Exercise 16-14 Production cost flow and measurement; journal entries LO P1, P2, P3, P4
1. Compute the (a) cost of products transferred from weaving to sewing, (b) cost of products transferred from sewing to finished goods, and (c) cost of goods sold.
2. Prepare journal entries dated June 30 to record (a) goods transferred from weaving to sewing, (b) goods transferred from sewing to finished goods, and (c) sale of finished goods.

Answers

Answer 1

a) The cost of products transferred from weaving to sewing = $106,200

b) The cost of products transferred from sewing to finished goods = $150,000 c) The cost of goods sold = $132,000 Computation of the cost of products transferred: 1) Weaving Department Cost of Units in Inventory, June 1 = (4,000 × $4) $16,000 Cost of Units Started during June = (24,000 × $6) $144,000 Total Cost to Account for $160,000 Less: Cost of Units in Inventory, June 30 (8,000 × $8) (64,000) Costs Accounted for by the Weaving Department $96,0002) Sewing Department Cost of Units in Inventory, June 1 = (2,000 × $12) $24,000 Cost of Units Transferred in from Weaving Department $96,000 Total Cost to Account for $120,000Less: Cost of Units in Inventory, June 30 (6,000 × $16) (96,000)Costs Accounted for by the Sewing Department $24,0003) Finished Goods Department Cost of Units in Inventory, June 1 = $0Cost of Units Transferred in from Sewing Department $24,000Total Cost to Account for $24,000Less: Cost of Units in Inventory, June 30 (2,000 × $12) (24,000) Costs Accounted for by the Finished Goods Department $0Journal Entries: June 30 (a) Work in Process—Sewing 96,000Work in Process—Weaving 96,000 (b) Work in Process—Finished Goods 24,000Work in Process—Sewing 24,000(c) Cost of Goods Sold 132,000Work in Process—Finished Goods 132,000 (Sale of 2,000 units at $66 per unit).

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Related Questions

Explain how the Zhou discretionary family trust with the following particulars could distribute residual income to minimize tax at the end of the 2021 income year, given the following: Taxable income of $60,000 at the end of the income year. • A choice of three beneficiaries, all of whom could be made presently entitled to a portion of the income and are a resident of Australia for tax purposes: 1. Fred who is 45 and has other taxable income of $28,000. 2. Samantha who is 20 and has no other income. 3. Beth who is 16 and has no other income. When answering the question please: 1. Work out the most tax effective way of distributing the trust income, showing your workings. 2. Complete tax calculations for each of the three individuals, including offsets and levies.

Answers

To determine the most tax-effective way of distributing trust income and complete tax law calculations for each beneficiary, to consider the tax rates, offsets, and levies applicable to each individual.

Provide some general information on distributing trust income. When distributing residual income from a discretionary trust like the Zhou family trust, the trustee has the discretion to decide how to allocate the income among the beneficiaries. The trustee would typically consider the beneficiaries' individual tax circumstances and objectives to minimize the overall tax liability.

The trustee could distribute the income in a tax-effective manner by considering the beneficiaries' tax brackets and utilizing any available offsets or levies. The trustee might allocate a larger portion of the income to Fred, who has other taxable income of $28,000, as he would likely be taxed at a higher marginal rate. This would help utilize Fred's lower tax brackets and potentially reduce the overall tax burden.

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what is CRT? How does CRT as a perspective help social
workers understand and stand by the professional code of
ethics?

Answers

Critical Race Theory (CRT) is a framework that originated in legal studies in the United States and has since expanded to other disciplines.

It seeks to understand how racism and white supremacy are entrenched in society and in legal systems. It posits that racism is not just an individual or intentional act, but is instead a systemic and structural issue. CRT asserts that racism is not a static or isolated phenomenon but is instead pervasive and integrated into our social fabric.CRT examines how laws and policies, as well as cultural narratives, perpetuate racial inequality and injustice. It critiques liberal ideas of colorblindness and meritocracy, which ignore the impact of systemic racism. The perspective of CRT has helped to highlight issues of racial inequality and promote the need for social justice in policies and practices. It has helped to bring attention to issues of white privilege and has also called for a re-evaluation of the legal system to ensure that it does not perpetuate racial inequality.

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How does the Singaporean government encourage saving? For
example, what is the Central Provident Fund?

Answers

The Singaporean government encourages saving through initiatives like the Central Provident Fund (CPF).

What measures does the Singaporean government take to promote saving, including the role of the Central Provident Fund?

The Singaporean government places a strong emphasis on savings and financial security for its citizens. One of the key mechanisms used to encourage saving is the Central Provident Fund (CPF). The CPF is a comprehensive social security system that serves as a savings scheme for Singaporeans. It requires both employees and employers to contribute a portion of the employee's salary to the CPF account. These contributions are then used to fund various purposes such as retirement, healthcare, housing, and education.

The CPF provides a reliable source of financial support for Singaporeans, ensuring a safety net for retirement and other essential needs. It also offers attractive interest rates on the accumulated savings, incentivizing individuals to save more. Additionally, the government provides various schemes, grants, and incentives to promote home ownership, healthcare affordability, and education savings, further encouraging responsible financial planning and saving habits.

Overall, the Singaporean government's approach to promoting saving through initiatives like the CPF reflects its commitment to fostering long-term financial stability and security for its citizens.

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LIONT Please match each component of service blueprints on the left with the correct definition on the right. Customer actions [Choose ] Onstage [Choose ] Support processes [Choose ] Backstage [Choose

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The service blueprint is a diagram that maps out the steps, components, and processes included in a service delivery, with the aim of understanding the nature of a service and its interactions with consumers. It is essential to understand that the service blueprint consists of five components or areas, namely customer actions, onstage activities, backstage activities, support processes, and physical evidence.

The following are the definitions for each component of the service blueprints:
Customer actions - These refer to the customer's actions, thoughts, or emotions while receiving a service. Customers can interact with the service delivery system in various ways. They can complete online forms, make inquiries over the phone, visit a physical location, or engage in a self-service model.

Onstage activities - This area refers to the service components that customers interact with directly. These are customer-facing activities that the organization performs. Onstage activities include things such as customer service representatives, physical spaces, equipment, and tools used to deliver the service.

Backstage activities - Backstage activities are internal service delivery components that customers do not see or interact with. These activities are performed in the background to support onstage activities. These activities include tasks such as data entry, record keeping, and IT support.

Support processes - Support processes refer to the systems and processes that help to deliver the service. These processes might include software applications that run in the background, or they may be manual procedures that employees follow.

Physical evidence - This component includes the tangible evidence of a service that customers use to make judgments about the quality of a service. This evidence could include things such as brochures, business cards, or websites.

Thus, the component of service blueprints on the left and their definitions on the right are:Customer actions - Customer actions refer to the customer's actions, thoughts, or emotions while receiving a service.Onstage activities - Onstage activities refer to the service components that customers interact with directly.Support processes - Support processes refer to the systems and processes that help to deliver the service.Backstage activities - Backstage activities are internal service delivery components that customers do not see or interact with.Physical evidence - Physical evidence includes the tangible evidence of a service that customers use to make judgments about the quality of a service.

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what are the three principal forms of business organization? what are the advantages and disadvantages of each

Answers

The three principal forms of business organization are sole proprietorship, partnership, and corporation.

Let's look at the advantages and disadvantages of each:

Sole Proprietorship

Advantages:

1. Easy and inexpensive to establish

2. No sharing of profits with anyone else

3. No external restrictions on how the business operates

Disadvantages:

1. Unlimited liability

2. Hard to raise funds

3. Difficult to sell the business

Partnership

Advantages:

1. Relatively easy to establish

2. Sharing of resources

3. Sharing of profits

Disadvantages:

1. Unlimited liability

2. Disagreements among partners

3. Difficulty in raising funds

Corporation

Advantages:

1. Limited liability

2. Easy to transfer ownership

3. Easy to raise funds

Disadvantages:

1. Costly and time-consuming to establish

2. More regulations and paperwork

3. Sharing of profits with shareholders

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The three principal forms of business organization are Sole Proprietorship, Partnership and Corporation.

Each form of business has its own advantages and disadvantages that should be considered before selecting a form of business organization. These are the advantages and disadvantages of each form of business organization:

Sole Proprietorship

Advantages:

Easy to form and dissolve

The owner has complete control over the business

Low start-up costs

No separate taxation as the owner reports the income on his/her personal tax return

Disadvantages:

Unlimited personal liability

Limited ability to raise capital

Potential difficulty in attracting and retaining talented employees

Partnership

Advantages:

Easy to form and dissolve

Costs are shared between partners

Greater ability to raise capital than a sole proprietorship

Partners can bring diverse skills and knowledge to the business

Disadvantages:

Unlimited personal liability

Each partner is responsible for the actions of other partners

Profits must be shared among partners

Potential for disputes between partners

Corporation

Advantages:

Limited personal liability for shareholders

Greater ability to raise capital

Ability to transfer ownership through the sale of stocks

Long-term existence

Disadvantages:

Expensive to form and maintain

Complex regulatory requirements

Double taxation (the corporation is taxed and the shareholders are taxed on their dividends)

Shareholders have little control over the management of the corporation

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Check My Work Ea eBook Problem 7-10 Tuition costs at various colleges vary from $15,000 to $40,000 annually. These tuitions are expected to increase over time. If the annual rate of increase is 4 percent, what will be the new range in tuition costs in ten years? Use Appendix A to answer the questions. Round your answers to the nearest dollar. The range at 4 percent is $ -$ If the rate doubles from 4 to 8 percent, what will be the range in tuition costs after ten years? Use Appendix A to answer the questions. Round your answers to the nearest dollar. The range at 8 percent is $ -$ Check My Work 0 Joon Key

Answers

The new range in tuition costs in ten years at a 4 percent annual rate of increase will be approximately $22,333 to $59,555.

to find the new range in tuition costs in ten years with an annual rate of increase of 4 percent, we'll calculate the new tuition costs at the lower and upper ends of the current range and round the results to the nearest dollar.

let's start with the lower end of the range:

initial tuition cost (lower end) = $15,000

rate of increase = 4% = 0.04

number of years = 10

new tuition cost (lower end) = initial tuition cost * (1 + rate of increase)^number of years

using appendix a, which provides the future value of $1 for various interest rates and time periods, we can find the factor for (1 + 0.04)¹⁰.

looking up the factor for 4% for 10 years in appendix a, we find the value to be 1.488864.

new tuition cost (lower end) = $15,000 * 1.488864

new tuition cost (lower end) ≈ $22,332.96

now let's calculate the new tuition cost at the upper end of the range:

initial tuition cost (upper end) = $40,000

new tuition cost (upper end) = initial tuition cost * (1 + rate of increase)^number of years

new tuition cost (upper end) = $40,000 * 1.488864

new tuition cost (upper end) ≈ $59,554.56 now let's calculate the range in tuition costs after ten years if the rate doubles from 4 to 8 percent.

new rate of increase = 8% = 0.08

new tuition cost (lower end) = $15,000 * (1 + 0.08)¹⁰ ≈ $25,417.39

new tuition cost (upper end) = $40,000 * (1 + 0.08)¹⁰ ≈ $85,678.63

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Consider how resources and capabilities can be developed based
on dynamic capabilities. (STRATEGIC MANAGEMENT AND PLANNINGg)
(EXPLORING STRATEGY)

Answers

Dynamic capabilities are a crucial aspect of strategic management and planning. They refer to a company's ability to integrate, build, and reconfigure its resources and capabilities to adapt to changing market conditions and seize new opportunities.

Resource Identification: Companies need to identify their existing resources, both tangible (physical assets, financial resources) and intangible (knowledge, skills, organizational culture), and assess their relevance and potential for developing dynamic capabilities.Resource Acquisition and Development: To build dynamic capabilities, companies may need to acquire new resources or enhance existing ones through various means such as hiring new talent, investing in training and development programs, forming strategic partnerships, or acquiring other companies.

Resource Integration: Integration of resources is vital to leverage their synergies and create new capabilities. This involves aligning different resources within the organization, fostering collaboration and knowledge sharing across departments, and developing effective communication channels.Flexibility and Adaptability: Dynamic capabilities require companies to be flexible and adaptable in response to changing market conditions. This includes being open to experimentation, embracing a learning culture, and continuously scanning the external environment to identify emerging trends and opportunities.

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1. Economic indicators analysis, for example: GDP
components, balance of payments, the exchange rate, inflation,
etc.
2. Financial system: banking industry and capital
markets"

Answers

Economic indicators analysis: Economic indicators analysis is a useful tool for understanding economic performance. These indicators can be divided into two categories: leading and lagging indicators.

Leading indicators are those that predict future economic trends, while lagging indicators are those that provide information about past economic trends. GDP components: Gross Domestic Product (GDP) measures the total value of goods and services produced within a country's borders during a specified time period. GDP has four main components: consumption, investment, government spending, and net exports. Balance of payments: The balance of payments is a record of all international transactions between a country and the rest of the world. It includes trade in goods and services, investment income, and transfers. Exchange rate: The exchange rate is the price of one currency in terms of another currency. It is determined by the supply and demand for each currency in the foreign exchange market. Inflation: Inflation is a sustained increase in the general price level of goods and services in an economy over a period of time. It is measured by the Consumer Price Index (CPI), which reflects the prices of a basket of goods and services. Financial system: The financial system comprises of the banking industry and capital markets. It is measured by the Consumer Price Index (CPI), which reflects the prices of a basket of goods and services. The financial system is essential for economic growth and development. The banking industry and capital markets play an important role in promoting economic growth and development. The banking industry is responsible for providing financial intermediation services, such as accepting deposits and providing loans. Capital markets, on the other hand, provide long-term financing through the issuance of equity and debt securities. The capital markets also facilitate secondary trading of securities and provide liquidity to investors.

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when considering the factor distribution of income, into whose income would corporate profits be included?

Answers

When considering the factor distribution of income, corporate profits would be included in the income of the owners of the corporation. This is because corporate profits are one of the ways in which the owners of the corporation receive a return on their investment.

The distribution of income refers to how the total income earned in a given economy is divided among different groups of people. This income can be distributed in several ways, including wages, salaries, profits, and rents. The factor distribution of income refers to the distribution of income among the various factors of production, such as labor, capital, and land.

Corporate profits are included as a factor of production because they represent the return on investment for the owners of the corporation. These owners can be individuals, institutions, or other corporations that have invested in the corporation. The profits earned by the corporation are distributed among these owners in the form of dividends, capital gains, or retained earnings.As such, corporate profits would be included in the income of the owners of the corporation, and would be considered a part of the factor distribution of income.

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What is the value of a building that is expected to generate fixed annual cash flows of $2,257.00 every year for a certain amount of time if the first annual cash flow is expected in 3 years and the last annual cash flow is expected in 9 years and the appropriate discount rate is 16.30 percent? $6679.93(plus or minus $10) $5245.13 (plus or minus $10) O $6100.08 (plus or minus $10) O $5743.71 (plus or minus $10) O None of the above is within $10 of the correct answer

Answers

To calculate the value of the building, we need to find the present value of the fixed annual cash flows, the value of the building, based on the given cash flows and discount rate, is approximately $6,679.93.

The formula for the present value of an annuity is:

PV = CF * [1 - (1 + r)^(-n)] / r

Where:

PV is the present value of the annuity

CF is the fixed annual cash flow

r is the discount rate

n is the number of years

In this case, the fixed annual cash flow is $2,257.00, the discount rate is 16.30%, and the cash flows are expected for a period of 9 - 3 = 6 years.

Let's substitute the values into the formula:

PV = $2,257.00 * [1 - (1 + 0.163)^(-6)] / 0.163

By performing the calculation, we find:

PV ≈ $5,721.85

Therefore, the value of the building, given the specified cash flows and discount rate, is approximately $5,721.85. None of the provided answer options are within $10 of the correct answer.

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Select one of the resort properties home to various attractions and entertainment. As the new Director of Operations, your task is to create a 2023 MARKETING REPORT. Be sure to include (in detail) the activities, entertainment, parks, etc., that are on the resort property AND what you are proposing they do to increase attendance for 2023. Please also include accommodations, dining options, spa services, concierge offerings, and a price point for a weekly stay.

Answers

As the new Director of Operations for XYZ Resort, I am pleased to present the 2023 Marketing Report. XYZ Resort is a premier destination located in a picturesque setting, offering a wide range of attractions and entertainment options for guests of all ages.

Activities and Entertainment:

1. Adventure Park: The resort features a thrilling adventure park with zip lines, obstacle courses, and rock climbing walls.

2. Water Park: A sprawling water park with slides, lazy river, and wave pool provides endless fun for families.

3. Golf Course: A championship golf course designed by a renowned architect offers an exceptional golfing experience.

4. Live Shows: Guests can enjoy live entertainment shows, including musical performances, comedy acts, and theatrical productions.

5. Spa and Wellness Center: A luxurious spa and wellness center provides rejuvenating treatments, massages, and yoga classes.

To increase attendance for 2023, I propose the following strategies:

1. Enhanced Marketing Campaign: Implement a comprehensive marketing campaign targeting families, adventure enthusiasts, and golfers through social media, online advertisements, and collaborations with travel agencies.

2. Seasonal Events and Packages: Introduce seasonal events like themed festivals, holiday celebrations, and exclusive packages that combine accommodations, dining, and attraction tickets.

3. Promote Local Attractions: Partner with local tourist attractions and promote package deals that include visits to nearby landmarks, nature parks, and cultural experiences.

4. Personalized Guest Experience: Implement a guest loyalty program, offer personalized concierge services, and introduce special VIP experiences to enhance guest satisfaction and encourage repeat visits.

Accommodations: The resort offers a range of accommodations, including spacious villas, deluxe rooms, and luxury suites with stunning views and modern amenities.

Dining Options: Guests can indulge in a variety of dining options, including fine dining restaurants, casual eateries, poolside bars, and themed dining experiences.

Spa Services: The resort's spa offers a range of services, including massages, facials, body treatments, and wellness therapies.

Concierge Offerings: The dedicated concierge team provides personalized assistance, including booking reservations, arranging transportation, and organizing excursions.

Price Point for a Weekly Stay: The weekly stay at XYZ Resort ranges from $1,500 for a standard room to $5,000 for a luxury suite, depending on the season and accommodation type.

With its diverse attractions, entertainment options, luxurious accommodations, and top-notch amenities, XYZ Resort is poised to attract a wide range of guests in 2023. By implementing targeted marketing strategies, introducing new experiences, and focusing on personalized guest services, the resort can increase attendance and create memorable experiences for its guests.

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A project produces the following cash flows over the next five years:
$600, -$200, $350, $400 and $500, respectively. The initial cost of the project is $1,400. What is the internal rate of return on this project?
A) -4.56%
B) 2.98%
C) 5.32%
D) 8.77%
E) none of the above.

Answers

We can find that the IRR for this project is approximately 8.77%

To calculate the internal rate of return (IRR) of a project, we need to find the discount rate at which the present value of the project's cash flows equals the initial cost of the project. In this case, we need to solve for the discount rate that satisfies the following equation: $600 / (1 + r)^1 - $200 / (1 + r)^2 + $350 / (1 + r)^3 + $400 / (1 + r)^4 + $500 / (1 + r)^5 = -$1,400

We can use a financial calculator, spreadsheet, or trial-and-error to find the discount rate (IRR) that makes the equation hold true. However, I will use an iterative approach to approximate the IRR. By trying different discount rates, we can find that the IRR for this project is approximately 8.77%. Therefore, the correct answer is: D) 8.77%

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Which of the following best describes the Sharpe Ratio? a. The higher the Sharpe Ratio the better b. The lower the Sharpe Ratio the better c. The size of the Sharpe Ratio cannot be interpreted easily d. The Sharpe Ratio is not commonly used to measure Risk/Return e. None of the above

Answers

The correct answer is e. None of the above. The Sharpe Ratio is a widely used measure in finance that helps investors assess the risk-adjusted return of an investment or portfolio.

It is calculated by taking the difference between the average return of the investment (or portfolio) and the risk-free rate of return, and dividing it by the standard deviation of the investment's returns. The Sharpe Ratio represents the additional return earned per unit of risk.

It is important to note that the Sharpe Ratio does not indicate whether a higher or lower value is better. Instead, it provides a quantitative measure of the risk-adjusted return, allowing investors to compare different investments or portfolios. A higher Sharpe Ratio indicates a better risk-adjusted return compared to investments with lower ratios, but it does not necessarily mean the investment is better overall. Other factors, such as individual risk tolerance and investment objectives, should also be considered when making investment decisions. Therefore, none of the options provided accurately describe the Sharpe Ratio.

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The constant dividend growth valuation model uses the value of a firm's dividends in the numerator of the equation. Dividends are divided by the difference between investors' required return and the dividend growth rate, as follows: D, Po = (rs g) Which of the following statements regarding the model is true? O Increasing dividends will always increase the stock price. O Increasing dividends will always decrease the stock price, because the firm is reducing its internal funding resources O Increasing dividends may not always increase the stock price, because company growth may be impeded when fewer earnings dollars are reinvested into the firm.

Answers

The statement that is true regarding the constant dividend growth valuation model is that "increasing dividends may not always increase the stock price, because company growth may be impeded when fewer earnings dollars are reinvested into the firm.

The constant dividend growth valuation model uses the value of a firm's dividends in the numerator of the equation. The model assumes that dividends will continue to increase at a constant rate indefinitely. It is also known as the Gordon Growth Model. In the model, dividends are divided by the difference between investors' required return and the dividend growth rate, as follows: D, Po = (rs - g)Where: Po = the current stock price D = the expected dividend payment at the end of the years = the investor's required return on the investment g = the expected dividend growth rate

The Gordon Growth Model assumes that the firm will continue to pay dividends at a constant rate, which means that the dividends will increase at a constant rate. However, increasing dividends may not always increase the stock price, because company growth may be impeded when fewer earnings dollars are reinvested into the firm. Hence, the statement that is true regarding the constant dividend growth valuation model is that "increasing dividends may not always increase the stock price, because company growth may be impeded when fewer earnings dollars are reinvested into the firm."

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The Fed conducts an open-market sale of Treasury bills of $5
million. If the required reserve ratio is 0.20, what change in the
money supply can be expected using the oversimplified money
multiplier

Answers

Given,An open-market sale of Treasury bills of $5 million is conducted.The required reserve ratio is 0.20.The money multiplier is the number of times the initial deposit is multiplied.

The change in the money supply can be expected using the oversimplified money multiplier formula is,$$m=\frac{1}{rrr}$$Where, m is the money multiplier, and rrr is the required reserve ratio. Now, let's calculate the money multiplier.$$m=\frac{1}{rrr}$$$$m=\frac{1}{0.20}$$$$m=5$$The money multiplier is 5.Since the Fed conducts an open-market sale of Treasury bills of $5 million, the change in the money supply can be expected using the oversimplified money multiplier formula as,$$Change\;in\;the\;money\;supply=m\times change\;in\;reserves$$$$Change\;in\;the\;money\;supply=5\times (-5\;million)$$$$Change\;in\;the\;money\;supply=-(25\;million)$$Therefore, the change in the money supply can be expected to be -$25 million.

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This income distribution of the U.S. is one of the most unequal countries in the developed world. The World Bank measures inequality using a tool called the Gini coefficient, a scale ranging from 0 (equal income for all) to 1 (all the income in the hands of one person). The U.S. has a Gini coefficient of nearly 42 (or 42 percent), higher than nearly all of Europe, East Asia, and Australia. True or False ?

Answers

The given passage is a statement that represents the level of inequality of income distribution in the US and also discusses the tool to measure it. The World Bank measures inequality using a tool called the Gini coefficient, a scale ranging from 0 (equal income for all) to 1 (all the income in the hands of one person). The U.S. has a Gini coefficient of nearly 42 (or 42 percent), higher than nearly all of Europe, East Asia, and Australia. Hence, the given statement is true.The US is one of the most unequal countries in the developed world. According to the World, the country has a Gini coefficient of almost 42%, which is higher than nearly all of Europe, East Asia, and Australia. In addition, the Gini coefficient is a tool used by the World Bank to measure inequality.

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what basic business fundamentals must business managers grasp to effectively

Answers

A business manager is the person responsible for running and managing the business. The following are the basic business fundamentals that business managers must understand to run a successful company:

Market Research: Managers must be able to recognize the market trends and what customers want and need. It requires collecting and analyzing data to make informed decisions.

Production and Sales: The objective of a company is to produce a product or service and sell it to customers. Managers must have a good understanding of how to manage the production, marketing, and sales activities of the business.

Financial Management: Managers must be able to manage the finances of the company. They need to know how to create financial statements and financial reports. It is necessary to have an understanding of taxes, investments, and debt management to ensure the financial stability of the business.

Human Resource Management: Managers must be able to manage human resources. It includes hiring, training, and managing employees. They must also know how to manage conflicts and motivate employees.

Legal and Regulatory Compliance: Managers must be familiar with the legal and regulatory requirements of the business. They should be knowledgeable about contracts, patents, copyrights, and other legal matters. They should also be aware of the regulations that govern their industry

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he Addendum to Listing Agreement (subagency) replaces the wording in section .. (a) 7 DISPUTE RESOLUTION (b) 5 AGENCY RELATIONSHIPS (C) 6 PROFESSIONAL ADVICE (d) 3 PROTECTION PERIOD In a designated agency, represent(s) the client (s).
(a) the entire brokerage (b) only the brokers in the brokerage (c) the named agent(s)
(d) only the agents in the brokerage form. To avoid limited (or dual) agency, an agent can use the (a) Addendum to Disclose
(b) Unrepresented Buyer Disclosure (c) Exclusive Right to Sell Listing Agreement (d) Addendum to Listing Agreement

Answers

In a designated agency, the named agent(s) represent the client(s).

In a designated agency, the named agent(s) are the ones who represent the client(s). This means that specific agents within the brokerage are assigned to work exclusively with certain clients, acting as their advocate and fiduciary. The named agent(s) have a legal obligation to act in the best interest of their assigned clients and provide them with professional advice and guidance throughout the real estate transaction process.

Unlike the entire brokerage or only the brokers in the brokerage, who may have various roles and responsibilities within the agency, the named agent(s) have a direct relationship with the client(s) they are designated to represent. This arrangement allows for a more personalized approach to client service and ensures that the client's interests are prioritized.

By having designated agents, the brokerage can provide specialized attention to each client, allowing for better communication, tailored guidance, and a more focused representation. This approach helps to establish trust and build strong relationships between the agent and the client, fostering a higher level of customer satisfaction.

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L Plc acquired 75% of ordinary share capital of H Plc for $155 million and 35% of the ordinary share capital of C Plc for $65 million on 1.1.2017, when the retained earnings were $65 million in H Plc and $25 million in C Plc.
Statement of financial position as at 31.12.2019
L Plc H Plc C Plc
$millions $millions $millions
Non-current assets
Property, plant & equipment 225 165 80
Investments 220 0 0
445 165 80
Current assets
Inventory 385 230 120
Trade receivables 280 165 70
Cash 40 15 35
705 410 225
Total assets 1150 575 305
Equity
Ordinary share capital $1 400 100 80
Share premium 15 5 0
Retained earnings 280 130 100
695 235 180
Current liabilities
Trade payables 455 340 125
1150 575 305
Notes
1. On 1.1.2017, H Plc owned some equipment (purchased on 1.1.2015 and depreciated over 6 years) with a carrying amount of $40 million, having a fair value of $50 million.
2.On 30.11.2019, L Plc sold goods to H Plc for $30 million cash with original cost of $20 million and none had been sold.
3.On 30.11.2019, L Plc sold goods to C Plc for $20 million with original cost $10 million and half of them had been sold.
4.On 1.1.2017, the fair value of NCI in H Plc was $40 million.
5. On 31.12.2019, cumulative impairment losses on recognized goodwill related to the subsidiary were $12 million.
Required
Prepare consolidated statement of financial position for L Plc and its subsidiary as at 31.12.2019, incorporating its associate according to IAS 28 Investments in Associates.

Answers

To prepare the consolidated statement of financial position for L Plc and its subsidiary as of 31.12.2019, incorporating its associate according to IAS 28 Investments in Associates, we need to follow the consolidation process.

Below is the consolidated statement of financial position:

Consolidated Statement of Financial Position

As of 31.12.2019

$millions

Assets

Non-current assets

Property, plant & equipment 225 + 165 + 80 = 470

Investments 220

Investment in Associate (C Plc) 35% of 305 = 106.75

___________

Total non-current assets 796.75

Current assets

Inventory 385 + 230 + 120 = 735

Trade receivables 280 + 165 + 70 = 515

Cash 40 + 15 + 35 = 90

________

Total current assets 1,340

Total assets 2,136.75

Equity and Liabilities

Equity

Ordinary share capital (L Plc) 1,400

Share premium (L Plc) 15

Retained earnings (L Plc) 280

Minority Interest (H Plc) 40 (NCI in H Plc: $40 million)

Total equity 1,735

Non-current liabilities

Long-term borrowings -

________

Total non-current liabilities -

Current liabilities

Trade payables (L Plc) 455 + 340 + 125 = 920

________

Total current liabilities 920

Total equity and liabilities 2,655.75

Notes:

The carrying amounts of property, plant & equipment, investments, and investment in associate are aggregated to reflect the consolidated amounts.

The minority interest (NCI) of $40 million represents the portion of H Plc's equity not owned by L Plc.

The consolidated statement of financial position reflects the consolidation of L Plc, H Plc, and the investment in associate C Plc.

The cumulative impairment losses on recognized goodwill related to the subsidiary are not included in the consolidated statement of financial position. They are typically presented as a separate line item in the consolidated statement of changes in equity or notes to the financial statements.

Please note that this is a simplified example, and additional adjustments may be required based on specific accounting rules and circumstances. It is always recommended to consult professional accountants or financial advisors for accurate and comprehensive financial statement preparation.

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Steve's. makes and sells lamps. Each lamp regularly sells for $29. The following cost data per lamp is based on a full capacity of 50,000 lamps produced each period.
Direct materials $4
Direct labor $6
Manufacturing overhead (50% variable and 50% unavoidable fixed) $8
A special order has been received by Steve's. for a sale of 7,000 lamps to an overseas customer. The only selling costs that would be incurred on this order would be $2 per lamp for shipping. Steve's is now selling 35,000 lamps through regular channels each period. Assume that direct labor is an avoidable cost in this decision. What should Steve's use as a minimum selling price per lamp in negotiating a price for this special order?

Answers

The direct materials cost per lamp is $4, direct labor cost per lamp is $6, and the manufacturing overhead cost per lamp is $8 (split between variable and fixed costs).

To calculate the minimum selling price per lamp for the special order, we need to consider the relevant costs. The relevant costs in this case include the direct materials cost, manufacturing overhead cost (50% variable and 50% fixed), and the shipping cost.

The variable manufacturing overhead cost is 50% of $8, which is $4 per lamp. The fixed manufacturing overhead cost is also $4 per lamp. Therefore, the total manufacturing overhead cost per lamp is $8.

Adding up the relevant costs, we have:

Direct materials cost per lamp: $4

Manufacturing overhead cost per lamp: $8

Shipping cost per lamp: $2

The total relevant cost per lamp is $4 + $8 + $2 = $14.

Since Steve's wants to cover all the relevant costs and make a profit, the minimum selling price per lamp for the special order should be at least $14.

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If an asset costs $53,659 and is expected to have a salvage value of $1,791 at the end of five year life, and generates annual cash net cash inflows of $3,692 each year, the cash payback period rounding to two decimal places is

Answers

The cash payback period for the given asset, which costs $53,659, has a salvage value of $1,791, and generates annual net cash inflows of $3,692, is approximately 14.56 years (rounded to two decimal places).

The cash payback period is a financial metric that measures the time it takes to recoup the initial investment in an asset. To calculate the cash payback period, we need to determine how long it takes for the cumulative net cash inflows to equal or exceed the initial investment. In this case, the initial investment is $53,659, and the net cash inflows generated each year are $3,692. We need to calculate the number of years it takes for the cumulative net cash inflows to reach or exceed the initial investment. To find the cash payback period, we divide the initial investment by the annual net cash inflows until we reach a value equal to or greater than the initial investment. In this scenario, the cumulative net cash inflows after the 14th year will be $51,848 ($3,692 x 14). Since this amount is still less than the initial investment, we add the cash inflow from the 15th year ($3,692) to the cumulative net cash inflows. The cumulative net cash inflows after the 15th year will be $55,540 ($51,848 + $3,692), which exceeds the initial investment. Therefore, the cash payback period is approximately 14.56 years (rounded to two decimal places).

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A cash register tape shows cash sales of $1,500 and sales taxes of $120. The journal entry to recond this infirmation is a Cash 1,620 Sales 1,620 bCal. 1,620 Sales To Payable Sales 120 1,500 C Carh 1,500 Sales Tax Expenen.. 120 Sales 1,620 dCash.. 1,620 Sales 1,500 Sales Taxes Revenue 120 A) a B) b C) D) d

Answers

Option b is correct because there is given a cash register tape showing cash sales of $1,500 and sales taxes of $120, moreover, the journal entry to record this information is: b. Cash 1,620 Sales 1,620.

The cash register tape shows cash sales of $1,500 and sales taxes of $120.

The amount of cash sales will be recorded as Sales revenue in the books of accounts.

The amount of sales tax will be recorded in the payable account.

Therefore, the journal entry will be as follows.

Cash 1,500 Sales 1,500 (Sales revenue on account of cash sales).

Sales Taxes Payable 120 (Sales tax on sales).

Cash 1,620 (Sum of cash sales and sales tax).

Sales 1,620 (Sales revenue on account of both cash sales and sales tax).

Therefore, option b is correct.

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The goal of a strategic business plan is which of the following? Select one.

a. Create competitive advantage
b. Drive competitors out of business
c. Create a monopolistic market
D. Improve employee morale

Answers

The goal of a strategic business plan is to create competitive advantage. A strategic business plan is a blueprint for how a business will achieve its goals and objectives. Option a is correct.

It is a comprehensive plan that outlines the strategies and tactics a business will use to achieve its mission and vision. In order to create a strategic business plan, the business needs to conduct a thorough analysis of the internal and external environment. The internal analysis looks at the strengths and weaknesses of the business, while the external analysis looks at the opportunities and threats in the industry and market. Once the analysis is complete, the business can develop strategies that will help it achieve its goals. These strategies should be based on the analysis and should take into account the strengths and weaknesses of the business as well as the opportunities and threats in the market. The goal of the strategic business plan is to create competitive advantage. Competitive advantage is the ability of a business to outperform its competitors in the market. This can be achieved by offering superior products or services, having better customer service, or having a more efficient and effective business model. By creating competitive advantage, the business can increase its market share and profitability.

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FILL THE BLANK. "Question 56
Group managers are also called ______.
designated leaders
group leaders
empowering leaders
directive leaders
Question 57
How has technology changed the way organiza"

Answers

Group managers are also called designated leaders. technology has changed the way organizations operate are as follows: Collaboration ,Technology, Remote Work, Big Data Analytics.

Group managers may be called designated leaders since they are given the responsibility of leading groups or teams of workers, managing project schedules, and assisting in the achievement of group targets. The term "designated leader" implies that they were deliberately selected or appointed to assume a position of responsibility and lead a group of people. Question 57Technology has had a significant impact on the way organizations operate. Some of the ways technology has changed the way organizations operate are as follows:Collaboration- In this digital era, team collaboration and teamwork have been transformed. Technology-enabled tools have made it easy for employees to collaborate with one another to complete tasks in a shorter amount of time. Organizations' operational expenses have been reduced as a result of online communication systems. Communication and collaboration can now occur in real-time, regardless of the location of group members.Remote Work- Remote work has become increasingly popular as a result of technological advancements. Video conferencing and cloud-based technology allow employees to work from anywhere in the world. This helps to cut down on transportation expenses, improve employees' work-life balance, and increase productivity.Big Data Analytics- Technology has made it easier to gather, store, and analyze massive amounts of data. Organizations use big data to identify patterns and trends that they can use to make better decisions in the future. Big data is also useful in predicting customer behavior and forecasting sales trends.The internet of things (IoT) - IoT is transforming the way businesses operate by connecting objects that were once stand-alone devices to the internet. This enables them to interact with one another and exchange data in real-time.

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Mighty Models acquired a machine for $20 000 on 31 December 2018. Calculate depreciation for the year ended 31 December 2020 using the diminishing-balance method at 12% p.a. Assume a nil residual value.
a. $2,000
b. $1,800
c. $2,400
d. $2,112

Answers

The depreciation for the year ended 31 December 2020 is $2,112.The correct answer is d. $2,112.

To calculate the depreciation using the diminishing-balance method, we need to apply the depreciation rate to the carrying value of the asset each year. The formula for the diminishing-balance depreciation is:

Depreciation expense = (Net book value at the beginning of the year) x (Depreciation rate)

In this case, the machine was acquired for $20,000 with no residual value, so the net book value at the beginning of each year is the same as the cost of the machine. The depreciation rate is 12% per year.

Year 1 (2019):

Depreciation expense = $20,000 x 12% = $2,400

Year 2 (2020):

The net book value at the beginning of the year is the cost of the machine minus the depreciation expense from the previous year:

Net book value = $20,000 - $2,400 = $17,600

Depreciation expense = $17,600 x 12% = $2,112

Therefore, the depreciation for the year ended 31 December 2020 is $2,112.

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SPECIALIZED FREIGHT SERVI IBM4B Problem Gus G Lazopoulos 20 points Please work on thi Class comme Add a class comm Scenario: Your customer has contacted you to move cargo from Montreal, Canada to Capetown, South Africa. Your job as a freight forwarder is to find the type of ship best suited to carry this cargo. In the About Ships lesson you learnt that there are different types of ships to carry different types of cargo. Many are purpose built to accommodate a specific type of cargo, others can handle a variety of different cargoes. Note: In the real world it is a good idea to, at the very least, have a picture of the cargo as well as its dimensions and weight. Instructions: Look at the cargo and pay particular attention to the dimensions; Look at the standard dimensions and weights for containers on the chart provided. Cargo specifications: Dimensions: 30 ft L x 10 ft W x 12 ft H excavator Weight: 35,000 lb The unit is self-propelled and on tracks Load port: Discharge port: CAT Baltimore, MD Antwerp, Belgium CAT 345B L Assigned orts available dd or create rk as done mments to Gus G Lazopoulos D Container specifications: Container Type 20 ft standard 90 in. ft ft High 40 standard 40 Cube 45 ft Cube High 20 ft Open Top 40 ft Open Top 20 ft Flat Rack 40 ft Flat Rack Container Type 20 ft Standard 40 ft Standard 40 ft High Cube Average Inside Container Dimensions Length Width 232 in 90 in 474 in 90 in 474 in 90 in 534 in 90 in 232 in 90 in 474 in 90 in 220 in 96 in 462 in 90 in Average Inside Volume Capacity Palletized Cargo Volume 25-28 m³ 45-50 m³ 50-55 m³ Height Max. Payload 90 in 20,000 kg 90 in 102 in 25,000 kg 25,000 kg 25,000 kg 20,000 kg 102 in 94 in 94 in 25,000 kg 90 in 20,000 kg 78 in 25,000 kg Un-palletized Cargo Volume 28-30 m³ 55-60 m³ 65-70 m³

Answers

The best-suited vessel for carrying this cargo would be a break-bulk vessel. The cargo can be loaded at CAT Baltimore, MD and discharged at Antwerp, Belgium. The CAT 345B L would be assigned ports available.

For the given cargo specifications of an excavator of dimensions 30 ft L x 10 ft W x 12 ft H and weight 35,000 lb, the type of ship best suited for carrying this cargo would be a break-bulk vessel.The break-bulk vessels are used for carrying heavy and large cargoes that are too big to fit inside containers. These vessels have standard dimensions and weights for cargo that are carried in break-bulk including excavators, cranes, etc.The cargo can be loaded and unloaded through the ship's hold using the ship's own cranes, or through the ship's side using shore cranes. The cargo is properly secured to prevent any damage during transportation.The standard dimensions and weights for containers on the chart provided do not match the given cargo specifications of the excavator. Therefore, the best-suited vessel for carrying this cargo would be a break-bulk vessel. The cargo can be loaded at CAT Baltimore, MD and discharged at Antwerp, Belgium. The CAT 345B L would be assigned ports available.

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Consider a variation of the OLG model with exogenous production as seen in class. In each period, the economy is occupied by two cohorts of two generations of households - the young and the old - living for two periods. There is no population growth, and outputs are not storable. In each cohort, the young produces Yyoung = 5, the old produces Yold = 1. Suppose one hundred units (call this, Dollar) of fiat currency is introduced in the economy, and people believe in this fiat currency. What is the price of the good in terms of money? That is, how many Dollars per one unit of good?

Answers

The price of the good in terms of money would be 16.67 Dollars per one unit of the good.

In the given scenario, the economy introduces 100 units of fiat currency, referred to as Dollars. Since there is no population growth and the outputs are not storable, the total production of the economy remains constant over time.

In each period, the young generation produces 5 units of the good, and the old generation produces 1 unit of the good. Therefore, the total production of the economy is 6 units of the good.

Since the economy introduced 100 Dollars, and the total production is 6 units of the good, the price of the good in terms of money can be calculated as 100 Dollars divided by 6 units of the good, which equals approximately 16.67 Dollars per unit of the good.

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please wrtie the detailed procedure
2. Suppose that there are three bidders with values that are drawn independently from U[1,4] in an auction with one item. (a) Find an equilibrium of the first-price auction. (b) Find an equilibrium of

Answers

(a) The equilibrium of the first-price auction in this scenario is for each bidder to bid their true value.

(b) The equilibrium of the second-price auction, also known as a Vickrey auction, is for each bidder to bid their true value as well.

(a) In a first-price auction, the highest bidder wins the item and pays their bid as the price. To find the equilibrium, we need to determine the optimal bidding strategy for each bidder. In this case, with values drawn independently from the uniform distribution U[1,4], the best strategy for each bidder is to bid their true value. If a bidder underbids, they risk losing the item to a higher bidder. If a bidder overbids, they risk paying more than the item's value. Therefore, bidding truthfully is the dominant strategy for each bidder in this first-price auction, resulting in an equilibrium.

(b) In a second-price auction, the highest bidder wins the item but pays the price of the second-highest bid. In this scenario, each bidder's optimal strategy is also to bid their true value. By bidding truthfully, each bidder ensures that if they win, they pay a price equal to the value of the next highest bidder. Bidding lower than their true value would risk losing the item, and bidding higher would result in paying more than necessary. Thus, bidding truthfully is the equilibrium strategy for each bidder in this second-price auction.

In both the first-price auction and the second-price auction, the equilibrium strategy for each bidder is to bid their true value. This ensures that each bidder maximizes their utility and minimizes the risk of either losing the item or paying more than its value. Bidding truthfully is the dominant strategy in both auctions, resulting in stable and efficient outcomes.

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As a job applicant, you should be prepared for different types
of interviews. List and describe three of the interview
types discussed in the chapter and cite the specific purpose of
each.

Answers

As a job applicant, being ready for various kinds of interviews is crucial to ensure that you impress your potential employer. Below are three types of interviews and their purposes: Phone Interviews: This type of interview is used by most employers to evaluate a candidate's qualifications before scheduling a more in-depth interview.

It's a screening mechanism that determines whether or not a candidate is a suitable fit for the position. It saves time and money for employers and is a practical method for both parties.Group Interviews: This is a kind of interview in which multiple applicants are interviewed at the same time. This type of interview allows the interviewer to evaluate a candidate's ability to communicate effectively, lead, or function as part of a team. Group interviews also aid in the selection of the right candidate.

One-on-one Interviews: This is the most traditional type of interview in which the interviewer asks questions and the applicant responds. It aids in the evaluation of the candidate's strengths, weaknesses, skills, and experience. It's also a fantastic way for the interviewer to learn more about the candidate's interests, motivations, and goals.In conclusion, as a job seeker, you must be prepared for various types of interviews since each interview type aims to assess your qualifications and suitability for the position in question.

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If price breaks out from support, it is likely that it will
continue to go lower and a short position makes sense as long
as:
a.Both A and B
b.Both A and C
c.B. There is an increasing volume on the co

Answers

The correct answer is "c. B. There is an increasing volume on the continuation of the move."

A short position makes sense when the price breaks out from support and there is an increasing volume on the continuation of the move.

When the price breaks out from a support level, it indicates a potential downward movement in the price. This suggests that selling pressure may outweigh buying pressure, leading to a decline in price. However, to confirm the likelihood of further downward movement and validate a short position, it is important to consider the volume of trading activity.

If there is an increasing volume accompanying the continuation of the downward move, it signifies that more market participants are actively selling the asset, supporting the bearish sentiment. Higher volume suggests stronger conviction and participation in the downward move, making a short position more reasonable. Therefore, both the breakout from support and increasing volume act as confirming factors for considering a short position.

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Notice that it is currently set to "Number of heads."(a)The value to enter in the "Probability of Heads" box:A. 0.86B. 172C. 200D. 0.57E. 100(b)The value to enter in the "Number of tosses" box:A. 100B. 0.57C. 0.86D. 172E. 200(c)The value to enter in the "Number of repetitions" box:A. 200B. 0.57C. 100D. 0.86E. 172(d)While in the "Number of Heads" mode, the value to enter in the "As extreme as" box:A. 0.86B. 100C. 200D. 0.57E. 172(e)If we switch to "Proportion of heads" then the value in the "As extreme as" box would change to a value ofA. 0.57B. 200C. 100D. 0.86E. 172 The lengths (in minutes) of a sample of 6 cell phone calls are given in the following table: 6 6 19 3 6 12 00 8 Calculate the following statistics (1 point each) (a) mean (b) median (c) mode (d) range (e) standard deviation