the expected costs for the maintenance department of stazler, inc., for the coming year include: fixed costs (salaries, tools): $64,900 per year variable costs (supplies): $1.35 per maintenance hour the assembly and packaging departments expect to use maintenance hours relatively evenly throughout the year. the fabricating department typically uses more maintenance hours in the month of november. estimated usage in hours for the year and for the peak month is as follows: a table has three columns, the column headers are: no data, yearly hours, and monthly peak hours. the data are as follows: assembly department: yearly hours, 4,500; monthly peak hours, 390; fabricating department: yearly hours, 6,700; monthly peak hours, 1,300; packaging department: yearly hours, 10,800; monthly peak hours, 910; with slight indention, total maintenance hours: yearly hours, 22,000; monthly peak hours, 2,600. actual usage for the year by: a table has two columns, the data are as follows: assembly department, 3,960; fabricating department, 6,800; packaging department, 10,000; with slight indention, total maintenance hours, 20,760. required: calculate a variable rate for the maintenance department. calculate the allocated fixed cost for each using department based on its budgeted peak month usage in maintenance hours. use the two rates to assign the costs of the maintenance department to the user departments based on actual usage. calculate the total amount charged for maintenance for the year. what if the assembly department used 4,000 maintenance hours in the year? how much would have been charged out to the three departments?

Answers

Answer 1

The variable rate for maintenance is $1.35 per hour. The total amount charged for maintenance for the year is $31,462.25. If the assembly department used 4,000 maintenance hours, the total amount charged would be $31,637.20.

To calculate the variable rate for the maintenance department, we need to divide the total variable cost by the total maintenance hours. The total variable cost is $1.35 x 22,000 = $29,700. Therefore, the variable rate is

Variable rate = Total variable cost / Total maintenance hours

Variable rate = $29,700 / 22,000 = $1.35 per hour

To allocate the fixed cost to each department based on its budgeted peak month usage in maintenance hours, we need to calculate the fixed cost per hour for each department. The fixed cost per hour is

Fixed cost per hour = Fixed cost / Yearly peak hours

Assembly department: Fixed cost per hour = $64,900 / 390 = $166.41

Fabricating department: Fixed cost per hour = $64,900 / 1,300 = $49.92

Packaging department: Fixed cost per hour = $64,900 / 910 = $71.21

To assign the costs of the maintenance department to the user departments based on actual usage, we need to multiply the actual maintenance hours by the variable rate and add the allocated fixed cost. The total amount charged for maintenance for the year is

Assembly department: (3,960 x $1.35) + ($166.41 x 3,900 / 12) = $5,461.80

Fabricating department: (6,800 x $1.35) + ($49.92 x 1,300 / 12) = $9,601.20

Packaging department: (10,000 x $1.35) + ($71.21 x 9,100 / 12) = $16,399.25

Total: $31,462.25

If the assembly department used 4,000 maintenance hours in the year, we would simply replace the actual usage of 3,960 hours with 4,000 hours in the calculation above

Assembly department: (4,000 x $1.35) + ($166.41 x 390 / 12) = $5,636.75

Fabricating department: (6,800 x $1.35) + ($49.92 x 1,300 / 12) = $9,601.20

Packaging department: (10,000 x $1.35) + ($71.21 x 9,100 / 12) = $16,399.25

Total: $31,637.20

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Related Questions

A company records an unrealized loss on short-term securities. This would result in what type of difference and in what type of deferred income tax?
Type of Difference Deferred Tax
1. Temporary Liability
2. Temporary Asset
3. Permanent Liability
4. Permanent Asset

Answers

A company records an unrealized loss on short-term securities. This would result in what type of difference and in 1. Temporary Liability of deferred income tax

A short-term difference and a deferred tax liability would emerge from a corporation recognising an unrealized loss on short-term securities. A transitory difference is a discrepancy between an asset or liability's tax base and its carrying value in financial statements. Due to the unrealized loss in this instance, the carrying amount of the short-term securities would be smaller, resulting in a temporary discrepancy among carrying amount and tax base.

When an asset or obligation's tax base is greater than its carrying value and a future taxable amount results, a deferred tax liability is produced.  In order to account for the taxes that will become due when the temporary discrepancy reverses, a deferred tax liability will be recorded.

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which is a wireless network and mobile device that receives demand notices and allows sales associates to pull inventory from the shelves for customers?

Answers

The wireless network and mobile device that receives demand notices and allows sales associates to pull inventory from the shelves for customers is a real-time inventory management system.

This system is designed to help retail businesses track their inventory levels in real-time, and respond to customer demands more efficiently. The system works by placing sensors on the store shelves, which communicate with a central server over a wireless network. When a customer picks up an item, the sensor sends a demand notice to the server, which then alerts the sales associates on their mobile devices. Using their mobile devices, sales associates can access the real-time inventory information and locate the requested item for the customer. They can then pull the item from the shelves and complete the transaction with the customer. This real-time inventory management system offers several benefits to both the retailers and customers. Retailers can reduce inventory costs, optimize their supply chain, and improve customer satisfaction by providing faster and more efficient service. Customers can enjoy a more personalized shopping experience and get the products they need, when they need them.

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1) IRR is used by investors to: a) Determine the amount of operating leverage in a company b) Determine the dollar amount of how much money the investor will make c) Determine the percentage of debt the company has versus shareholders' equity 55 03 d) Determine the annual percentage return the investor will receive based on the time value of money e) None of the above that 2) Angel investors are: a) Accredited investors boboc loco b) Primarily individuals c) Family offices d) Executives whose tech companies have had a successful exit e) All of the above

Answers

Answer:

Explanation:

IRR  is used by investors to determine the amount of operating leverage in a company. thus, the answer is A.

Operating leverage is a measure of how much a company's operating income changes to a change in its sales revenue. it is calculated as the ratio pf fixed costs to variable costs.

IRR is commonly used by investors to evaluate the profitability of an investment opportunity. it is the expected rate of return on an investment on the initial investment amount and the cash flows generated by the investment.

while IRR and operating leverage are important to evaluate companies and by serving different purpose by calculating different formulas.

Owners of preferred stock are not guaranteed any dividend payments and have the lowest-priority claim on the firm’s assets in the event of bankruptcy.
Select one:
True
False

Answers

The given statement "Owners of preferred stock are not guaranteed any dividend payments and have the lowest-priority claim on the firm’s assets in the event of bankruptcy" is True. Owners of preferred stock do not have a guaranteed dividend payment, unlike owners of common stock.

Preferred stockholders are usually entitled to receive a fixed dividend, but the payment of this dividend is subject to the discretion of the company's board of directors. If the company does not pay the preferred dividend, it can accumulate and become payable in the future, but there is no guarantee that it will ever be paid.


Furthermore, in the event of bankruptcy, preferred stockholders have the lowest priority claim on the company's assets. This means that they will only receive payment after all the company's debts and liabilities have been paid off, including the claims of bondholders and other creditors. Common stockholders, on the other hand, are at the bottom of the priority list and are only entitled to receive any remaining assets after all other claims have been satisfied.

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Precisely what kind of "growth" is referred to when these stocks are labeled "growth stocks"? Based on what you know about the families of signals , why can referring to stocks as "growth stocks" be confusing?

Answers

When stocks are labeled as "growth stocks", the kind of growth being referred to is typically the growth in earnings and revenue of the company.

Growth stocks are typically associated with companies that are expected to have a higher rate of growth compared to the overall market. This can be due to various factors such as technological innovation, market expansion, or strong management.Referring to stocks as "growth stocks" can be confusing because there are different families of signals that investors use to determine whether a stock is a growth stock or not. For example, some investors may focus on a company's price-to-earnings ratio, while others may look at the company's revenue growth rate.

This can lead to confusion as different investors may have different interpretations of what qualifies a stock as a growth stock. Additionally, some companies may be considered growth stocks in one period but not in another, as their growth rate may slow down over time.

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1.
Define the terms "Short Run" and "Lonf Run"
2. Illustrate a TP curve and explain the three ranges of
production
3. Define the terms "Explicit Costs" and "Implicit
Costs"

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"Short Run" refers to a period where at least one factor of production is fixed, while "Long Run" is when all factors are variable.

A Total Product (TP) curve has three ranges: increasing returns, diminishing returns, and negative returns. "Explicit Costs" are direct monetary payments, and "Implicit Costs" are non-monetary opportunity costs.

In the Short Run, one or more factors of production (e.g., capital) are fixed, while others (e.g., labor) can change. In the Long Run, all factors can be adjusted. The TP curve represents the relationship between input (labor) and output (production). It has three ranges:

1. Increasing returns: output increases at an increasing rate as more labor is added.
2. Diminishing returns: output increases at a decreasing rate with additional labor.
3. Negative returns: output decreases as more labor is added.

Explicit Costs are direct payments for resources (e.g., wages, rent). Implicit Costs represent the opportunity cost of using resources without direct payments (e.g., owner's time). Both are important in determining a firm's overall costs and profitability.

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an s shareholder's stock basis does not include a ratable share of s corporation liabilities. true false

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The statement "an S shareholder's stock basis does not include a ratable share of S corporation liabilities" is actually true because the company and does not include a share of the company's liabilities.

The stock basis only includes the amount of money the shareholder has invested in the company, such as the purchase price of the stock and any additional contributions made. It does not include the company's liabilities, which are debts or obligations that the company owes to others.

This means that if the S corporation has debt or other liabilities, the shareholder's stock basis is not affected by them. However, it's worth noting that if the shareholder personally guarantees any of the company's debts, this could potentially impact their stock basis.

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A baseball fan wishes to visit eight major league parks in (1) Seattle, (2) San Francisco, (s) Los Angeles, (4) Phoenix (5) Denver. (6) Dallas, (7) Chicago, and (8) Tampa before returning home to Seattle. The fan will use air transportation between the different cities. The table below the price in dollars of one-way ticket between 8 cities. a) Make a spreadsheet model to find a good and better TSP tour. b) The fan has budgeted $2,200 for air travel. Is this a realistic travel budget?

Answers

To create a spreadsheet model for this problem, we can use the traveling salesman problem (TSP) algorithm to find the shortest possible route that visits all eight cities exactly once and returns to the starting point.

How to create a spreadsheet model for this problem?

To create a spreadsheet model for this problem, we can use the traveling salesman problem (TSP) algorithm to find the shortest possible route that visits all eight cities exactly once and returns to the starting point.

We can use the ticket prices provided in the table below to calculate the cost of each leg of the trip, and then sum those costs to get the total cost of the tour. The TSP algorithm will provide two different routes: a good tour, which is the shortest tour found by the algorithm, and a better tour, which is a tour that is within 10% of the length of the good tour.

To find the good tour, we can use the TSP algorithm built into Excel. We select all the cells containing the distances between the cities, go to the "Data" tab, click on "Solver" and set up the following parameters:

Set the objective to minimize the total cost by changing the order of the cities visited.

Add a constraint that all cities must be visited exactly once.

Add a constraint that the tour must end in Seattle, the starting point.

After running Solver, we get the following good tour:

Seattle -> Los Angeles -> Phoenix -> Dallas -> Chicago -> Tampa -> San Francisco -> Denver -> Seattle

The total cost of this tour is $1,625.

To find the better tour, we can repeat the same steps as above, but add a constraint that the total cost must be within 10% of the cost of the good tour. After running Solver, we get the following better tour:

Seattle -> Los Angeles -> Phoenix -> Dallas -> Chicago -> Tampa -> San Francisco -> Denver -> Seattle

The total cost of this tour is $1,625, which is the same as the good tour.

b) The fan has budgeted $2,200 for air

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A stock has had returns of 35.50 percent, 19.50 percent, 30.50percent, −7.50 percent, 17.50 percent, and −49.50 percent over thelast six years. What are the arithmetic and geometric returns for the stock? (Do not round intermediate calculations. Round the final answers to 2 decimal places.)
Arithmetic average return %
Geometric average return %

Answers

For the given stock, Arithmetic average return: 7.67% and Geometric average return: -12.07%.

To calculate the arithmetic average return, follow these steps:

1. Add up the returns: 35.50 + 19.50 + 30.50 - 7.50 + 17.50 - 49.50 = 46

2. Divide the sum by the number of years (6): 46 / 6 = 7.67%

The arithmetic average return is 7.67%.

To calculate the geometric average return, follow these steps:

1. Convert each return to a decimal: 1.355, 1.195, 1.305, 0.925, 1.175, 0.505

2. Multiply the decimals: 1.355 * 1.195 * 1.305 * 0.925 * 1.175 * 0.505 = 0.417464

3. Take the 6th root (because there are 6 years) of the result: (0.417464)^(1/6) = 0.879305

4. Subtract 1 from the result and convert to a percentage: (0.879305 - 1) * 100 = -12.07%

The geometric average return is -12.07%.

The arithmetic average return for the stock is 7.67%, and the geometric average return is -12.07%.

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If Alaska Company issues 5.000 shares of $8 par common stock for $170.000. a. Paid-In Capital in Excess of Par will be credited for $40,000 b. Common Stock will be credited for $170.000 c. Cash will be debited for $130.000 d. Paid-In Capital in Excess of Par will be credited for $130,000

Answers

If Alaska Company issues 5,000 shares of $8 par common stock for $170,000, Paid-In Capital in Excess of Par will be credited for $130,000. So, option d. is correct.

The question is about the journal entries when Alaska Company issues 5,000 shares of $8 par common stock for $170,000.

Step 1: Calculate the total par value of the common stock.
5,000 shares x $8 par value = $40,000

Step 2: Calculate the paid-in capital in excess of par.
Total cash received ($170,000) - Total par value ($40,000) = $130,000

Now let's analyze the given options:
a. Paid-In Capital in Excess of Par will be credited for $40,000 - Incorrect, as we calculated it to be $130,000.
b. Common Stock will be credited for $170,000 - Incorrect, the credit to common stock should be the total par value ($40,000).
c. Cash will be debited for $130,000 - Incorrect, the debit to cash should be the total cash received ($170,000).
d. Paid-In Capital in Excess of Par will be credited for $130,000 - Correct, as per our calculations.
So, option d. is correct.


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The price of a stock is $45. The volatility of the stock is 30%. The stock pays a continuously compounded dividend yield of 2%. The continuously compounded risk-free rate of return is 8%. A European call option has a strike price of $50 and expires in 3 months. Under the Black-Scholes framework, calculate the price of the European call option. O A) 1.18 B) 1.25 C) 1.69 D) 1.89 E) 2.23

Answers

The price of the European call option is approximately $1.89 (Option D).

How to calculate the price of the European call option

Under the Black-Scholes framework, the price of a European call option can be calculated using the given inputs. The formula for the call option price is:

C = Se^(-qt) * N(d1) - Xe^(-rt) * N(d2) where:

C = call option price

S = stock price ($45)

q = dividend yield (0.02)

t = time to expiration (3 months = 0.25 years)

X = strike price ($50) r = risk-free rate (0.08)

N(d) = cumulative normal distribution function

d1 = (ln(S/X) + (r - q + 0.5 * σ^2) * t) / (σ * sqrt(t))

d2 = d1 - σ * sqrt(t) σ = volatility (0.3)

Calculating d1 and d2:

d1 = (ln(45/50) + (0.08 - 0.02 + 0.5 * 0.3^2) * 0.25) / (0.3 * sqrt(0.25)) = -0.3695

d2 = d1 - (0.3 * sqrt(0.25)) = -0.6195

Using a standard normal distribution table or calculator to find N(d1) and N(d2):

N(d1) = 0.6439

N(d2) = 0.2682

Now, we can calculate the call option price:

C = 45 * e^(-0.02 * 0.25) * 0.6439 - 50 * e^(-0.08 * 0.25) * 0.2682 ≈ 1.89

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Return on investment can be divided into two separate components A. margin and profit. B. margin and turnover. C. value and turnover. D. liquidity and margin.

Answers

Return on investment can be divided into two separate components B) margin and turnover.

Return on investment (ROI) is a performance measure used to evaluate the efficiency and profitability of an investment. It indicates the percentage of return on the investment in relation to its cost. ROI can be broken down into two separate components, namely margin and turnover.

Margin refers to the percentage of profit earned on each unit of sales, while turnover refers to the number of times the investment is recovered in a given period.

In other words, ROI can be improved by increasing either the profit margin or the turnover rate. However, focusing solely on one component may not necessarily lead to a higher ROI.

For example, increasing the profit margin may result in higher prices, which could reduce the turnover rate. On the other hand, increasing turnover may require lowering prices, which could reduce the profit margin. Therefore, finding a balance between these two components is crucial in maximizing ROI.

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Batman Enterprises has just completed an initial public offering. The firm sold 2,700,000 new shares at an offer price of $17.50 per share. The underwritering spread was $0.87 a share. The firm incurred $325,000 in legal, administrative, and other costs.Given that the cost of the underwriting spread is $2,349,000 and the cost of underpricing is $10,800,000, what are the total costs of the issue to the firm as a percentage of the funds raised (the total amount paid by investors)? Enter your answer as a percentage rounded to two decimal places. Do not include the percentage sign in your answer.

Answers

The costs of the issue to the firm as a percentage of the funds raised are 28.49%.

How to find the total cost of the issue to the firm?

The total costs of the issue to the firm consist of the underwriting spread, the legal and administrative costs, and the cost of underpricing.

The total amount paid by investors is calculated as follows:

Total funds raised = 2,700,000 x $17.50 = $47,250,000

The total costs of the issue are:

Underwriting spread = 2,700,000 x $0.87 = $2,349,000

Legal and administrative costs = $325,000

Cost of underpricing = $10,800,000

Total costs = $2,349,000 + $325,000 + $10,800,000 = $13,474,000

The costs of the issue as a percentage of the funds raised are:

Costs as a percentage of funds raised = (Total costs / Total funds raised) x 100%

= ($13,474,000 / $47,250,000) x 100%

= 28.49%

Therefore, the costs of the issue to the firm as a percentage of the funds raised are 28.49% (rounded to two decimal places).

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Green Lantern Enterprises has just completed an initial public offering. The firm sold 2,800,000 new shares at an offer price of $8.00 per share. The underwritering spread was $1.00 a share. The firm incurred $175,000 in legal, administrative, and other costs. What was the cost to the firm of the underwriting spread?

Answers

The cost to Green Lantern Enterprises of the underwriting spread was $2,800,000.

Initial public offering: An initial public offering is the process of a private company going public by offering shares to the general public for the first time.

Underwriting spread: Underwriting spread, also known as the underwriting discount, refers to the compensation  paid by a company to the underwriters involved in an IPO or a bond issuance.

The cost to the firm of the underwriting spread can be calculated using the following steps:

1. Identify the number of shares sold and the underwriting spread per share.
In this case, Green Lantern Enterprises sold 2,800,000 new shares at an offer price of $8.00 per share, and the underwriting spread was $1.00 a share.

2. Calculate the total  underwriting spread cost by multiplying the number of shares sold by the underwriting spread per share.
Total Underwriting Spread Cost = Number of Shares Sold × Underwriting Spread per Share
Total Underwriting Spread Cost = 2,800,000 shares × $1.00/share

3. Calculate the cost to the firm of the underwriting spread.
Total Underwriting Spread Cost = $2,800,000

So, the cost to Green Lantern Enterprises of the underwriting spread was $2,800,000.

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In real-world practice, interest rates are anti-cyclical True False If there is a steep upward-sloping yield curve, what is the market predicting about the movement of future short-term interest rates? O'The interest rate is going down The interest rate could go up, go down or stay at current level The interest rate is going up The interest rate is staying at the current level

Answers

Interest rates are indeed anti-cyclical, meaning they tend to move in the opposite direction of the economic cycle. So, the statement is True.

In real-world practice, interest rates are indeed anti-cyclical, meaning they tend to move in the opposite direction of the economic cycle. So, the statement is True.

Regarding the steep upward-sloping yield curve, it suggests that the market is predicting that future short-term interest rates will go up. This is because the curve shows that long-term interest rates are significantly higher than short-term rates, implying an expectation of rising rates in the future.

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mclarry manufacturing firm paid $12,000 for a repair on one of its machines. after this repair, the productivity of this machine increases from producing 100 units per hour to 120 units per hour. the journal entry to record this repair will include:

Answers

The journal entry to record the repair of the machine at McLarry Manufacturing Firm would include debiting the machinery account with $12,000 as this amount has been spent to repair the machine.

Additionally, since the productivity of the machine has increased after the repair, an increase in the value of the machinery is also observed. Therefore, the machinery account will be credited with the increased value of the machine, which is calculated as the difference between the old productivity and the new productivity multiplied by the hourly rate per unit.

So, the journal entry would look like this:

Debit - Machinery Account: $12,000
Credit - Machinery Account: ($2,000) [$20 x (120-100) units/hour]

The net effect of this journal entry is an increase in the value of the machinery account by $10,000 ($12,000 - $2,000), which is a reflection of the improvement in the machine's productivity after the repair. This transaction will help McLarry Manufacturing Firm to maintain accurate records of its assets and liabilities, as well as help in making informed decisions about the future repair or replacement of machinery.

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as a particular engagement is being planned in a high-risk area, the chief audit executive determines that the available staff does not have the requisite skills to perform the assignment. the best course of action consistent with engagement planning principles is to

Answers

The best course of action for the chief audit executive in this situation would be to reassess the engagement plan and adjust it accordingly. This may include identifying the specific skills and expertise required for the engagement and seeking additional resources or training for the staff members involved.

Alternatively, the chief audit executive may need to reconsider the feasibility of the engagement in the high-risk area and potentially postpone or cancel it if the necessary skills and resources cannot be obtained. It is important to prioritize the safety and effectiveness of the engagement while adhering to engagement planning principles.

1. Identify the necessary skills and expertise required for the assignment.
2. Evaluate the current staff's skills and determine the gap between their skills and the required skills for the engagement.
3. Consider outsourcing or co-sourcing the engagement to a third party with the required expertise, ensuring that the third party is reliable, competent, and complies with confidentiality and independence requirements.
4. Provide additional training and development opportunities for the existing staff to improve their skills and prepare them for future engagements in high-risk areas.
5. Continuously monitor and reassess the engagement, staff performance, and the third party's contribution (if applicable) to ensure that the assignment is completed effectively and in accordance with engagement planning principles.

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Consider the following table, which gives a security analyst's expected return on two stocks for two particular market returns: Market Return Aggressive Stock Defensive Stock 8% 3.9% 5.7% 20 30 14 . What are the betas of the two stocks?

Answers

The betas for the Aggressive and Defensive stocks are approximately 0.492 and -0.692, respectively.

What are the betas of the two stocks?

Based on the provided data, we can calculate the betas of the two stocks by comparing their expected returns to the market returns. The beta measures the stock's sensitivity to market movements.

Market Return | Aggressive Stock | Defensive Stock 8% | 3.9% | 5.7% 20% | 30% | 14%

First, we need to find the excess return for each stock:

Excess Return = (Stock Return - Market Return)

Aggressive Stock: 3.9% - 8% = -4.1% (at 8% Market Return) 30% - 20% = 10% (at 20% Market Return)

Defensive Stock:

5.7% - 8% = -2.3% (at 8% Market Return)

14% - 20% = -6% (at 20% Market Return)

Next, we calculate the betas using the excess returns:

Beta = (Excess Return of Stock) / (Excess Return of Market) Excess Return of Market = 20% - 8% = 12% Aggressive Stock Beta:

(-4.1% + 10%) / 12% = 5.9% / 12% ≈ 0.492

Defensive Stock Beta:

(-2.3% - 6%) / 12% = -8.3% / 12% ≈ -0.692

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if accounting were a production system, a journal would be an "output." group of answer choices t/f

Answers

True,

if accounting were a production system, a journal would be considered an "output."

This is because a journal records the financial transactions of a business, and these records are a result of the accounting process. In a production system, outputs are the final products or outcomes that are generated, so a journal fits this description in the context of accounting.

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According to one theory, advertising sends a signal to consumers about the quality of the product being offered. An implication of this theory is that a. the existence of an expensive advertisement is more important than the content of the advertisement. b. advertising is not in the best interest of society. c. it is irrational for firms to pay famous people large amounts of money to appear in their advertisements. d. the actual quality of the product is irrelevant.

Answers

Advertising sends a signal to consumers about the quality of the product being offered. An implication of this theory is that: a. the existence of an expensive advertisement is more important than the content of the advertisement.

Advertising is the term used to describe the strategies used to promote a product or service. By emphasizing a product or service, advertising attempts to get consumers' attention. Although there are countless other uses as well, commercial advertising is the most common. The aim is frequently to promote a specific good or service.

Commercial advertising typically aims to increase the use of its products or services by "branding," which associates a product name or image with particular qualities in the minds of consumers. Direct-response commercials, on the other hand, are designed to prompt an immediate purchase. Worldwide spending on advertising in 2015 amounted to an estimated US$529.43 billion.

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A marketable title must disclose no serious defects and not depend on doubtful questions of law or fact to prove its validity.
True or False

Answers

The given statement "A marketable title must disclose no serious defects and not depend on doubtful questions of law or fact to prove its validity." is true because marketable title is free of any encumbrances

A marketable title is a term used in real estate that refers to a title that is free of any encumbrances or defects that could cause doubt about the legal ownership of the property.

In other words, a marketable title is one that is clear of any serious defects, such as liens, judgments, or other legal claims that could impair the buyer's ability to take possession of the property.

For a title to be marketable, it must be free of any doubts or questions of law or fact that could create a cloud on the title or prevent a buyer from obtaining a clear and undisputed ownership of the property.

This means that the title must be backed up by proper documentation and evidence, such as deeds, surveys, and other legal instruments, and must be verifiable by a reasonable examination of public records.

Therefore, it is true that a marketable title must disclose no serious defects and not depend on doubtful questions of law or fact to prove its validity.

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a small firm can develop _____ if it provides quality products and excellent service. multiple choice question. more independence

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A small establishment can develop a good character if it provides quality products and excellent service.

 

While small organisations can generally apply the same quality operation systems as larger pots, they may defy unique hurdles along the road.

Small associations, for illustration, generally have lower mortal coffers and lower outspoken backing to devote to quality sweats. In a lower business, still, upper operation commitment and availability may be stronger, and internal dispatches may be more straightforward.

Small business labor force's perceived values tend to come common variables in their geste  and can come major factors that promote good long- term success. Upper operation can make a big donation to small establishment culture development if they can convey beliefs and generalities to help direct labor force sweats.

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Correct question:

a small firm can develop _____ if it provides quality products and excellent service.

a)  more independence

b) a good reputation

research shows strategic management in small firms is more formal than in large firms, but large firms that engage in strategic management outperform those that do not. T/F

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Research shows that strategic management in small firms is generally less formal and more informal than in large firms. This is due to the fact that small firms often have fewer resources and a simpler organizational structure.

The statement is False. It allows for more informal communication and decision-making processes. However, large firms that engage in strategic management tend to outperform those that do not. Strategic management allows firms to set goals, analyze their internal and external environments, and develop strategies to achieve those goals. Large firms that engage in strategic management can better adapt to changing market conditions and take advantage of new opportunities.

In summary, small firms tend to have less formal strategic management processes than large firms, but engaging in strategic management benefits both small and large firms.

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The points Smith raises most farm subsidies go to a small percentage of high income farmers are ——

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The points Smith raises, that most farm subsidies go to a small percentage of high-income farmers, are valid concerns. This highlights an issue of income disparity and unequal distribution of subsidies among farmers.

The point that Smith raises about most farm subsidies going to a small percentage of high income farmers is not entirely unfounded. While subsidies are intended to support struggling farmers and promote agricultural growth, they often end up benefiting larger, more profitable operations. In fact, according to a report by the Environmental Working Group, the top 1% of subsidy recipients received 26% of all farm subsidies between 1995 and 2019. This has led to criticism that subsidies are not being distributed fairly, and that smaller and more sustainable farms are being left out. However, it's important to note that subsidies can still provide crucial support for farmers in need, and that efforts are being made to reform the system to ensure greater equity and efficiency.

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if the risk premium on the stock market was 6.48 percent and the risk-free rate was 2.44 percent, what was the stock market return?

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The stock market return in this scenario would be 8.92%

To calculate the stock market return given a risk premium of 6.48 percent and a risk-free rate of 2.44 percent, we can use the following formula:

Stock market return = Risk-free rate + Risk premium

Stock market return = 2.44% + 6.48%

Stock market return = 8.92%

Therefore, the stock market return in this scenario would be 8.92%. The risk premium represents the additional return that investors expect to receive for taking on the risk of investing in the stock market, while the risk-free rate represents the return on a risk-free investment such as a U.S. Treasury bond. By adding the risk premium to the risk-free rate, we can calculate the expected return on the stock market.

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The price of a new car is $12,000. Assume that an individual makes a down payment of 25% toward the purchase of the car and secures financing for the balance at the rate of 6%/year compounded monthly. (Round your answers to the nearest cent.) (a) What monthly payment will she be required to make if the car is financed over a period of 48 months? Over a period of 60 months? 48 months $ 60 months (b) What will the interest charges be if she elects the 48-month plan? The 60-month plan? 48-month plan $ 60-month plan $ Submit Answer 9. [-14 Points) DETAILS TANFIN12 5.3.023. MY NOTES ASK YOUR TEACHER The price of a new car is $12,000. Assume that an individual makes a down payment of 25% toward the purchase of the car and secures financing for the balance at the rate of 6%/year compounded monthly. (Round your answers to the nearest cent.) (a) What monthly payment will she be required to make if the car is financed over a period of 48 months? Over a period of 60 months? 48 months $ 60 months (b) What will the interest charges be if she elects the 48-month plan? The 60-month plan? 48-month plan $ 60-month plan $ Submit Answer

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(a) The monthly payment required for a 48-month financing plan is $242.29 and for a 60-month financing plan is $197.54.

(b) The interest charges for the 48-month plan will be $1,174.94 and for the 60-month plan will be $1,512.55.

To calculate the monthly payments, we can use the formula for the present value of an annuity with monthly compounding:

PV = (PMT / r) x (1 - 1 / (1 + r)^n)

where PV is the present value of the loan (which is the amount financed), PMT is the monthly payment, r is the monthly interest rate (which is 6% / 12 = 0.005), and n is the number of months.

For the 48-month plan, PV = $9,000, PMT = $242.29, r = 0.005, and n = 48. Solving for PMT gives us $242.29.

For the 60-month plan, PV = $9,000, PMT = $197.54, r = 0.005, and n = 60. Solving for PMT gives us $197.54.

To calculate the interest charges, we can use the formula for compound interest:

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

where A is the total amount paid (which is the amount financed plus the interest charges), P is the amount financed (which is $9,000), r is the annual interest rate (which is 6%), n is the number of times the interest is compounded per year (which is 12), and t is the time period in years.

For the 48-month plan, t = 4 and n = 12. Solving for A and subtracting P gives us $1,174.94.

For the 60-month plan, t = 5 and n = 12. Solving for A and subtracting P gives us $1,512.55.

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In what way do economic models differ from models in the physical sciences?
A Economics relies on controlled experiments.
B Economic models attempt to explain human behavior.
C Economics has nothing to do with anything physical.
D Economic models are usually more difficult than models in the physical sciences.

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The correct answer is B. Economic models attempt to explain human behavior.

Economic models are unique in their focus on human behavior and the complexities of real-world economic systems, which sets them apart from models in the physical sciences.

What is Economics relies?

"Economics relies" refers to the dependence or reliance of economics as a field of study on certain methods, assumptions, or principles. In the context of the given statement, "Economics relies on controlled experiments"

Economic models are used to understand and analyze the behavior of individuals, firms, markets, and economies as a whole. They are typically based on assumptions about human behavior, such as rational decision-making, utility maximization, and market equilibrium, and are used to make predictions, test hypotheses, and guide policy decisions in the field of economics.

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Ella got a great stock tip from her friend, Lyne who was the Chief Executive Officer (CEO) of Company Y. Ella bought the stock right away and watched it climb as positive news came out about a take-over. What best describes the scenario. Points: 1 When insider trading occurs, investors who play by the rules are at a disadvantage. Insider trading is not illegal and occurs all the time. This was a great tip by a good friend who was knowledgeable in the company’s future. You can minimize your risk when you can get insider information.

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The scenario described involves insider trading, which is illegal and gives an unfair advantage to those who have access to privileged information. Ella received a tip from Lyne, who was the CEO of Company Y, and purchased the stock based on this information.

This is not an ethical or legal practice, and investors who play by the rules are indeed at a disadvantage when insider trading occurs. Therefore, the best answer is that insider trading occurs, and it is not legal.

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the trp operon is regulated by a. a repressor protein only. b. transcriptional attenuation only. c. both a repressor protein and attenuation. d. neither a repressor protein nor attenuation

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The trp operon is regulated by both a repressor protein and attenuation, which work together to control the expression of genes involved in tryptophan biosynthesis. Thus option C will be correct.

Both a repressor protein and transcriptional attenuation govern the trp operon, which in bacteria regulates the manufacture of the amino acid tryptophan. In the absence of tryptophan, the repressor protein, which is produced by the trpR gene, binds to the operon's operator region and inhibits transcription.

As a result of transcriptional attenuation, various RNA structures are created that regulate the expression of downstream genes depending on the availability of tryptophan. As a result, these systems combine to tightly regulate the production of the trp operon in response to the tryptophan content inside of cells.

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regional strategies are more appropriate than global strategies for firms that operate in . group of answer choices multidomestic industries newly emerging industries mature industries

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Regional strategies are more appropriate than global strategies for firms that operate in multidomestic industries. The correct option is A.

Multidomestic industries are those where customer needs and preferences vary significantly across different regions or countries. In such industries, regional strategies that cater to the unique needs of each region are more effective than global strategies that treat all regions as one homogenous market.

Regional strategies allow firms to be more flexible and responsive to local market conditions, which can result in greater customer satisfaction and higher profits. In contrast, global strategies may be more appropriate for newly emerging industries or mature industries where customer needs and preferences are relatively similar across different regions.

Therefore, the correct option is A.

Regional strategies are more appropriate than global strategies for firms that operate in ..

A. multidomestic industries

B. newly emerging industries

C. mature industries

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