what will be the value in 20 years of $2,500 invested at the end of each year for the next 20 years? excel

Answers

Answer 1

The value in 20 years of $2,500 invested at the end of each year for the next 20 years is $89,982.14.

To calculate the value of an investment, including the compounding interest rate, we can use the Excel function "FV". Therefore, to determine the value in 20 years of $2,500 invested at the end of each year for the next 20 years, we will use the "FV" function in Excel.

Here is how:

Step 1: Open an Excel worksheet.

Step 2: Enter $2,500 as the present value of the investment.

Step 3: In the next cell, enter the annual interest rate that the investment earns (we can assume a rate of 5% per year, compounded annually).

Step 4: In the next cell, enter the number of years of the investment (20).

Step 5: In the next cell, enter -2,500, indicating the payment made at the end of each year. The minus sign before 2,500 is because we are making a payment into the investment account.

Step 6: Now use the FV function to determine the future value of the investment. In the cell that you want to display the future value, type

=FV(5%,20,-2500,,0)

and press Enter. Here's how the formula works:

FV: This is the name of the Excel function.5%: This is the annual interest rate.20:

This is the number of years of the investment.-2500:

This is the annual payment made at the end of each year.

The minus sign indicates that the payment is made into the investment account.0:This indicates that the investment is compounded annually (this is the default).

Step 7: You will see that the value of the investment at the end of 20 years is $89,982.14, rounded to two decimal places.

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Related Questions

it is not a violation of u.s. law for a domestic company to import goods created by forced or indentured child labor if this type of ""labor"" is commonly allowed in that foreign country. True or false?

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It is not a violation of U.S. law for a domestic company to import goods created by forced or indentured child labor if this type of "labor" is commonly allowed in that foreign country.

However, it is important to note that even though it may not be illegal under U.S. law, it can still be ethically problematic and subject to public scrutiny.

The use of forced or child labor is generally condemned by international standards and conventions, such as the International Labour Organization's (ILO) Forced Labour Convention and the Convention on the Rights of the Child.

Many companies have voluntarily adopted strict policies and standards against using such labor practices in their supply chains, regardless of the legality in certain foreign countries.

True.

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It's filling out the balance sheet or income statement but I'm not sure which one I should write the numbers on.

- The auditors reviewed Starbuck's allowance for bad debt and found Starbucks was too conservative and the allowance for bad debt is overstated by $20 million (therefore it must be lowered)

=Balance Sheet=

-Assets

-----Cash

------Investments

-----Accounts Receivable, Gross

----- Allowance for bad debt

----- Inventory

----- Prepaid Expenses

----- PP&E

----- Accumulated Deprecation

----- Goodwill

----- Intangible Assets

-Liabilities + Equity

----- Accounts Payable

----- Deferred Revenues

----- Warranty Liabilities

----- Bonds Payable

----- Discount on Bonds

----- Common Stock (Contributed Capital)

----- Additional Paid In capital

----- Retained Earnings (Earned Capital)

=Income Statement=

-----Revenues

-----Cost of Good Sold

-----Description

-----Expenses/ other

-----Net Income

Where and what numbers should I put on in this case?

Answers

The numbers related to the auditors' finding on Starbucks' allowance for bad debt should be recorded on the Balance Sheet. Specifically, you should adjust the "Allowance for bad debt" account by decreasing it by $20 million.

To make this adjustment, you will subtract $20 million from the current balance of the "Allowance for bad debt" account. This will reflect the auditors' finding that the allowance is overstated and needs to be lowered.

On the Income Statement, you should not directly record the adjustment for the allowance for bad debt. The Income Statement is used to report revenues, expenses, and net income for a specific period of time, while the Balance Sheet reflects the financial position of the company at a specific point in time.

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Paula Boothe, president of the Ayayai Corporation, has mandated a minimum 8% return on investment for any project undertaken by the company. Given the company's decentralization, Paula leaves all investment decisions to the divisional mana minimum rate of return of at least 10%. The Energy Drinks division, under the direction of manager Martin Koch, has achieved a 13% return invest $2,000,000 in a new line of energy drinks that is expected to generate $220,000 in operating income. (a) Calculate the return on investment expected on the new line of energy drinks. (Round answer to 1 decimal place, e.g. 5.1\%.) Return on Investment %

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The return on investment expected on the new line of energy drinks is 11%.

Return on investment (ROI) is a financial ratio that evaluates the profitability of an investment made by a firm. It is calculated by dividing the investment income by the initial investment. The Energy Drinks division, under the direction of manager Martin Koch, has achieved a 13% return on a minimum rate of return of 10%. Since the minimum rate of return is 8%, the project is viable and can be undertaken by the company.

The operating income generated by the new line of energy drinks is $220,000 and the initial investment is $2,000,000. Therefore, the ROI expected on the new line of energy drinks is:

ROI = (Operating Income / Initial Investment) × 100
ROI = (220,000 / 2,000,000) × 100
ROI = 11%

Hence, the return on investment expected on the new line of energy drinks is 11%.

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14. This question is related to Chapter 17. Pests and Path Dependence Biological pest control has high fixed costs associated with machinery and predator rearing; farmers experience substantial "learning-by-doing"; and farmers also depend on "network externalities"- information gained from fellow farmers and extension agents. Finally, if neighboring farmers are spraying pesticides, this will also kill off natural predators. Given these factors, assume we can write an average cost function per ton of output for an individual farmer using biological methods that looks like:

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The average cost function per ton of output for an individual farmer using biological pest control methods is influenced by high fixed costs, learning-by-doing effects, network externalities, and the impact of pesticide use by neighboring farmers.

Biological pest control methods require initial investments in machinery and predator rearing, resulting in high fixed costs for farmers. However, over time, farmers gain experience and knowledge through "learning-by-doing," which reduces their average costs.

Additionally, the success of biological pest control relies on information sharing among farmers and extension agents, creating network externalities that further affect the average cost function.

Farmers benefit from exchanging knowledge, experiences, and best practices, leading to improved pest control methods and cost efficiencies.

On the other hand, if neighboring farmers resort to spraying pesticides, natural predators are killed off, negatively impacting the effectiveness of biological pest control methods.

This creates a challenge for individual farmers as they may need to invest more in predator rearing or find alternative solutions to maintain pest control effectiveness, which can increase average costs per ton of output.

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A customer service strategy is designed to establish which of the following: supply chain models operating models competitive models mission statement

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A customer service strategy is designed to establish a mission statement. So, The formulation of a customer service strategy aims to create a mission statement.



A mission statement is a concise and clear statement that outlines the purpose and goals of an organization. In the context of customer service, a mission statement serves as a guiding principle for how a company interacts with its customers and provides support.

The purpose of a customer service strategy is to align the organization's mission with its customer service efforts. It outlines the objectives, tactics, and approaches that will be used to deliver exceptional customer service. This strategy may include elements such as communication channels, training programs, performance metrics, and customer feedback mechanisms.

By establishing a mission statement, a customer service strategy sets the foundation for creating a customer-centric culture within the organization. It helps define the values and principles that guide customer interactions, ensuring consistency and alignment across all customer touchpoints.

In summary, a customer service strategy is designed to establish a mission statement that outlines the organization's purpose and goals related to customer service. This mission statement serves as a guiding principle for delivering exceptional customer service.

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A customer service strategy is designed to establish the mission statement of a company. The mission statement guides the organization's actions and decisions in providing excellent customer service.

A customer service strategy is designed to establish the mission statement of a company. The mission statement outlines the purpose and goals of the organization in providing customer service.

Here's a step-by-step breakdown of the answer:
1. A customer service strategy is a plan that a company develops to effectively address its customers' needs and expectations.
2. The strategy defines how the company will provide customer service, including the methods, channels, and resources that will be utilized.
3. One of the key components of a customer service strategy is the mission statement, which outlines the company's purpose and goals in relation to customer service.
4. The mission statement guides the company's actions and decisions in delivering excellent customer service.
5. It helps establish a clear direction for the company and ensures that all employees understand the company's focus on customer satisfaction.
6. By defining the mission statement, a customer service strategy helps align the company's efforts towards meeting customer expectations and building strong customer relationships.

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Evaluate the following integrals 1 i. ∫ 3x + 5dx [2 Marks] ii. ∫
x 2 l − x dx [3 Marks] 1 2 iii. ∫∫ (6 xy 2 + 3x 2 )dydx 0 0 [3
Marks

Answers

The evaluation of the integral ∫(3x+5)dx gives [tex]∫(3x+5)dx=(3x²/2)+5x+C[/tex].

First, we find the integral of the given expression:

[tex]∫(3x+5)dx=[(3x²/2)+5x]+C[/tex], where C is the constant of integration.

Therefore,[tex]∫(3x+5)dx=(3x²/2)+5x+C[/tex].

ii. ∫(x²/(l-x))dx[tex]∫(3x+5)dx=(3x²/2)+5x+C[/tex]

By applying the substitution method, we let u = l-x, du/dx

=-1, dx

=-du and thus we get the integral:

[tex]∫(x²/(l-x))dx=-∫((l-u)²/u)du[/tex]

[tex]=-∫((u²-2lu+l²)/u)du[/tex]

[tex]=-∫(u²/u)du+∫(2l/u)du-∫(l²/u)du[/tex]

[tex]=-∫udu+2l∫(1/u)du-l²∫(1/u)du[/tex]

[tex]=-u²/2+2l ln |u| - l² ln |u| + C[/tex]

[tex]=-((l-x)²/2)+2l ln |l-x| - l² ln |l-x| + C.[/tex]

So, [tex]∫(x²/(l-x))dx=-((l-x)²/2)+2l ln |l-x| - l² ln |l-x| + C[/tex].

iii. ∫∫(6xy²+3x²)dydx

The integral ∫∫(6xy²+3x²)dydx can be solved by applying Fubini's theorem of double integrals:

[tex]∫∫(6xy²+3x²)dydx=∫[(∫(6xy²+3x²)dy)]dx.0 y dx[/tex]

[tex]=∫[3x²y+2xy³]0 y dx[/tex]

[tex]=∫(3x²y+2xy³)dydx[/tex]

[tex]=∫(3x²y²/2+xy⁴)dx[/tex]

[tex]=(-3x⁴y²/8)-x²y⁴/4+C,[/tex]

Where C is the constant of integration.

So, [tex]∫∫(6xy²+3x²)dydx=(-3x⁴y²/8)-x²y⁴/4+C[/tex].

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The NFL, as well as the other leagues, pay lower salaries to
players who
have not achieved free agency and are not yet eligible for
arbitration.
have not achieved free agency status.

Answers

The NFL, as well as other leagues, pay lower salaries to players who have not achieved free agency status. This is because, until the player achieves free agency status, they are under contract with the team they were initially drafted by.

This contract gives the team exclusive rights to the player and limits the player’s ability to negotiate with other teams for better pay.Furthermore, players who have not achieved free agency are not yet eligible for arbitration. Arbitration is a process that allows players to have a neutral third-party decide their salary if they are unable to come to an agreement with their team during contract negotiations.

The inability to access this process further limits the player’s ability to negotiate for higher salaries.In conclusion, the lower salaries paid to players who have not achieved free agency status in the NFL and other leagues are due to the contractual agreements that limit their negotiating power and the inability to access the arbitration process. These limitations make it difficult for players to earn the salaries they may deserve based on their performance and value to the team.

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What are some of the priorities that Disney implements in Project Management Imagineering to fit with their culture? ( 150 words)
What are some of the challenges that Disney faces in PM that other amusement parks may not have to worry about? (150 words)

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In Project Management Imagineering, Disney implements several priorities to fit with their culture. The company's main objective is to provide customers with a seamless experience.

As a result, Imagineers must be detail-oriented, motivated, and have excellent communication skills. The following are some of the priorities that Disney incorporates into Project Management Imagineering to align with their culture: Communication:

Another challenge that Disney faces in PM is the need to balance creativity and budgetary constraints. While Disney strives to provide its customers with a unique experience, the company must balance this with budgetary constraints to ensure that projects are completed on time and within budget.

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Consider the following data for Canada: GDP (in current prices) 2021: 2,496.2 bn Can$, 2020: 2,206.8 bn Can$ GDP deflator (base year 2013) 2021: 119.4, 2020: 110.4 Employment 2021: 18.872 millions of persons Labor Force 2021: 20.387 millions of persons Interest rate (3-month, annual interest rate, 2020): 0.12% Calculate: (a) the inflation rate for 2021; (b) the real GDP growth rate for 2021; (c) the unemployment rate for 2020; (d) the real interest rate for 2021.

Answers

a) The inflation rate for 2021 is 7.6%.

b) The real GDP growth rate for 2021 is 9.4%.

c) The unemployment rate for 2020 is 9.7%.

d) The real interest rate for 2021 is -7.28%

To find the inflation rate for 2021, we use the formula:

Inflation rate 2021 = ((GDP deflator 2021 - GDP deflator 2020) / GDP deflator 2020) x 100

Substituting the values, we get:

Inflation rate 2021 = ((119.4 - 110.4) / 110.4) x 100 = 7.6%

To find the real GDP growth rate for 2021, we use the formula:

Real GDP growth rate 2021 = ((GDP 2021 / GDP deflator 2021) - (GDP 2020 / GDP deflator 2020)) / (GDP 2020 / GDP deflator 2020) x 100

Substituting the values, we get:

Real GDP growth rate 2021 = ((2,496.2 / 119.4) - (2,206.8 / 110.4)) / (2,206.8 / 110.4) x 100 = 9.4%

To find the unemployment rate for 2020, we use the formula:

Unemployment rate 2020 = (Unemployed / Labor force) x 100

Given the employment is 18.872 million people, we know that the number of unemployed people in 2020 is Labor force - Employment = 20.387 - 18.872 = 1.515 million people

Substituting the values, we get:

Unemployment rate 2020 = (1.515 / 20.387) x 100 = 9.7%

To find the real interest rate for 2021, we use the formula:

Real interest rate 2021 = Nominal interest rate - Inflation rate

Substituting the values, we get:

Real interest rate 2021 = 0.12 - 7.6 = -7.28%

Thus, the inflation rate for 2021 is 7.6%, the real GDP growth rate for 2021 is 9.4%, the unemployment rate for 2020 is 9.7%, and the real interest rate for 2021 is -7.28%.

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acquire one share of $1 par common stock for $12. An option-pricing model estimates the fair value of the options to be $5 on the date of grant calculations. Round your final answer to the nearest whole dollar amount.) Multiple Choice $30,667 $46,000 $107,333 $153,333

Answers

Compensation expense is simply calculated by multiplying the fair value of the options by the number of shares granted, which in this case is 1. Therefore, the answer is $5

According to the given information, an employee acquired one share of $1 par common stock for $12. An option-pricing model estimated the fair value of the options to be $5 on the date of grant calculations. We need to determine the value of the compensation expense for this grant.Required compensation expense = Fair value of the options × number of shares granted = $5 × 1 = $5

Therefore, the compensation expense for this grant is $5.The value of the options is not relevant to the calculation of compensation expense.

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avery co. uses a predetermined factory overhead rate based on direct labor hours. for the month of july, avery's budgeted overhead was $300,000 based on a budgeted volume of 100,000 direct labor hours. actual overhead amounted to $325,000 with actual direct labor hours totaling 110,000. how much was the overapplied or underapplied overhead?

Answers

The overapplied or underapplied overhead for Avery Co. is -$5,000, indicating an underapplied overhead. This means that the actual overhead incurred was higher than the amount applied based on the predetermined rate.

The overapplied or underapplied overhead for Avery Co. can be calculated as follows:

Actual Overhead - Applied Overhead

= $325,000 - Applied Overhead

To determine the applied overhead, we need to multiply the actual direct labor hours by the predetermined factory overhead rate:

Applied Overhead = Predetermined Factory Overhead Rate * Actual Direct Labor Hours

The predetermined factory overhead rate is calculated by dividing the budgeted overhead by the budgeted direct labor hours:

Predetermined Factory Overhead Rate = Budgeted Overhead / Budgeted Direct Labor Hours

Substituting the given values:

Predetermined Factory Overhead Rate = $300,000 / 100,000 hours

= $3 per direct labor hour

Now we can calculate the applied overhead:

Applied Overhead = $3 per direct labor hour * 110,000 actual direct labor hours

= $330,000

Finally, we can determine the overapplied or underapplied overhead:

Overapplied or Underapplied Overhead = Actual Overhead - Applied Overhead

= $325,000 - $330,000

= -$5,000

Therefore, the overapplied or underapplied overhead for Avery Co. is -$5,000, indicating an underapplied overhead.

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would you recommend monetary restraint or stimulus for today’s economy? who would disagree with you. be sure to define all terms!

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In today's economy, it is recommended to adopt monetary stimulus instead of monetary restraint to revive and strengthen the economy. The government should take this step by increasing the supply of money in the market. This increase in supply can be done in two ways: through reducing interest rates or by quantitative easing.

The impact of monetary stimulus can be explained as follows:Lowering interest rates can lead to a decrease in the cost of borrowing for businesses and households, thus increasing the overall demand for goods and services.Increasing the supply of money in the economy will enable businesses to get access to credit, invest in projects, hire new employees, and expand their business, creating more jobs and revenue in the economy.In this way, monetary stimulus will act as a booster to the economy, enabling it to recover from the economic downturn caused by COVID-19. However, there can be disagreements about the use of monetary stimulus in today's economy. Some may argue that monetary stimulus could lead to inflation, as an increase in the money supply could cause an increase in the price of goods and services. Inflation can erode the value of money over time and reduce the purchasing power of individuals. Therefore, some experts may recommend monetary restraint as an alternative to monetary stimulus. Monetary restraint involves a reduction in the supply of money in the market. This can be done by raising interest rates or by reducing the money supply in the market. The impact of monetary restraint can be explained as follows:Higher interest rates can lead to a decrease in borrowing by businesses and households, thus decreasing the overall demand for goods and services.Reducing the supply of money in the economy can make it difficult for businesses to access credit, reduce investment in projects, limit hiring, and decrease the revenue of the economy.In this way, monetary restraint can have a negative impact on the economy, as it can further slow down economic growth and decrease revenue.

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In a closed economy, the fact that total income equals total expenditure is reflected by the GDP identity Y=C+I+G. a. Starting from the GDP identity, show that national saving (S) must be equal to investment. Show that an increase in government spending reduces national saving. b. Rewrite the GDP identity by introducing taxes (T). In this new form of the GDP relationship, identify private saving and public saving. Show that an increase in taxes has no effect on national saving. c. Is the equation S = I true for an open economy? Could you explain why or why not?

Answers

In a closed economy, where there is no foreign trade and no government saving or borrowing, national saving (S) must be equal to investment (I). This is because any income that is not used for consumption must be saved or invested in capital projects.

Thus, we can derive the following equation from the GDP identity:Y = C + I + GY = C + S + TIn this equation, national saving is S = Y − C − T and investment is I = Y − C − G. Since C + G + T = Y, these equations can be combined to show that S = I. This demonstrates that in a closed economy, national saving must equal investment.An increase in government spending (G) will reduce national saving because it reduces the amount of money available for investment. If the government borrows money to finance the increase in spending, this will increase the supply of loanable funds and reduce the interest rate, which will increase investment.

Rewriting the GDP identity by introducing taxes (T), we get Y = C + I + G + T. We can then subtract C + T from both sides to get Y − C − T = I + G − T. This equation can be rearranged to show that private saving is S = Y − C − T and public saving is T − G. Since national saving is equal to private saving plus public saving, we have:S = (Y − C − T) + (T − G)S = Y − C − GIn this equation, an increase in taxes (T) has no effect on national saving because it reduces private saving by the same amount that it increases public saving.

Therefore, an increase in taxes does not affect the amount of money available for investment.In an open economy, national saving does not necessarily equal investment because there can be international capital flows. For example, if a country has a trade surplus, it will be exporting more goods and services than it imports, which means that it is receiving more income from abroad than it is paying out. This surplus can be invested in foreign assets or used to finance foreign investment.

In a closed economy, national saving must be equal to investment. An increase in government spending reduces national saving. In an open economy, national saving does not necessarily equal investment because there can be international capital flows. An increase in taxes has no effect on national saving because it reduces private saving by the same amount that it increases public saving.

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4. Consider a case where each additional output unit reduces average cost of production. What can you say about the relationship between the marginal cost and the average cost at that output level? Wh

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When each additional output unit reduces the average cost of production, it implies that there are economies of scale in the production process. In this case, the relationship between the marginal cost (MC) and the average cost (AC) at that output level is such that the marginal cost is lower than the average cost.

To understand this relationship, let's break it down:

When economies of scale exist, the average cost decreases as the level of output increases. This means that the average cost curve is downward sloping.

The marginal cost, on the other hand, represents the cost of producing one additional unit of output. If each additional output unit reduces the average cost, it implies that the marginal cost is lower than the average cost.

Consequently, when there are economies of scale, the marginal cost curve will lie below the average cost curve. The gap between the marginal cost and average cost curves represents the economies of scale.

In summary, when each additional output unit reduces the average cost of production, the marginal cost will be lower than the average cost at that output level. This relationship highlights the cost advantages associated with increasing production and capturing economies of scale.

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Which of the following critical components requires management to clearly define the skills a service person must bring to a job? a) Energetic follow-through process by the service person b) Significant modeling by managers on the service person c) Careful selection process in hiring frontline employees d) Emphasis on imbibing positive attitudes among employees

Answers

The correct answer is (c). The critical component that requires management to clearly define the skills a service person must bring to a job is the careful selection process in hiring frontline employees.

When hiring frontline employees who directly interact with customers, it is crucial to identify and specify the specific skills and qualifications that are essential for providing satisfactory service.

By clearly defining the required skills, management can ensure that the hiring process focuses on identifying candidates who possess the necessary abilities to fulfill the job requirements effectively. This involves establishing criteria, such as specific technical skills, communication skills, problem-solving abilities, or customer service expertise, that are crucial for success in the role.

Through a careful selection process, management can evaluate candidates based on these defined skills and select individuals who demonstrate the aptitude and proficiency required to excel in customer service positions. This approach enables the organization to align its hiring efforts with the desired skill set and increase the likelihood of hiring service people who are well-suited for the job, leading to improved customer experiences and satisfaction.

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The rate most international banks charge one another for overnight Eurodollar loans is called the London Interbank Offer Rate. international prime rate. United States Treasury bill rate. O Paris Opening Interest Rate. Eurodollar yield to maturity.

Answers

The rate most international banks charge one another for overnight Eurodollar loans is called the London Interbank Offer Rate (LIBOR). Eurodollar loans refer to U.S. dollar-denominated loans that are deposited outside the United States, typically in banks located in countries other than the United States.


LIBOR is a widely used benchmark interest rate that serves as a reference for various financial instruments, such as loans, derivatives, and mortgages. It represents the average interest rate at which banks are willing to lend funds to each other in the London interbank market. It is calculated based on submissions from a panel of major banks, reflecting their perception of borrowing costs. LIBOR is commonly used in international transactions and serves as a key indicator of market conditions and liquidity. However, it is important to note that in recent years, efforts have been made to transition away from LIBOR to alternative benchmark rates due to concerns over its reliability and manipulation risks.

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spencer paid the following taxes this year. federal income tax $ 12,034 federal employee payroll tax $ 4,590 state and local income tax $ 5,725 state and local sales tax $ 2,998 local property tax on personal residence $ 3,300 compute spencer's itemized deduction for taxes.

Answers

Spencer's itemized deduction for taxes would be: federal Income tax: $12,034

state and local income tax: $5,725

local property tax on personal residence: $3,300

total itemized deduction for taxes: $12,034 + $5,725 + $3,300 = $21,059

spencer's itemized deduction for taxes would amount to $21,059.

to compute spencer's itemized deduction for taxes, we would add up the amounts he paid for eligible tax categories. in this case, the eligible tax categories for itemized deductions are federal income tax, state and local income tax, and local property tax on his personal residence. the deduction for federal employee payroll tax and state and local sales tax is not eligible for itemized deductions. please note that tax deductions can be subject to various limitations and rules, so it's recommended to consult with a tax professional or refer to the current tax regulations for accurate calculations based on individual circumstances.

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4- Define Goodness-of-fit measure (R-squared) & provide the formula. ANS:
5-What is omitted variable bias? What two conditions, the omitted variable "Z" must satisfy? ANS:

Answers

4. Goodness-of-fit measure (R-squared)The Goodness-of-fit measure (R-squared) measures the degree of variation of the dependent variable explained by the independent variables. In other words, it measures the proportion of the total variation in the dependent variable that is explained by the variation in the independent variables.

The value of R-squared ranges between 0 and 1.The formula for calculating R-squared is:R² = 1 - (SSR/SST)where SSR is the sum of the squared errors of regression, and SST is the total sum of the squared errors. R-squared is the ratio of explained variation to total variation. It shows the goodness of fit of the regression line. A higher R-squared value indicates a better fit of the regression line. However, R-squared should not be the only criterion to judge the goodness of fit of the regression line. Sometimes, a low R-squared value may also be acceptable depending on the context.5. Omitted variable biasOmitted variable bias is a type of bias that arises when a relevant variable is not included in a regression model. It leads to the estimation of biased and inconsistent coefficients. The two conditions that the omitted variable "Z" must satisfy are:1. Z must be correlated with both the independent variable (X) and the dependent variable (Y)2. Z must not be correlated with the error term (u) in the regression model. If these two conditions are not satisfied, then the omission of variable Z from the regression model does not lead to omitted variable bias. However, in most cases, it is difficult to know whether these conditions are satisfied or not. Therefore, it is always better to include all the relevant variables in the regression model to avoid the problem of omitted variable bias.

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4. Goodness-of-fit measure (R-squared) & provide the formula:R-squared (R2) is a statistical gauge that represents the proportion of the variance for a dependent variable that's explained by an independent variable. R-squared calculates the amount of dispersion or variation in a dependent variable based on the variation in an independent variable. R-squared is often used as a statistical measure to compare the goodness-of-fit for various regression models that have been created.

The formula for R-squared is as follows:R-squared formula: R-squared = Explained variation / Total variationThe value of R-squared is between 0-1. A higher R-squared value indicates that more variation can be accounted for by the model. A low R-squared value implies that more variation is not accounted for by the model.5. Omitted variable bias:Omitted variable bias happens when a variable is not included in the regression model that affects both the dependent and independent variables. The following are the two conditions that omitted variable "Z" must satisfy in order to cause omitted variable bias:It must be a determinant of the dependent variableIt must be correlated with one or more of the independent variables. If these two conditions are met, the regression coefficients of the independent variables in the model will be biased and inconsistent.

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True/False
____ 1. A process whereby
the effect of fluctuations in level of activity is built into the
budgeting system is referred to as flexible budgeting.
____ 2. The budget procedure
t

Answers

The process whereby the effect of fluctuations in the level of activity is built into the budgeting system is referred to as flexible budgeting.

Flexible budgeting is an approach that acknowledges the dynamic nature of business operations and adjusts the budget based on changes in activity levels. Unlike static budgets that are based on a fixed level of activity, flexible budgets are designed to adapt to fluctuations in production volume, sales, or other relevant factors. By incorporating flexibility into the budgeting system, organizations can better account for variations in revenue and expenses that arise due to changes in activity. This enables a more accurate evaluation of performance, cost control, and decision-making, as it aligns the budgeted amounts with the actual levels of activity. Flexible budgeting provides a framework that allows businesses to effectively manage resources and plan for different scenarios, enhancing their ability to respond to changing market conditions and achieve financial objectives.

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Analyst evaluated Kodak by using the FCFE valuation approach. She collected the following information (in €): Kodak has net income €450 million, depreciation of €75 million, capital expenditures of €210 million, and an increase in working capital of €60 million. Kodak will finance 40% of the increase in net fixed assets (capital expenditures less depreciation) and 40% of the increase in working capital with debt financing. Interest expenses are €200 million. The current market value of Kodak’s outstanding debt is €2,100 million. FCFE is expected to grow at 8%. The tax rate is 35%. Kodak is financed with 35% debt and 65% equity. The before-tax cost of debt is 6%, and the before-tax cost of equity is 12%. Kodak has 10 million outstanding shares. The equity value per share, based on FCFE, is closest to:
0a. 376.23€/share
b. 418.90€/share
c. 542.45€/share
d. None of the proposed answers are correct
e. 899.10€/share

Answers

The equity value per share, based on FCFE, is closest to option B) €418.90/share.

The formula for calculating the Free Cash Flow to Equity (FCFE) is as follows:

FCFE = Net income - Capital expenditures + Depreciation - Increase in working capital - Net increase in debt value + Net increase in equity value

Interest expenses = €200 million

Before we calculate the equity value per share based on FCFE, we must first calculate the Weighted Average Cost of Capital (WACC).

The formula for WACC is as follows:

WACC = (Cost of Debt * (1 - Tax Rate) * % of Debt) + (Cost of Equity * % of Equity)

The Cost of Debt before tax is 6% and the tax rate is 35%.

Therefore, the after-tax cost of debt is = 6%*(1-35%)

= 3.9%

The % of Debt is 35% and % of Equity is 65%.

Now we can calculate WACC using the formula

WACC = (3.9% * 35%) + (12% * 65%)= 8.91%

Now we can calculate the equity value per share using the formula

Equity value per share based on FCFE = FCFE * (1+g) / (WACC - g)

= €279.44 million*(1+8%) / (8.91% - 8%)

= €3,563.66 million

Number of outstanding shares = 10 million

Therefore, the equity value per share based on

FCFE is= €3,563.66 million / 10 million

= €356.37/share

We have to check the closest option to €356.37/share.

The closest value is €418.90/share.

Therefore, the equity value per share, based on FCFE, is closest to €418.90/share.

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state two limitations of ratio analysis
Industry average for a selected ratio as following: Ratio Analysis Return on equity Industries average 30% Return on assets 30% 2 times 4 times Inventory turnover Accounts receivables ratio Acid test ratio Dividend cover Gearing ratio 2.5 4.5 25 %

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Limitations of Ratio Analysis:

Ratio Analysis has its own limitations which include:

Incomplete Information:

Ratio Analysis is dependent on the accuracy and completeness of the data. It fails to take into account qualitative aspects such as quality control, management quality, product quality, etc which are not capable of being quantified.

Limited Comparability: Ratio Analysis is only useful when comparing companies that operate in the same industry and geographical area. Comparisons between companies that operate in different industries or geographical areas are unreliable and should be avoided. Additionally, financial statements prepared using different accounting standards will not be comparable.

Time-lag: Ratio Analysis is based on financial statements that are historical and outdated. It may not reflect the current state of the company, as the financial statements may be up to a year old. Hence, changes that may have occurred within the company may not be evident in the ratio analysis.

Ratio analysis is the process of determining the relationship between two or more financial variables. Ratio analysis has its own limitations which include incomplete information, limited comparability, and time-lag. The financial statement should be up to date in order to make a reliable comparison. An analysis should be done within the same industry and geographical area.

Ratio analysis is a useful tool for investors and financial analysts, but it has limitations that should be taken into account. The accuracy of ratio analysis is dependent on the accuracy and completeness of the data. Additionally, financial statements prepared using different accounting standards will not be comparable. Ratio analysis is based on financial statements that are historical and outdated, hence changes that may have occurred within the company may not be evident in the ratio analysis.

The financial statement should be up to date in order to make a reliable comparison. An analysis should be done within the same industry and geographical area.

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How does unrestricted trade between nations raise the economic welfare of all participant countries?

Answers

Unrestricted trade promotes economic growth, fosters specialization, encourages innovation, and benefits all participant countries by increasing economic welfare.

Unrestricted trade between nations can raise the economic welfare of all participating countries in several ways. Here's a step-by-step explanation:

1. Comparative Advantage: Each country specializes in producing goods and services it can produce most efficiently, taking advantage of its available resources and skills. This specialization allows countries to produce at lower costs and achieve higher productivity.

2. Increased Market Access: Unrestricted trade opens up new markets for countries, allowing them to sell their products to a larger customer base. This increased market access leads to more opportunities for businesses to expand and grow.

3. Economies of Scale: When countries can trade freely, they can benefit from economies of scale. Larger markets enable companies to produce goods in larger quantities, leading to lower production costs. This, in turn, can lead to lower prices for consumers.

4. Innovation and Technology Transfer: Unrestricted trade promotes competition, driving companies to innovate and improve their products and production processes. Additionally, it facilitates the transfer of technology and knowledge between nations, benefiting all participants.

5. Consumer Benefits: Unrestricted trade provides consumers with access to a wider range of products at competitive prices. This leads to greater choice, improved quality, and lower costs for consumers.

Overall, unrestricted trade promotes economic growth, fosters specialization, encourages innovation, and benefits all participant countries by increasing economic welfare. By embracing free trade, nations can create mutually beneficial relationships that drive prosperity and development.
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ABC has a net deferred tax liability of $2094.12 at the beginning of the year, representing a net taxable temporary difference of $4986. . During the year, reported pretax book income of $78696. • Included in the computation were favorable temporary differences of $1334. . During the year, the ABC's tax rate increased from 42% to 43%. a. Adjustment to beginning balance in deferred tax liability to reflect change in the tax rate is: b. Change in deferred tax liability for the current year is: c. Total change in net deferred tax liability is:

Answers


a. Adjustment to beginning balance in deferred tax liability to reflect change in the tax rate is $87.15. b. Change in deferred tax liability for the current year is $398.01. c. Total change in net deferred tax liability is $485.16.

a. Adjustment to beginning balance in deferred tax liability to reflect change in the tax rate = [(2094.12-1334)/4986] * 133.58 * (43%-42%) = $87.15
b. Change in deferred tax liability for the current year = [(4986-1334)/4986] * (43%-42%) * 78,696 = $398.01
c. Total change in net deferred tax liability = $87.15 + $398.01 = $485.1

ABC, which has a net deferred tax liability of $2094.12 at the beginning of the year, is affected by an increase in its tax rate from 42% to 43%. A net taxable temporary difference of $4986 is represented by the deferred tax liability. In the current year, ABC reports a pretax book income of $78696, with favorable temporary differences of $1334 included in the computation.

The total change in net deferred tax liability resulting from these changes is $485.16. The deferred tax liability for the current year has increased by $398.01, and the adjustment to the beginning balance in deferred tax liability to reflect the change in the tax rate is $87.15.

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you want to buy a house that costs $210,000. you will make a down payment equal to 20 percent of the price of the house and finance the remainder with a loan that has an apr of 5.19 percent compounded monthly. if the loan is for 30 years, what are your monthly mortgage payments?

Answers

You will make a down payment equal to 20 percent of the price of the house, which is $42,000.The total cost of the house is $210,000.

The remaining amount is $168,000, which will be financed by the loan.

To calculate monthly mortgage payments, the formula used is:

M = P [i(1+i)n] / [(1+i)n - 1]

Where

M is the monthly payment,

P is the principal amount.

i is the monthly interest rate,

and n is the number of months over which the loan is to be repaid.

In this case, P is $168,000, i is the monthly interest rate (which is APR divided by the number of months in a year), and n is the total number of months for the loan, which is 30 years * 12 months per year

= 360 months.

Therefore, the calculation for monthly mortgage payments is:

M = $168,000 [0.0519/12 (1+0.0519/12)360] / [(1+0.0519/12)360 - 1]

which results in M ≈ $931.90

Therefore, your monthly mortgage payments would be around $931.90.

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The Federal Budget: End of Chapter Problem 19. Today, many government transfer programs are run through the tax code. The Earned Income Tax Credit (EITC), which we discussed in this chapter, is one im

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The Federal Budget End of Chapter Problem 19Today, many government transfer programs are run through the tax code. The Earned Income Tax Credit (EITC), which we discussed in this chapter, is one example.

Describe another government program that could be run through the tax code and how this would work. More than 100 words. The Earned Income Tax Credit (EITC) is a refundable tax credit for low to moderate-income working individuals and couples, especially those with children. It is administered through the Internal Revenue Service (IRS) and applies to income from employment, self-employment, or working in agriculture.

EITC is a part of the US government's plan to reduce poverty rates by providing additional money to individuals and families with low earnings. The government has a lot of other programs besides the EITC that could be run through the tax code, some of which are already in effect. In the past, many people got welfare checks from the government. This made it simple to determine who was and wasn't eligible for government assistance. Many welfare programs now use the tax system to deliver aid. The government will pay people based on how much money they make. This means that it’s not necessary to submit separate paperwork to various welfare agencies.

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Graphically show what happens to the budget line and the optimal bundle (use a Cobb-Douglas curve here) for each market below. Assume that you are only purchasing two goods (Pizza on the vertical axis and Beer on the horizontal axis). Make sure to explain in words how your consumption of each good changes.
(a) Assume Pizza and Beer are both normal goods
(1) The government has imposed a new income tax on all consumers (2) A new dairy substitute has decreased the price of pizza
(3) You started your first full-time job after graduation
(b) Now, assume Pizza is a normal good, but Beer is considered a bad good
(1) You started your first full-time job after graduation (Hint: this one is a little tricky. Think about what happens when you have to pay for a "bad" good)

Answers

a) (1) Assume Pizza and Beer are both normal goods.The government has imposed a new income tax on all consumersWhen the government imposes a new income tax on all consumers, the budget line shifts inwards because the amount of disposable income available to consumers has decreased.

As a result, the consumer will consume fewer pizzas and beers.(2) A new dairy substitute has decreased the price of pizzaWhen the price of pizza decreases, the budget line pivots outwards as the consumer can now afford more pizza and beer.(3) You started your first full-time job after graduationWhen the consumer starts their first full-time job, their budget line pivots outwards, allowing them to buy more pizza and beer.b) (2) Now, assume Pizza is a normal good, but Beer is considered a bad goodYou started your first full-time job after graduationWhen pizza is a normal good and beer is an inferior good, the optimal bundle lies on the indifference curve closer to beer as income increases. The reason behind this is that when a consumer has more money to spend, they choose to reduce their consumption of a lower quality or bad good (beer) and replace it with a higher quality good (pizza).Therefore, the optimal bundle will shift towards more pizza and less beer as income increases. As a result, when you start your first full-time job after graduation, you will consume more pizza and less beer.

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A steel maker acquired a coal mining company. Which of the following terms best describes this deal?
a. Vertical
b. Conglomerate
c. Horizontal
d. Obtuse
e. Tender offer

Answers

A steel maker acquired a coal mining company.  a. Vertical. The acquisition of a coal mining company by a steel maker would be best described as a vertical deal.

A vertical acquisition refers to a business combination where a company acquires another company that operates at a different stage of the supply chain or within the same industry but in a different segment of the value chain.

In this case, the steel maker acquiring a coal mining company is an example of vertical integration. By acquiring a coal mining company, the steel maker is seeking to control and secure its supply chain by vertically integrating backward. This allows the steel maker to have direct control over the key input material, coal, which is used in the steel production process.

Option b, conglomerate, would not be the best description for this deal. Conglomerate acquisitions involve the combination of companies operating in different industries or unrelated business segments.

Option c, horizontal, would not be the best description either. Horizontal acquisitions involve the combination of companies operating in the same industry or market segment, which is not the case in the given scenario.

Option d, obtuse, is not relevant to describing the deal. It is a mathematical term unrelated to business acquisitions.

Option e, tender offer, refers to a specific method of acquiring a company's shares directly from its shareholders. It does not provide the appropriate description for the deal between the steel maker and the coal mining company.

Therefore, the best term to describe the deal in question is a. Vertical.

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What would you pay for a $45.000 debenture bond that matures in 13 years and pays $4,500 a year in interest if you wanted to earn a yield of: (For calculation purposes, use 5 decimal places as displayed in
the factor table provided.)
Click here to view the factor table.
10%? (Round answer to O decimal places, e.g. 458,581.)
Amount to pay
$
12%? (Round answer to O decimal places, e.g. 458,581.)
$
Amount to pay
8%? (Round answer to O decimal places, eg. 458,581.)
Amount to pay
$

Answers

Debenture bond is a long-term security that is redeemed upon its maturity date and earns fixed interest payments over its life. The formula used to calculate the price of a bond is PV = PMT x (1 - 1 / (1 + i)n) / i + FV / (1 + i)n, where PV represents the present value of the bond,

PMT is the periodic payment, i is the discount rate, n is the number of payment periods, and FV is the face value of the bond. Given that, the amount that you would pay for a 45,000 debenture bond that matures in 13 years and pays 4,500 a year in interest at different yields would be as follows:10%: Using the provided factor table, the value of (1 - 1 / (1 + 0.1)13) / 0.1 + 1 / (1 + 0.1)13 is 7.08848. Multiplying this value by the annual interest payment of 4,500 gives 31,897.16, which is the amount that you would pay.12%: Using the provided factor table, the value of

(1 - 1 / (1 + 0.12)13) / 0.12 + 1 / (1 + 0.12)13 is 6.52457.

Multiplying this value by the annual interest payment of 4,500 gives 29,360.56, which is the amount that you would pay.8%: Using the provided factor table, the value of (1 - 1 / (1 + 0.08)13) / 0.08 + 1 / (1 + 0.08)13 is 8.88344.

Multiplying this value by the annual interest payment of 4,500 gives 40,025.96, which is the amount that you would pay. Hence, the amount that you would pay for a 45,000 debenture bond that matures in 13 years and pays 4,500 a year in interest if you wanted to earn a yield of 10% is 31,897.16, for 12% is 29,360.56 and for 8% is 40,025.96.

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Your company has decided to increase its productivity for the
next 5 years; you are tasked with locating secondary data that
discusses the labor market in Canada. What does the data tell us
about the

Answers

When it comes to locating secondary data on the labor market in Canada, there are several sources you can explore. Here are some options to consider: Government Websites, Statistics Canada, Research Institutions and Think Tanks, etc.

Government Websites: The Government of Canada provides various sources of labor market information. The most prominent one is the official website of Employment and Social Development Canada (ESDC) and its Labour Market Information (LMI) section. This website offers comprehensive data on employment trends, wages, job vacancies, and other relevant labor market indicators.

Statistics Canada: As the national statistical agency, Statistics Canada offers a wealth of data on the labor market. They provide information on employment rates, unemployment rates, job creation, industry-specific data, wages, and much more. Their website is a valuable resource for accessing detailed labor market statistics.

Research Institutions and Think Tanks: Many research institutions and think tanks in Canada conduct studies and publish reports on the labor market. Examples include the Conference Board of Canada, the Canadian Centre for Policy Alternatives, and the Canadian Council on Social Development. These organizations often analyze trends, policies, and issues related to employment and provide valuable insights into the labor market.

Industry Associations: Industry-specific associations may also offer data and reports related to the labor market within their respective sectors. These associations focus on the specific needs and challenges faced by industries and can provide insights into workforce trends and labor market demands.

Academic Research: Scholarly articles and studies published in academic journals can provide in-depth analysis of various aspects of the labor market in Canada. Academic research often examines topics such as employment patterns, skills requirements, labor force participation, and workforce demographics.

When exploring these sources, look for data and information on key labor market indicators such as employment rates, unemployment rates, wage growth, job vacancies, labor force participation rates, and industry-specific trends. Analyze the data to identify patterns, trends, and projections that can inform your company's productivity goals and strategies for the next five years.

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Choose two very different firms (different market segments or service levels) in the same industry. Observe both establishments. Describe the service ""package"" in both cases. How does the package help distinguish the two firms? Do you believe that the package sets accurate expectations for what the firm delivers?

Answers

The service package of a luxury hotel emphasizes luxury and personalized experiences, while the service package of a budget hotel emphasizes affordability and basic amenities. These packages help distinguish the two firms by targeting different market segments with different service levels.

The service "package" refers to the combination of features, benefits, and experiences that a firm offers to its customers. In order to compare two different firms in the same industry, let's take the example of a luxury hotel and a budget hotel.

1. Luxury Hotel:
- The service package of a luxury hotel includes upscale amenities such as a spa, fitness center, fine dining restaurants, concierge services, luxurious rooms with high-end furnishings, and personalized customer service.
- The package distinguishes the luxury hotel by offering a higher level of comfort, exclusivity, and attention to detail compared to other hotels in the market.
- The luxury hotel's service package sets accurate expectations for the firm's delivery because it aligns with the high standards associated with luxury hotels. Customers can expect top-notch service and premium facilities.

2. Budget Hotel:
- The service package of a budget hotel focuses on providing affordable accommodations without compromising basic amenities such as clean rooms, comfortable beds, free Wi-Fi, and complimentary breakfast.
- The package distinguishes the budget hotel by offering cost-effective solutions for travelers on a tight budget.
- The budget hotel's service package sets accurate expectations for the firm's delivery because it caters to customers looking for affordable options and provides the essential services needed for a comfortable stay.

In summary, the service package of a luxury hotel emphasizes luxury and personalized experiences, while the service package of a budget hotel emphasizes affordability and basic amenities. These packages help distinguish the two firms by targeting different market segments with different service levels. The packages also set accurate expectations for what each firm delivers by aligning with the customers' preferences and needs.

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which of the following questions can materials management help a company answer? how do we dispose of spoiled items? what laws need to be followed for storing hazardous materials? which items must be refrigerated when being stored and transported? all of these. an electron moves with a speed of 2.5107 m/s in the directions shown in (figure 1) and (figure 2) below. a 0.60 t magnetic field points in the positive x-direction. a company began constructing a new warehouse for its operations during the current year. in the year the company incurred interest of $10,000 on a working capital loan, and interest on a construction loan for the warehouse of $80,000. interest computed on the average accumulated expenditures for the warehouse construction was $50,000. what amount of interest should be expensed for the year? Which of the following could be considered a reliable source of scientific information? A. A scientist's presentation of experimental results at a scientific conferenceB. An elected politician's claims concerning the validity of a scientific studyC. A newspaper reporter's article about the results of a secret experimentD. A sales representative's glowing description of the benefits of a new drug display ads are sometimes called banner ads include image ads, but not text ads include text ads, but not image ads differ from both image and text ads A transportation shipment of 75 tons for 125 miles would be:200 ton-miles3125 ton-miles9375 ton-miles6250 ton-miles The molecule NaH undergoes a rotational transition from J=0 to J=1 when it absorbs a photon of frequency 2.941011 Hz. What is the equilibrium bond length of the molecule? Calculate the energy of the J=0 to J=1 rotational transition of the O2 molecule with a bond length of 121pm. The J=0 to J=1 transition for carbon monoxide (12C16O) occurs at 1.153105 MHz. Calculate the value of the bond length in carbon monoxide. 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Specific heat of sand is 0.21 BTU/lb- degrees Fahrenheit. Temperature of wet sand is 30 degrees Celsius and temperature of dried product is 115 degrees Celsius. Assume inlet air relative humidity, RH1=50% and outlet air relative humidity, RH3 = 100%,a. calculate the weight of wet feed in kg/hr.b. calculate the heat required in KWc. calculate the weight of water removed in kg/hrd. calculate the volume of bunker oil in liters per hour, if the specific gravity of bunker oil is 0.9 and dryer efficiency is 60%