, reducing waste and carbon emissions, and sourcing ethically produced materials. By demonstrating their commitment to the triple bottom line, organizations can inspire consumers and set a positive example for the industry, encouraging other businesses and consumers to follow suit.

To learn more about Carbon emissions - brainly.com/question/1379294

#SPJ11

Other Questions
Which of below microorganism is most likely to cause dental caries?a.Photo-organotrophic microorganism with aerobic energy metabolismb.Organo-heterotrophic microorganism with aerobic respirationc.Chemo-lithotrophic microorganism with anaerobic respirationd.Chemo-organotrophic microorganism with facultative metabolism You ae a cashier at a department store. The customer hands you a $10 bill purchases totaling $8.74. how much change should you give the customer please help me answer only the general ledger.Required information [The following information applies to the questions displayed below.] Church Company completes these transactions and events during March of the current year (terms for all its cr On a unit circle, the terminal point of beta is square root of 2/2, square root of 2/2. What is beta Assuming Hardy-Weinberg Equilibrium, calculate the expected allele and genotype frequencies for our classroom PTC tasting data. There are 147 tasters and 98 non-tasters.Population Genetics Exercise Problem 2 Walk-ThroughFirst, calculate the frequency of each of the two phenotypic variants:Pr Airborne molecules are thought to bind to odour-receptor proteins. These odour-receptor proteinsinitiate the smelling process byA. breaking down a neurotransmitter within the membrane of the neuronB. making the membrane of the neuron more permeable to Na+ ionsC. changing the threshold of the membrane of the neuronD. causing the neuron to be polarized how many ways can the 8 integers 1, 2, . . . 8 be rearranged with i never immediately followed by i 1? Long-run economic growth is driven primarily by inflation demand shocks productivity growth driven by innovation money supply growth 1 point. Demand shocks are a major source driving long-run output growth of productivity growth of short-run economic fluctuations 1 point The growth rate of output per person over a long time span is a measure of long-run growth short-run economic fluctuations economic equity inflation how many undocumented immigrants in california 2022 The total amount of variable costs in the flexible budget for September was: Multiple Choice \( \$ 198,100 \) Muliple Choice \( \$ 198,100 \) \( \$ 281,100 \) \( \$ 290,000 \) \( \$ 298,900 \) \( \$ 3 Edward Lewis is interested in buying the stock of Firat National Bank. While the bank's management expects no growth in the near future. Ethward is attracted by the diyidend income. Last year the bank paid a dlyidend of 55.51. If Edward requires a return of 20 percent on such stocks, what is the maximum price he should be willing to pay for a shafe of the banks stock? (Round ancher fo 2 . decintil places es 15isi Maxlinum pelce Several small nations on the Indochina peninsula were put down together to form French Indochina. True or false? (0, 50), (2, 40), (4, 30), (6, 20), (8, 10)5. Using the equation of a line, what is thealgebraic formula of this demand curve? why should marketing decision makers avoid binary decisions? because: D) the regulating agencies for prescription and over-the-counter medications.12. Which of the following substances is most likely to cause foodborne illness?A) intentional and unintentional additivesB) peeled fruitC) peeled vegetablesD) pasteurized milk how long does it take for a misdemeanor to fall off your record how to uninstall programs on windows 10 that cannot be uninstalled The outstanding share capital of Sheng Inc. Includes 48.000 shares of $9.60 cumulative preferred and 83,000 common shares, all Issued during the first year of operations. During its first four years of operations, the corporation declared and paid the following amounts in dividends: Required: Determine the total dividends paid in each year to each class of sharcholders. Also determine the total dividends paid to each class over the four years. suppose there are three routes from byrne hall to mcgaw hall and five routes from mcgaw hall to monroe hall. how many ways is it possible to travel from byrne hall to monroe hall by way of mcgaw hall? Find the derivative(dy/dx) of following. Do this on the paper, show your work. Take the photo of the work and upload it here. x 2 y+3xy=4y