31) The stockholders' annual report must include A) common-size financial statements B) an income statement C) an advance tax statement D) the margin of safety report Answer: B Diff: 1 Topic: The Stockholders' Report Learning Obj.: LG 1 Learning Outcome: F-01 Question Status: Revised AACSB Tag: Analytic Skills Net profit margin =10%, Assets turover =2, Total assets =$100,000, Total equity =$70,000. Using the DuPont system, find the ROE. Select one: a. 20% b. 28.57% c. 14% d. 1.42 times

Answers

Answer 1

The ROE using the DuPont system, is found as: 28.6%. Therefore, the correct  is option (b) 28.57%.

The DuPont system helps in measuring a company's overall return on equity. It provides a great platform to evaluate the operational efficiency of the firm.

The formula is as follows:

ROE = Net Profit Margin × Total Asset Turnover × Equity Multiplier

To find out the ROE using the DuPont system, let's take the values given in the problem one by one:

Net profit margin = 10%

Assets turnover = 2

Total assets = $100,000

Total equity = $70,000

Equity multiplier can be calculated by dividing total assets by total equity.

Equity multiplier = Total assets / Total equity

= $100,000 / $70,000

= 1.43

Substituting these values into the DuPont system equation:

ROE = Net Profit Margin × Total Asset Turnover × Equity Multiplier

= 10% × 2 × 1.43

= 28.6%

Therefore, the correct  is option (b) 28.57%.

Know more about the ROE

https://brainly.com/question/30404824

#SPJ11


Related Questions

The bullwhip effect leads to declining inventory costs across the entire supply chain. True False

Answers

The statement "The bullwhip effect leads to declining inventory costs across the entire supply chain" is false.

The bullwhip effect refers to the phenomenon where small fluctuations in demand at the retail level result in amplified fluctuations in demand upstream in the supply chain.

In other words, the bullwhip effect causes demand to be exaggerated as it moves up the supply chain. This leads to increased inventory costs and decreased efficiency as each stage of the supply chain overreacts to changes in demand.

While it is possible for supply chain management strategies to mitigate and reduce the impact of the bullwhip effect, the inherent nature of the effect itself results in higher inventory costs, not declining costs. The bullwhip effect introduces inefficiencies and challenges in inventory management, making it difficult to achieve cost reductions across the entire supply chain.

Learn more about inventory

https://brainly.com/question/31827018

#SPJ11

a convenience user doesn't really care what the apy is on their credit cards. question 3 options: true false

Answers

A convenience user doesn't really care what the apy is on their credit cards.This statement is false.

A convenience user is a credit card user who primarily uses their credit card for convenience and does not carry a balance or accrue interest charges. While a convenience user may not be concerned about the annual percentage yield (APY) specifically, it does not imply that they don't care about the terms and features of their credit cards.

Credit card terms, including interest rates, fees, rewards, and other benefits, can still be relevant to convenience users. Even if they pay off their balances in full each month and do not accrue interest charges, they may still consider factors such as annual fees, cash back rewards, travel perks, or customer service quality when selecting and using a credit card.

Therefore, it would be incorrect to say that a convenience user doesn't care about the APY or other credit card terms. They may not prioritize it as much as users who carry a balance and incur interest charges, but they still consider other features and benefits that are important to their credit card usage.

To learn more about, annual percentage yield (APY), click here, https://brainly.com/question/29217632

#SPJ11

Betty’s Bakery has the following standard cost sheet for one unit of its most popular cake: SQ SP Direct materials 1.2 pounds $ 1.50 per pound Direct labor 0.8 hours $ 12.00 per hour During the month of May, the company made 820 cakes and incurred the following actual costs: Direct materials purchased and used (1,180 pounds), $1,534 Direct labor (880 hours), $10,120 Required: Calculate the direct materials price variance. Calculate the direct materials quantity variance. Calculate the direct materials spending variance. Calculate the direct labor rate variance. Calculate the direct labor efficiency variance. Calculate the direct labor spending variance. Note: For all requirements, Indicate the effect of each variance by selecting "F" for favorable, "U" for unfavorable, and "None" for no effect (i.e., zero variance). Round your intermediate calculations to two decimal places.

Answers

Betty’s Bakery has a standard cost sheet for one unit of its most popular cake.

The following data is provided:

SQSP

Direct Materials1.2 pounds$1.50 per pound

Direct labor0.8 hours$12.00 per hour

During May, the company made 820 cakes and incurred the following actual costs:

Direct materials purchased and used (1,180 pounds)

$1,534 Direct labor (880 hours)

$10,120

A standard cost sheet is a statement of expected costs for a unit of a product under expected operating conditions.

The actual costs incurred during the period are then compared to the expected costs specified in the standard cost sheet to determine variances between actual and expected costs.

Betty’s Bakery will use the variances to determine how much it deviated from its plan and use this information to adjust its processes.

Variance analysis provides a useful basis for determining performance.

Direct Material Variances Direct Material Price Variance = Actual Quantity of Material Purchased x (Actual Price – Standard Price)

AQ (AP – SP) =1,180 x ($1.30 - $1.50)

AQ (AP – SP) =1,180 x -$0.20

AQ (AP – SP) =-$236

Direct Material Quantity Variance = Standard Quantity x (Actual Price – Standard Price)SQ (AP – SP) = 1.2 pounds x ($1.30 - $1.50)

SQ (AP – SP) = 1.2 x -$0.20

SQ (AP – SP) = -$0.24

Direct Material Spending Variance = Actual Quantity of Material Purchased x (Actual Price – Standard Price)

AQ (AP – SP) =1,180 x ($1.30 - $1.50)

AQ (AP – SP) =1,180 x -$0.20

AQ (AP – SP) =-$236 Direct Labor Variances
Direct Labor Rate Variance = Actual Hours Worked x (Actual Rate – Standard Rate)

AH (AR – SR) =880 x ($12.50 - $12.00)

AH (AR – SR) =880 x $0.50

AH (AR – SR) =$440

Direct Labor Efficiency Variance = Standard Hours Allowed x (Actual Rate – Standard Rate)SH (AR – SR) =820 x (0.8 – 0.9)SH (AR – SR) =820 x -$0.10SH (AR – SR) =-$82

To know more about Bakery visit:

https://brainly.com/question/26683970

#SPJ11

the acquisition cycle is linked to the revenue cycle through the

Answers

The acquisition cycle is linked to the revenue cycle through the recognition of expenses incurred during the acquisition process, which ultimately affects the calculation of revenue and profit.

In more detail, the acquisition cycle involves activities such as purchasing goods or services, receiving and verifying them, and recording the related expenses. These expenses are recognized as part of the acquisition cycle and impact the overall cost of goods sold (COGS) for the company. The revenue cycle, on the other hand, involves activities related to generating revenue, such as selling goods or services to customers. The revenue generated is calculated by deducting the COGS from the total sales revenue. Therefore, the expenses incurred during the acquisition cycle directly influence the COGS, which in turn affects the calculation of revenue and profit in the revenue cycle.

Learn more about acquisition cycle here:

https://brainly.com/question/32944049

#SPJ11

All but one of the following required before a transfer of accounts receivable canbe recorded as a sale.

a. The transferred accounts receivable are beyond the reach of the transferorand the creditors.

b. The transferor has not kept effective control over the transferred accountsreceivable through a repurchase agreement.

c. The transferor maintains continuing involvement.

d. The transferee can pledge or sell the transferred accounts receivable.

Answers

The option that is not required before a transfer of accounts receivable can be recorded as a sale is c. The transferor maintains continuing involvement.

In order for a transfer of accounts receivable to be recorded as a sale, the transferred accounts receivable must be beyond the reach of the transferor and the creditors (option a).

The transferor should not have effective control over the transferred accounts receivable through a repurchase agreement (option b), and the transferee should have the ability to pledge or sell the transferred accounts receivable (option d).

However, the transferor maintaining continuing involvement is not a requirement for the transfer to be recorded as a sale. The correct option is C).

To know more about transfer of accounts:

https://brainly.com/question/5231239

#SPJ4

the use of customer names by an investment adviser to promote the sale of the firm's advisory services is:

Answers

The use of customer names by an investment adviser to promote the sale of the firm's advisory services is unethical, inappropriate, and a violation of the Investment Advisers Act of 1940.

The Investment Advisers Act of 1940 governs the practices of registered investment advisers, requiring them to act in the best interests of their clients. Investment advisers are prohibited from using customer names to advertise their services. Investment advisers are also prohibited from disclosing any information about their clients without their express permission.

It is necessary to maintain client privacy and confidentiality in the investment advisory industry. Advisers are prohibited from using client testimonials to advertise their services as well. Client testimonials and the use of client names can be misleading and may not accurately represent the investment adviser's performance. The client testimonials may be biased, highlighting only the successful investments, and not the failures.

Hence, the use of customer names by an investment adviser to promote the sale of the firm's advisory services is unethical, inappropriate, and a violation of the Investment Advisers Act of 1940.

Learn more about Investment

https://brainly.com/question/29547577

#SPJ11

Nuts-and-Bolts, Inc. wishes to find the best location for a
plant that will satisfy customer demand in the following five
areas.
Table A
Location
x coordinate
y coordinate
Volume
A
3

Answers

Nuts-and-Bolts, Inc. seeks the optimal plant location to meet customer demand in five areas, considering transportation, distance, and logistics.

Nuts-and-Bolts, Inc. is looking for the best spot to build a new plant that can efficiently meet customer demand in five distinct areas. To effectively serve these locations, the intended plant location must be properly positioned. Numerous criteria, including transportation costs, distance to target consumers, and logistical issues, must be taken into account in order to choose the optimum location.

The x and y coordinates of the first area—let's call it Area A—define it. These coordinates show where Area A is located on a map, which aids in determining how customers' demands are distributed spatially. The amount of demand in Area A is another important aspect that must be taken into account. This volume demonstrates the scope of the client's expectations in terms of  of the number of products or services needed.

Considering these factors, Nuts-and-Bolts, Inc. aims to identify a location that optimally balances the needs of all five areas. By analyzing the distribution of customer demand, evaluating transportation costs, and considering other relevant factors, the company can determine the best location for its plant. This strategic decision will ensure efficient operations, minimize costs, and ultimately satisfy customer demand effectively.

Learn more about customer demand here:

https://brainly.com/question/30562950

#SPJ11

Annual gross pay: 19,700 Personal exemption of 3,000 State Tax on first 1,000 1.5%, over 5,0003.5%. What is the graduated state income tax?

Answers

Based on the given information, the graduated state income tax for annual gross pay of $19,700 with a personal exemption of $3,000 would amount to $553.50.

To calculate the graduated state income tax based on the given information, we will apply the specified tax rates to the different income brackets.

Taxable Income = Annual Gross Pay - Personal Exemption

Taxable Income = $19,700 - $3,000

Taxable Income = $16,700

Tax on First $1,000 = $1,000 * 1.5% = $15

Using the tax rate of 3.5%,
Tax on Amount over $1,000 up to $5,000 = ($5,000 - $1,000) * 3.5% = $140

Tax on Amount over $5,000 = ($16,700 - $5,000) * 3.5% = $398.50

Total State Income Tax = Tax on First $1,000 + Tax on Amount over $1,000 up to $5,000 + Tax on Amount over $5,000

Total State Income Tax = $15 + $140 + $398.50

Total State Income Tax = $553.50

So, based on the given information, the graduated state income tax for an annual gross pay of $19,700 with a personal exemption of $3,000 would amount to $553.50.

Learn more about tax rates here:

https://brainly.com/question/30629451

#SPJ11

True or false: As a share of total economic activity in the local
economyuniversityan average university's athletic department
exceeds that of the 5 professional sports franchises in Chicago
True Fals

Answers

The statement "As a share of total economic activity in the local economy, an average university's athletic department exceeds that of the 5 professional sports franchises in Chicago" is False

Economic activity is the sum of all monetary transactions that are conducted in an economy, from making investments to purchasing goods and services. What is an athletic department An athletic department is a university's division that is responsible for managing athletic programs and sporting activities on its campus.

What is a professional sports franchise A professional sports franchise refers to a sports team that is owned by an individual or group of individuals and that competes in professional leagues for money. Professional sports franchises include teams in the National Basketball Association, Major League Baseball, National Football League, and National Hockey League.

To know more about professional visit:

https://brainly.com/question/3396195

#SPJ11

Raw materials purchased on account, $210,000 Raw matenals used In production, $190.000 ($178.000 direct materials and $12.000 indirect matertais). Accrued olrect labor cost of $90,000 and indirect labor cost of $110,000 Deprectation recorded on factory equipment, $40,000. Other manufacturing overhead costs accrued during October, $70,000. f. The company apples manutacturing overhead cost to production using a predetermined rate of $8 per machine-hour. A total of. 30.000 machine-nours were used in October. 9. Jobs costing $520,000 according to thelr job cost sheets were completed during October and transferred to Finished Goods. h. Jobs that had cost $480,000 to complete according to their job cost sheets were shipped to customers during the month. These lobs were sold on account at 25% above cost. Requlred: 1. Prepare journal entries to record the transactions given above 2 Prepare T-accounts for Manufacturing Overhead and Work in Process. Post the relevant transactions from above to each account. Compute the ending balance in each account, assuming that Work in Process has a beginning balance of $42,000. Complete this question by entering your answers in the tabs below. Propare journal entries to record the transactions given above. (If no entry is required for a transactionveveot, select " No journal entry required in the first account field.) Journal entry worksheet The following cost data relate to the manufacturing activities of Chang Company during the just completed year: The company uses a predetermined overhead rate of $25 per machine-hour to apply overhead cost to Jobs. A total of 19.400 hours were used during the year: Required: 1. Compute the amount of underapplied or overapplied overhead cost for the year. 2. Prepare a schedule of cost of goods manufactured for the year. Complete this question by entering your answers in the tabs below. Compute the amount of underapplied or overapplled overherad cost for the year.

Answers

The amount of underapplied overhead cost for the year is $175,000 and the cost of goods manufactured for the year is $2,047,000.

Journal entries to record the transactions given above:DateParticularsDebitCredit

Raw Materials A/cDr$210,000

Accounts Payable$210,000(To record raw materials purchased on account)

Work in Progress A/cDr$190,000

Direct Materials$178,000

Indirect Materials$12,000(To record raw materials used in production)

Work in Progress A/cDr$90,000

Accrued Wages Payable$90,000(To record accrued direct labor cost)

Manufacturing Overhead A/cDr$110,000

Accrued Expenses Payable$110,000(To record indirect labor cost)

Manufacturing Overhead A/cDr$70,000

Accrued Expenses Payable$70,000(To record other manufacturing overhead costs accrued)

Manufacturing Overhead A/cDr$240,000

Accounts Payable$240,000(To record application of overhead costs to production)

Work in Progress A/cDr$520,000

Cost of Goods Manufactured$520,000(To record the completion of jobs according to their job cost sheets)

Finished Goods A/cDr$650,000

Work in Progress$650,000(To record the transfer of jobs to finished goods)

Accounts Receivable A/cDr$600,000

Sales Revenue$600,000(To record sales on account)

Cost of Goods Sold A/cDr$480,000

Finished Goods$480,000(To record the shipping of completed jobs to customers)

Finished Goods A/cDr$120,000

Cost of Goods Sold$120,000(To record the cost of goods sold)

T-accounts for Manufacturing Overhead and Work in Progress:

Ending balance in Work in Progress = $240,000 (i.e. beginning balance of $42,000 + total debits of $1,180,000 - total credits of $982,000)

Ending balance in Manufacturing Overhead = $10,000 debit (i.e. total debits of $310,000 - total credits of $300,000)

Computing the amount of underapplied or overapplied overhead cost for the year:

Actual overhead cost incurred = $310,000

Predetermined overhead rate = $25 per machine-hour

Machine hours used during the year = 19,400

Applied overhead cost = 19,400 machine-hours × $25 per machine-hour

                                      = $485,000

Underapplied overhead cost = Actual overhead cost incurred – Applied overhead cost

                                                = $310,000 – $485,000

                                               = $175,000 (overapplied overhead cost if positive)

Preparing a schedule of cost of goods manufactured for the year:

Direct materials$1,025,000

Direct labor$735,000

Manufacturing overhead applied$485,000

Total manufacturing costs$2,245,000

Add: Beginning work in progress$42,000

Less: Ending work in progress($240,000)

Cost of goods manufactured$2,047,000

Therefore, The cost of manufactured items for the year is $2,047,000, and unapplied overhead costs are $175,000 for the year.

learn more about year from given link

https://brainly.com/question/10196617

#SPJ11

Select one a. Eond valiw wil dedeate ty 512 pertasa b. Sond valoe mil cectise by 5 percent 2. Bond valus wit increace by 5 parcant d Bond rake awil increase by 952 petcent

Answers

The correct option is, d. Bond rate will increase by 952 percent. The question is a financial one that involves the determination of how bond values, bond rates, and percentages relate.

The question also asks for a selection of one out of the four options that best answer the question. Therefore, the option d is the correct answer as the other options are either incorrect or do not provide the solution needed in the question.The bonds market is a place where businesses can issue and trade debt securities. The bond rate is the return that bondholders get from holding the bonds.

Bonds are sensitive to fluctuations in interest rates. The yield curve is a critical tool used to evaluate the bond market. As such, a decrease in interest rates can lead to an increase in bond prices. The option a is incorrect because there is no such term as eond value in finance or bond trading. Pertasa is also not a financial term.

To know more about determination visit:

https://brainly.com/question/31755910

#SPJ11

A front office manager has reviewed the daily report, which reveals that 240 rooms were sold last night. The hotel has 300 rooms and a rack rate of $98. Using the following breakdown of room sales, determine the yield percentage for the last night: 85 rooms at $98, 65 rooms at $90, and 90 rooms at $75. Show all calculations and round the result to hundredth of decimal

Answers

Given that the number of rooms sold was 240, the rack rate was $98, the total number of rooms was 300, and the breakdown of room sales was as follows:85 rooms at $98, 65 rooms at $90, and 90 rooms at $75. To find the yield percentage, follow these steps:

Step 1: Find the total revenue earned by the hotel Revenue earned from 85 rooms at $98 per room = 85 × 98 = $8330 Revenue earned from 65 rooms at $90 per room = 65 × 90 = $5850 Revenue earned from 90 rooms at $75 per room = 90 × 75 = $6750

Therefore, the total revenue earned by the hotel = $8330 + $5850 + $6750 = $20,930

Step 2: Find the average rate per room sold Average rate per room sold = Total revenue earned/Number of rooms sold= $20,930/240 = $87.2083 (rounded to hundredth of decimal)

Step 3: Find the yield percentage Yield percentage = Average rate per room sold/Rack rate× 100= ($87.2083/$98) × 100 = 88.95% (rounded to hundredth of decimal).

Therefore, the yield percentage for the last night is 88.95%.

To know more about percentage visit:

https://brainly.com/question/28998211

#SPJ11

the stage in a product's life cycle when it may become too similar to existing products, and marketers need to communicate what makes it different from others products is called the stage.

Answers

The stage in a product's life cycle when it may become too similar to existing products, and marketers need to communicate what makes it different from other products is called the maturity stage.

During the maturity stage of a product's life cycle, the market becomes saturated with similar offerings, and competition intensifies. Products in the market may start to reach a point where they are perceived as highly similar or interchangeable by consumers. This similarity can make it challenging for marketers to differentiate their product and stand out from the competition.

To address this challenge, marketers employ various strategies to communicate and emphasize the unique features, benefits, or value proposition of their product. This differentiation can be achieved through effective branding, targeted marketing messages, highlighting unique product features or technology, superior customer service, competitive pricing, or innovative marketing campaigns.

To learn more about competition

https://brainly.com/question/28902069

#SPJ11

phil invests in new businesses in exchange for partial ownership in those businesses. phil is a(n)

Answers

Phil is a venture capitalist. A venture capitalist is an individual or firm that invests in early-stage or high-growth potential businesses in exchange for equity or ownership stakes in those businesses. Venture capitalists provide capital, expertise, and support to help these businesses grow and succeed.

Venture capitalists typically invest in startups and emerging companies that have innovative ideas, high growth potential, and the potential for significant returns on investment. They take on the risk associated with investing in early-stage ventures in exchange for the potential for substantial profits if the businesses are successful

In addition to providing financial capital, venture capitalists often offer mentorship, industry connections, and strategic guidance to the companies they invest in. They play an active role in helping the businesses they invest in by providing expertise, network access, and guidance on business strategy.

Overall, venture capitalists like Phil play a crucial role in fostering innovation and supporting the growth of promising businesses by providing the necessary funding and resources to help them succeed.

To learn more about, invests, click here, https://brainly.com/question/15105766

#SPJ11

Maryam bought a house for $1 million in 2021. This house is valued at $1.5 million in 2022.
Q. Explain in detail the effect on Maryam’s consumption decisions in 2021 and in 2022? (5 marks)

Answers

Maryam bought a house worth [tex]$1[/tex] million in 2021. This year, she consumed less than she would have if she had not purchased the house, and her savings increased.

She can spend the extra amount on other things, such as vacations, hobbies, or luxury goods, or she can save it for her retirement or a rainy day.

Because her expenses were reduced due to her decision to purchase a house, her standard of living improved without her needing to raise her income.
In 2022, the value of Maryam's house increased to[tex]$1.5 million[/tex]. Maryam's net worth increased as a result of this change.

She has two options now: She can sell the house for a [tex]$500,000[/tex] profit or hold on to it and continue living in it.

If she decides to sell, she will have an additional[tex]$500,000[/tex] to spend or invest.

If she decides to keep the house, her equity in the house has increased by [tex]$500,000[/tex], which means that she will have a larger net worth.

In conclusion, Maryam's decision to purchase a house in 2021 resulted in decreased consumption for that year and increased savings.

In 2022, the value of her house increased, which resulted in an increase in her net worth and greater financial flexibility.

To know more about consumption visit:

https://brainly.com/question/32453941

#SPJ11

Identify what are your five elements of (components of) "systems
thinking"? Explain why each is relevant for systems thinking

Answers

The five elements of systems thinking are emergence, interdependence, feedback loops, systems mapping, and mental models. Systems thinking is a framework that is used to solve complex problems. By understanding the interactions between different elements of a system, we can better understand how to solve problems.

1. Emergence

Emergence is the idea that the whole is greater than the sum of its parts. When we think about systems, we need to think about how the different parts of the system work together to create something new. This means that we need to focus on the relationships between the different parts of the system rather than just the parts themselves.

2. Interdependence

Interdependence is the idea that everything is connected. In a system, everything is connected to everything else in some way. This means that we need to think about how changes in one part of the system will affect other parts of the system.

3. Feedback loops

Feedback loops are the idea that the output of a system is fed back into the system as input. There are two types of feedback loops: positive and negative. Positive feedback loops amplify the output of a system, while negative feedback loops dampen the output of a system. Understanding feedback loops is important because it helps us to understand how changes in one part of a system will affect other parts of the system.

4. Systems mapping

Systems mapping is a tool that is used to visualize the relationships between different parts of a system. This helps us to understand how the different parts of a system are connected and how they interact with each other. Systems mapping is important because it helps us to identify the root causes of problems and to develop strategies for solving them.

5. Mental models

Mental models are the assumptions and beliefs that we hold about how the world works. Our mental models can limit our ability to think creatively and to solve problems. Systems thinking requires us to challenge our mental models and to consider alternative perspectives. By doing this, we can develop a more comprehensive understanding of complex problems.

To know more about understand visit:

https://brainly.com/question/24388166

#SPJ11

The nominal yield on 6-month T-bills is 8%, while default-free Japanese bonds that mature in 6 months have a nominal rate of 6%. In the spot exchange market, 1 yen equals $0.011. If interest rate parity holds, what is the 6-month forward exchange rate? Do not round intermediate calculations. Round your answer to five decimal places.

Answers

The 6-month forward exchange rate is 0.01130.

First, we need to calculate the forward exchange rate using the interest rate parity theory. The theory states that the forward exchange rate should be such that both investments are worth the same in dollars.

Forward exchange rate = Spot exchange rate × [(1 + domestic interest rate) ÷ (1 + foreign interest rate)]

Given that,

The nominal yield on 6-month T-bills is 8%,

The default-free Japanese bonds that mature in 6 months have a nominal rate of 6%.

In the spot exchange market, 1 yen equals $0.011.

Therefore, the forward exchange rate will be:

Forward exchange rate = $0.011 × [(1 + 0.08) ÷ (1 + 0.06)]

Forward exchange rate = $0.0113 or 0.01130 (rounded to five decimal places).

To know more about the exchange rate, visit:

https://brainly.com/question/32407194

#SPJ11

How will the combination of JetBlue and Spirit improve the
commercial aviation market? What must the merged JetBlue/Spirit
Airline do to gain passengers, control expenses, and increase
revenue?

Answers

The combination of JetBlue and Spirit airlines is expected to provide benefits to both passengers and airlines. The merger is expected to improve the commercial aviation market in a number of ways.

First, the merger will lead to increased competition between airlines, which will lead to lower prices for passengers.

Second, the merger will allow the two airlines to share resources, which will lead to lower operating costs and more efficient use of resources. The merged JetBlue/Spirit Airline must do several things to gain passengers, control expenses, and increase revenue.

First, they must focus on improving customer service. This can be achieved by providing more personalized service, better communication with passengers, and more efficient check-in procedures.

Second, they must focus on reducing expenses. This can be achieved by reducing staff and streamlining operations. Third, they must focus on increasing revenue. This can be achieved by offering more value-added services, such as baggage handling, in-flight entertainment, and food and beverage services.

To Know more about  commercial aviation

https://brainly.com/question/30542185

#SPJ11

Segmented Net Income, ROI, and RI. Custom Auto Company has two divisions—East and West. The following segmented financial information is for the most recent fiscal year:
East Division West Division
Sales $2,000,000 $4,000,000
Cost of goods sold 800,000 2,040,000
Allocated overhead 600,000 1,200,000
Selling and administrative expenses 360,000 380,000
The East division had average operating assets totaling $1,800,000 for the year, and the West division had average operating assets of $2,600,000. Assume the cost of capital rate is 8 percent, and the company’s tax rate is 30 percent. Division managers are responsible for sales, costs, and investments in assets.
Required:
What type of responsibility center is each division at Custom Auto Company? Explain.
Prepare a segmented income statement. Include the profit margin ratio for each division at the bottom of the segmented income statement.
Calculate ROI for each division.
Calculate RI for each division.
Summarize the answers to parts a, b, and c. What does this information tell us about each division?

Answers

The operating income for the West Division is $380,000 - (Cost of capital rate * Average operating assets) = $380,000 - ($0.08 * $2,600,000) = $124,800.

At Custom Auto Company, both the East and West divisions are profitable. In order to achieve profitability, managers are responsible for producing income, reducing costs, and managing assets in a profit centre.

Income Statement by Segment:

Divided into: East, West, and East

---------------------------------------------

Sales | $2,000,000 | $4,000,000

Selling and administrative costs: 360,000 | 380,000 Cost of goods sold: 800,000 | 2,040,000 Allocated overhead: 600,000 | 1,200,000

---------------------------------------------

Operating earnings: $240,000; $380,000

Profit Rate of Margin:

$240,000 / $2,000,000 equals 12% for the East Division.

West Division: 3.80% of $4 million is 9.5%.

Operating income divided by average operating assets for the East Division equals $240,000 divided by $1,800,000, or 13.33%.

Operating income/average operating assets in the West Division equals $380,000/$2,600,000, or 14.62%.

Calculating RI

Operating income in the East Division is $240,000 - (Cost of capital rate * Average Operating Assets) - ($0.80 * $1,800,000) = $96,000.

Operating income - (Cost of capital rate) for the West Division

Learn more about operating income  here:

https://brainly.com/question/28427118

#SPJ11

Management Process and Corporate Culture LEARNING OEJECTIVE: Identify the phases of the management process in business A smail business owner measures the performance and determines the type of action to take: Which phase of the manngement process is represented in this ecenario?

Answers

The phase of the management process represented in this scenario is "Control."

The management process typically consists of four main phases: Planning, Organizing, Leading, and Controlling. Each phase plays a crucial role in the overall management of a business.

In this scenario, the small business owner is measuring the performance of the business and determining the type of action to take based on that assessment.

This activity falls under the "Controlling" phase of the management process.

The Control phase involves monitoring and evaluating the actual performance of the business against the planned objectives and standards.

It includes comparing the actual results with the desired outcomes, identifying any deviations or variances, and taking corrective actions to address those deviations.

By measuring performance and determining the appropriate action, the business owner is engaging in the Control phase of the management process.

Learn more about management from the given link

https://brainly.com/question/1276995

#SPJ11

) According to the Fishers, transaction approach demand for money depends on three factors. Discuss the demand for money theory according to Fishers and explain how the three factors are related. [5 Marks] b) Differentiate between fiscal policy and monetary policy. [4 Marks] c) Discuss any two macroeconomic phenomena that have happened in Kenya over the last five years and explain how monetary policy tools were used to give remedy. [6 Marks]

Answers

According to the Fishers, transaction approach demand for money depends on three factors. Discuss the demand for money theory according to Fishers and explain how the three factors are related.

The Fisher hypothesis is a theory that indicates that the nominal interest rate is equivalent to the real interest rate and the inflation rate. This theory explains how the rate of inflation interacts with the nominal and real interest rates to impact the economy's equilibrium level of real interest rates.

The demand for money theory according to Fisher's is based on the Transaction Approach, which assumes that people hold money for transactions and the frequency of transactions and the average size of transactions determine the demand for money.

Fiscal policy is employed to stabilize the economy during recessions by cutting taxes and increasing government spending. Monetary policy is used to stabilize the economy during inflationary periods by reducing the money supply and raising interest rates.c) Discuss any two macroeconomic phenomena that have happened in Kenya over the last five years and explain how monetary policy tools were used to give remedy.

To know more about approach visit:

https://brainly.com/question/30967234

#SPJ11

if the economy is operating well below potential output, the cyclically adjusted budget balance deficit is than the actual budget balance.

Answers

If the economy is operating well below potential output, the cyclically adjusted budget balance deficit is likely larger than the actual budget balance.



As a result, the actual budget balance, which reflects the difference between government revenues and expenditures, is likely to show a deficit during a recessionary period. However, the cyclically adjusted budget balance takes into account the temporary impact of the business cycle and adjusts for it. In this case, it would also show a deficit, but this deficit would likely be larger than the actual budget balance.



This is because the cyclically adjusted budget balance adjusts for the fact that tax revenues are lower and government spending is higher during a recession, factors that are not present at full potential output. By accounting for these cyclical fluctuations, the cyclically adjusted budget balance provides a more accurate measure of the underlying fiscal position, independent of the temporary effects of the business cycle.

To know more about cyclically visit:

https://brainly.com/question/29910672

#SPJ11

Which of the following is not true of the contribution margin format of the income statement? It is not allowed under GAAP. It shows contribution margin as a line item. It is prepared under the variable costing method. It is prepared under the absorption method.

Answers

The statement "It is not allowed under GAAP" is not true of the contribution margin format of the income statement.

The contribution margin format is an accepted and commonly used format that provides valuable insights into a company's cost structure and profitability. Therefore, this statement is incorrect.

"It is prepared under the variable costing method": This statement is accurate. The contribution margin format is commonly associated with the variable costing method.

Variable costing treats only variable manufacturing costs as product costs, while fixed manufacturing costs are treated as period costs and expensed in the period incurred. The contribution margin format helps to analyze the impact of changes in sales volume on the profitability of the company.

Learn more about income here : brainly.com/question/2386757
#SPJ11

highsmith rental company purchased an apartment building early in 2024. there are 20 apartments in the building and each is furnished with major kitchen appliances. the company has decided to use the group depreciation method for the appliances. the following data are available: appliance cost residual value service life (in years) stoves $ 45,000 $ 3,000 6 refrigerators 40,000 7,000 5 dishwashers 38,000 6,000 4 in 2027, four new refrigerators costing $4,200 were purchased for cash. in that same year, the old refrigerators, which originally cost $4,500, were sold for $1,700. required: calculate the group depreciation rate, group life, and depreciation for 2024. prepare the journal entries to record the purchase of the new refrigerators and the sale of the old refrigerators.

Answers

The group depreciation method is a way to calculate the depreciation of multiple assets as a single unit. In this case, Highsmith Rental Company is using the group depreciation method for the kitchen appliances in their apartment building.

To calculate the group depreciation rate, group life, and depreciation for 2024, we will need to use the data provided. First, let's calculate the total cost and residual value of the appliances: Stoves: Cost: $45,000; Residual value: $3,000. Refrigerators: Cost: $40,000;Residual value: $7,000. Dishwashers:Cost: $38,000;Residual value: $6,000. The total depreciable cost and the total residual value of the appliances.Total depreciable cost = $45,000 + $40,000 + $38,000.


Next, we can calculate the group depreciation rate: Group depreciation rate = (Total depreciable cost - Total residual value) / Group life.To calculate the group life, we can use the service life of the appliance with the shortest service life, which is 4 years for dishwashers. Depreciation for 2024 = Group depreciation rate * Total depreciable cost. Journal entry for the purchase of new refrigerators: Debit: Refrigerators (new) - $4,200;Credit: Cash - $4,200.

To know more about depreciation visit:

https://brainly.com/question/30531944

#SPJ11


Post the following transactions. Determine the ending balance as of May 31 th . Use the checkbook register template May 1 Received $30,000 cash from owner Alex Kerr. May 1 The rent for the office was paid in the amount of $1200.00 May 2 Keith Monteith made a payment of $100 for forms filled out by the doctor. He paid by check. May 2 Tom Cruz had skin tag removal done in the office. He was charged $30.50. He paid cash. May 7 Jennifer Paris comes in to get her TB test read. . She had to pay $45.00 for the immunization and the forms. She pays cash May 8 Roy Bois paid $100.00 cash for forms done by the doctor. May 10 A check was written to Carl's Window Cleaning Service for $134.56 May 10 Frank Connors needs a Driver's Physical. He works for a trucking company and it is mandatory. The doctor charges $85.00. Frank pays by check. May 12 Lana Smith comes in to have a wart removed. The doctor removed the wart using a chemical substance. The cos of the chemical therapy is $20.00 May 15 There was a deposit of $1450.99, for 1 day training seminar the doctor did at the hospital. The following payroll was paid: May 26 Paid Bergos Medical Supply Company $899.00 for medical supplies Payroll expenses May 30 May 30 May 30 May 31 ​
Henrietta Hoopla $856.96
Carrie-Ann Smith $978.89
Paulette Tuston $1234.56
Deposit from MOH of $25,000.00

Answers

Beginning balance needed to determine ending balance. Total deposits minus total payments and expenses from starting balance gives ending balance.

May 1: Owner Alex Kerr gave me $30,000 in cash.

- A total of $1,200.00 in rent was paid for the office.

Keith Monteith paid $100 on May 2 to cover the cost of the doctor's forms. He made his payment with a cheque.

Tom Cruz underwent skin tag removal in the workplace. $30.50 was billed to him. He paid in cash.

Jennifer Paris arrives on May 7 to have her TB test results read. Her cost for the immunization and paperwork was $45.00. Cash is exchanged.

Roy Bois paid the doctor $100 in cash on May 8 for the paperwork.

May 10: A cheque for $134.56 was issued to Carl's Window Cleaning Service.

A driver's physical is required for Frank Connors. The doctor's visit costs $85.00. Frank uses a cheque to pay.

May 12:- Lana Smith arrives for a wart removal. The wart was removed by the doctor using a chemical. The chemical therapy is priced at $20.

May 15: A $1,450.99 down payment was made for a one-day training seminar the doctor conducted at the hospital.

On May 26, $899.00 in medical goods were paid to Bergos Medical Supply Company.

April 30: Payroll costs:

 - $856.96 was given to Henrietta Hoopla.

 978.89 dollars were given to Carrie-Ann Smith.

 Paulette Tuston was compensated with $1,234.56.

 - The MOH made a deposit of $25,000.00.

You would need the beginning amount, or the balance before these transactions, to calculate the final balance as of May 31. You can sum up all the contributions and deduct all the payments and costs from the starting balance if one is given.

Learn more about  transactions here:

https://brainly.com/question/24730931

#SPJ11

An investor makes deposits of 250 each every 2 months from March 1, 2007 to January 1, 2018, inclusive. (a) Find the value of this series of payments on March 1, 2007 if it is assumed that a nominal annual interest rate of 2.4% compounded six times per year until the sixth payment and a nominal annual discount rate of 3% com- pounded quarterly starting just after the sixth payment.

Answers

Therefore, the value of the series of payments on March 1, 2007, is $7,931.45.Given that an investor makes deposits of 250 each every 2 months from March 1, 2007, to January 1, 2018, inclusive.

We have to find the value of this series of payments on March 1, 2007, if it is assumed that a nominal annual interest rate of 2.4% compounded six times per year until the sixth payment and a nominal annual discount rate of 3% compounded quarterly starting just after the sixth payment.

And every two months, he makes a deposit of 250. Hence the common difference (d) is 250 and the first term (a) is also 250.Using the formula

;n = (tn - a)/d + 1n

= (2500 - 250)/250 + 1n

= 10.

Therefore, there are 10 terms in the series. The term to which interest is compounded is the sixth term since interest is compounded six times a year. Let’s calculate the value of the series of payment on March 1, 2007, using the present value of an annuity formula.The formula for the present value of an annuity is;

P = R[(1 - (1 + i)^-n) / i]Where

P = present value,

R = periodic payment,

i = interest rate per period, and

n = number of periodsLet’s use the present value of an annuity formula to find the present value of the first five payments, and the value of the sixth payment at the time of payment is known.Present value of first 5 payments;

R = $250,

i = 2.4% / 6

= 0.4% per month, n

= 5(6)

= 30 months

Therefore;P1 = 250[(1 - (1 + 0.4%)^-30) / 0.4%]

P1 = 7,443.17The present value of the sixth payment is calculated as follows;

R = 250,

i = 3% / 4

= 0.75% per quarter,

n = 1(2)

= 2 quartersTherefore;

P6 = 250[(1 - (1 + 0.75%)^-2) / 0.75%]

P6 = 488.28The total value of the series of payment on March 1, 2007, is calculated as follows;Total value = P1 + P6Total value = 7,443.17 + 488.28

Total value = 7,931.45.

To know more about value visit:
https://brainly.com/question/1578158

g calculation of value-added and non-value-added costs, activity volume and unused capacity variances rico company produces custom-made machine parts. rico recently has implemented an activity-based management (abm) system with the objective of reducing costs. rico has begun analyzing each activity to determine ways to increase its efficiency. setting up equipment was among the first group of activities to be carefully studied. the study revealed that setup hours was a good driver for the activity. during the last year, the company incurred fixed setup costs of $399,600 (salaries of 12 employees). the fixed costs provide a capacity of 26,640 hours (2,220 per employee at practical capacity). the setup activity was viewed as necessary, and the value-added standard was set at 2,220 hours. actual setup hours used in the most recent period were 24,590.

Answers

Based on the information, the value-added costs will be $368,850

How to calculate the value

Value-added costs are the costs incurred to perform activities that directly contribute to the production or delivery of a product or service.

Fixed setup costs: $399,600

Practical capacity: 26,640 setup hours (2,220 hours per employee)

Value-added standard: 2,220 hours

Actual setup hours: 24,590 hours

Value-added costs = Actual setup hours * Fixed setup cost per hour

Fixed setup cost per hour = Fixed setup costs / Practical capacity

Fixed setup cost per hour = $399,600 / 26,640 hours = $15 per hour

Value-added costs = 24,590 hours * $15 per hour

= $368,850

Learn more about cost on

https://brainly.com/question/32288622

#SPJ4

Quiz Instructions This homework has 20 questions (5 pts each) and can be taken at most 3 times. Only your highest score will be considered. Question 3 5 pts A localized industrial cluster improves efficiency because it creates more hostility among firms in the same industry, it limits the market size by only attracting local firms and local suppliers. it can bring together many firms that collectively provide a large enough market to support a wide range of specialized suppliers. it may lower the number of small start-ups to join the cluster.

Answers

An industrial cluster can be defined as a geographical concentration of related companies, organizations, and institutions within a particular industry.

It often brings together firms that collectively provide a large enough market to support a wide range of specialized suppliers, improving efficiency, and promoting innovation. A localized industrial cluster is more effective because it allows for specialization and sharing of expertise among different firms in the same industry.

Specialization and sharing of expertise among different firms result in cost savings, as firms can share resources, infrastructure, and services. A localized industrial cluster can create a large enough market to support a wide range of specialized suppliers. It provides opportunities for collaboration, including research and development, training, and marketing.

In conclusion, a localized industrial cluster improves efficiency by creating a large enough market to support a wide range of specialized suppliers, enhancing competition among firms, and promoting innovation.

To know more about  more organizations  visit :

https://brainly.com/question/12825206

#SPJ11

an avocado orchard employs five full-time workers. currently, the average product of labor is 120 pounds of avocados per day. the orchard hires a 6th full-time worker and his marginal product is 150 pounds of avocados. the average product of the six workers will now be a. more than 120 pounds. b. less than 120 pounds. c. equal to 120 pounds. d. greater than the marginal product of labor.

Answers

The correct answer is a more than 120 pounds.

The average product of labor is a measure of the output produced per worker in a given time period. In this case, the average product of labor is initially 120 pounds of avocados per day for five workers.

When the orchard hires a sixth full-time worker, his marginal product of labor is 150 pounds of avocados. The marginal product of labor refers to the additional output produced by adding one more unit of labor.

To determine the new average product of the six workers, we can calculate the total output produced by the six workers and divide it by the number of workers.

Let's assume that the total output produced by the six workers is X pounds of avocados per day.

For the five workers, the total output is 120 pounds of avocados per day * 5 workers = 600 pounds of avocados per day.

Since the marginal product of the sixth worker is 150 pounds of avocados per day, the total output for the six workers would be 600 pounds + 150 pounds = 750 pounds of avocados per day.

Now, we can calculate the new average product of the six workers by dividing the total output (750 pounds) by the number of workers (6 workers):

New average product of labor = 750 pounds / 6 workers = 125 pounds of avocados per day.

Therefore, the average product of the six workers will now be more than 120 pounds.

To know more about the average product here:

brainly.com/question/33818789

#SPJ11

Describe the signage and graphics for Walmart. What are the advantages and disadvantages of their choices?

Answers

Walmart, the largest retailer in the world, is known for its distinctive branding and logo. The store uses signage and graphics to promote its brand and products. The store's logo, a bright yellow sunburst, can be seen from miles away. Walmart uses this branding strategy to set itself apart from other retailers and create a memorable experience for its customers.

Advantages:

Walmart's signage and graphics are also eye-catching. The store uses bright colors and bold fonts to draw attention to its products and promotions. This makes it easier for customers to find what they are looking for and encourages them to make purchases.

Disadvantages:

One of the disadvantages of Walmart's signage and graphics is that they can be overwhelming. The store uses a lot of bright colors and bold fonts, which can be visually distracting. This can make it harder for customers to focus on specific products or promotions.

Another disadvantage of Walmart's signage and graphics is that they can be confusing. The store uses a lot of different signs and graphics to promote its products and services. This can make it difficult for customers to understand what is being promoted and what the prices are.

Overall, Walmart's signage and graphics are effective in promoting its brand and products. While there are some disadvantages to using such a bold and bright branding strategy, Walmart's approach has clearly worked well for the company over the years.

To know more about   visit :

https://brainly.com/question/32727893

#SPJ11

Other Questions
1. There are two files in the directory /course/linuxgym/permissions that could be executable. Examine the contents using the cat or vim command. Copy the one without an extension to your home directory, giving it the name "executable.sh".2. Create a file called "secret.txt" in your home directory containing your name and telephone number. Change the permissions of this file so that you can read and write to it, but no-one else can read or write to it. Also ensure that no-one can attempt to execute (run) it.3. The file "/course/linuxgym/permissions/hw.sh" is a bash script. Copy it into your home directory and change the permissions so that you are able to execute it Future value of an annuity Using the values below, answer the questions that follow (Click on the icon located on the top-right comer of the data table below in order to copy its contents into a spreadsheet ) amount of annuity = $2.500interest rate = 8%deposit period (years) = 10a. Calculate the fulure value of the annuty, assuming that it isc (1) An ordinary arinuty (2) An annuty due b. Compare your findings in parts a(1) and ar2) Al else being identical, which type of annuity-ordinary or annuty due-is preferable a. (1) The future value of the ordinary annuty is $______ 2. Prove the analogue of Pythagoras' theorem in spherical geometry: cos(c/R)=cos(a/R) cos(b/R), where c is the length of the hypothenuse, and b,c are the lengths of the other two sides of a right-angled spherical triangle. Prove that this approaches the usual Pythagoras' theorem for sufficiently small triangles. [Hint: cos2=1sin2, and therefore for small , cos12] A zero-coupon bond has a $1,000 par value and 22 years to maturity. If the bond's price is $184.54, what is its annual yield to maturity?1) 7.98%2) 7.86%3) 7.39%4) 7.46%5) 7.62% Consider the following energy-level diagram for a particular electron in an atom.AEBased on this diagram, which of the following statements is incorrect?The wavelength of a photon emitted by the electron jumping from level 2 to level 1 is given by2==he||If the electron is in level 1, it may jump to level 2 by absorbing a photon with energy of AE.If the electron is in level 1, it may jump to level 2 by absorbing any photon having energy of at least.We would observe an electron jumping from level 2 to level 1 as a single line in a line spectrum.If the electron is in level 2, it may jump to level 1 by emitting a photon with energy of AE. which researcher is credited with devising the strange situation task that has been used for decades to study attachment between children and parents? A 25.0 kg door is 0.925 m wide. A customerpushes it perpendicular to its face with a 19.2N force, and creates an angular accelerationof 1.84 rad/s2. At what distance from the axiswas the force applied?[?] mHint: Remember, the moment of inertia for a panelrotating about its end is I = mr. Our house is very dirty, but _________ is very clean. Suppose in an election year, the economy was is being hindered by high unemployment. At the same time, clear signs of inflationary pressures were apparent. How might the central bank with a primary goal of price stability react? How might members of the incumbent political party who are up for reelection react?In this case, the appropriate monetary policy is to (tighten/loosen) monetary policy, (increasing/decreasing) interest rates to curb the emerging inflationary pressures in pursuit of the long-run goal of price stability. In contrast, it is likely that the politicians due for reelection would be more concerned with the high unemployment in the economy and be in favor of (an increase/a cut) in interest rates. In the absence of influence over an independent central bank, they may push for immediate (increase/decrease) in government spending or (increase/reduction) in taxes. A project has four major activities. Activity A precedes activity B, activity C precedes activity D. 3-point estimates for activities are A(6, 12, 18 ), B( 6.5, 13, 19.5 ), C( 4, 4, 4 ), D(4, 4, 4 ) weeks. What probability would you assign to a project duration of more than 25 weeks?Which one is correct ? More info Recently, the hospitals have been complaining about the quality of Cafeman's meals and their rising costs. In mid-2020, Cafe One's president announces that all Cafe One hospitals and support facilities will be run as profit centers. Hospitals will be free to purchase quality-certified services from outside the system. Luke Hayward, Cafeman's controller, is preparing the 2021 budget. He hears that three hospitals have decided to use outside suppliers for their meals, which will reduce the 2021 estimated demand to 820,000 meals. No change in variable cost per meal or total fixed costs is expected in 2021. Requirements 1. How did Hayward calculate the budgeted fixed cost per meal of $1.64 in 2020 ? 2. Using the same approach to calculating budgeted fixed cost per meal and pricing as in 2020 , how much would hospitals be charged for each Cafeman meal in 2021? What would the reaction of the hospital controllers be to the price? 3. Suggest an alternative cost-based price per meal that Hayward might propose and that might be more acceptable to the hospitals. What can Cafeman and Hayward do to make this price profitable in the long run? Consider the function f(x, y) = (2x+y^2-5)(2x-1). Sketch the following sets in the plane.(a) The set of points where is positive.S_+= {(x, y): f(x, y) > 0}(b) The set of points where is negative.S_ = {(x,y): f(x, y) Sandhill Light Bulbs management anticipates selling 3,000 light bulbs this year at a price of $16 per bulb. It costs Sandhill $9 in variable costs to produce each light bulb, and the fuxed costs for the firm are $10,000. Sandhill has an opportunity to sell an additional 1,000 bulbs next year at the same price and variable cost, but by doing so the firm will incur an additional fixed cost of $4,000. Should Sandhill produce and sell the additional bulbs? (If an amount reduces the account balance then enter with negative sign, eg. - 125.) The additional sales would change Sandhill's EBIT by $ and therefore Sandhill producean OverviewWrite a program that accepts a time from the keyboard and prints the times in simplified form.InputThe program must accept times in the following form [space] [space] where each , , and are integers and [space] are spaces from the spacebar key being pressed.Prompt the user with the exact phrasing of the sample input / output shown below; note that the input from the keyboard is depicted in red:Enter the time in the form :1 2 3The time consists of 3723 seconds.Simplified time: 1:2:3RequirementsThe name of the class that contains the main must be TimeInterpreter.While input uses spaces between the input numbers, the output format with days, hours, minutes, and seconds should be delimited by colons; see sample output for examples.All times will be output without spaces (or other whitespace).Negative Times. If a specified time is negative, it should be printed with a single leading negative. For example, 0 -2 -34 is output as -2:34.Simplification. Times must be simplified before printed. For example, 12 2 -34 is simplified and output as 12:1:26.Output Brevity. For input time 0 2 34, the corresponding output should not list the number of hours (since there are none): 2:34.A single output print statement will be allowed in the final solution code. That is, a proper solution will construct a String object and output it at the end of the program.You must define and use constants representing the number of seconds per minute, hour, and day.** IT WORKS FOR ALL OUTPUTS EXCEPT FOR THE DOUBLE NEGATIVES, i.e. 0 - 2 -34 outputs as 59:34 instead of -2:34 PLEASE ASSIST**My current code:import java.util.Scanner; //import scannerclass TimeInterpreter {public static void main (String[] args) {System.out.println("Enter the time in the form : "); // user inputs time in formatScanner sc = new Scanner(System.in); // create scanner scint hours, minutes, seconds, days =0; // define integershours = sc.nextInt(); // collect integers for hoursminutes = sc.nextInt(); // collect integers for minutesseconds = sc.nextInt(); // collect integers for secondsif(seconds >=60) // if seconds greater than or equal to 60{int r = seconds; //create integer r with value of secondsseconds = r%60; // our seconds become the remainder once the seconds are divided by 60 (62, seconds would become 2)minutes += r/60; //convert r to minutes and add}if(seconds =60) // if minutes greater than or equal to 60{int r = seconds; //create r with value of seconds (always go back to seconds)minutes = r%60; // minutes is the remainder once divided by 60hours += r/60; // add r/60 to the hours}if(minutes Which of the following would cause a tropical cyclone to strengthen?If the storm system encounters upper-level wind shearIf the storm system moves over landIf the storm system encounters a dry air massIf the storm system moves over warm water using six sigma principles is an organization-wide commitment and all employees must embrace its principles. Find a linear function h given h(-1)=-2 and h(-4)=-6 . The linear function is h(x)= (Simplify your answer. Use integers or fractions for any numbers in the expression.) Correct answers:1. information worker2. information literacyKaizenThe corporate lattice3.initiativestrong written communicationskills strong work ethicability to work in a team A ball is thrown upward with an initial velocity of 14(m)/(s). Using the approximate value of g=10(m)/(s^(2)), how high above the ground is the ball at the following times? (a) 1.20s after it is thrown (b) 2.10s after it is thrown x m Amir deposits $14,000 at the beginning of each year for 11years in an account paying 7% compounded annually. He then puts the total amount on deposit in another account paying 9% compounded semiannually for another 7 years. Find the final amount on deposit after the entire 18 year period.