Healthy Life Co. is an HMO for bussnesses in the Fresno ares. The following account balances appear on Healthy Le's balance sheeti Common stock (390,000 sthares authorized; 8,000 shares issued), $100 pas; $800,000; Paid-In Capital in excess of par-common stock, $160,000; and Retained earnings, $9,600,000. The board of directors declared a 2% stock dividend when the market price of the stock was $137 a share. Healthy tife reported no income or loss for the current year. If an amount box does not require an entry, leave it blank. If no entry is required, select "No entry required" fram the dropdown. a1. Journalize the entry to record the declaration of the dividend, capitaliaing an amount equal to market value. Ftedsuck F Check My Work: Recali that a stock dividend affects only stockholders' equity. Learning Objective 3 . a2. Journalize the entry to record the issuance of the stock certificates. c. Determine the following ampunts after the stock dividend was deciared and elosing entries were recorded at the end of the year: (1) total paid-in capital, (2) total retained eamings, and (3) total stockholders' equity.

Answers

Answer 1

a. Journalize the entry to record the declaration of the dividend, capitalizing an amount equal to market value Journal entries are made to record business transactions in a company's accounting books.

These journal entries are kept in the company's general ledger and are used to create financial statements such as balance sheets and income statements.

The following is the journal entry for Healthy Life Co. to record the declaration of the 2% stock dividend:

Date Account Title Debit Credit Common Stock Dividend Distributable(2% * $137 * 8,000) $21,920.00Common Stock($100 * 160 shares) $16,000.00 Paid-in Capital in Excess of Par - Common Stock($21,920 - $16,000) $5,920.00.

b. Journalize the entry to record the issuance of the stock certificates.

The following is the journal entry for Healthy Life Co. to record the issuance of the stock certificates: Date Account Title Debit Credit Common Stock Dividend Distributable $21,920.00 Common Stock Dividend Distributable (2% * $137 * 8,000) $21,920.00(8,000 * $137 * 2%) Common Stock(8,000 * $100 * 2%) $16,000.00.

Paid-in Capital in Excess of Par - Common Stock($21,920 - $16,000) $5,920.00.

c. Determine the following amounts after the stock dividend was declared and closing entries were recorded at the end of the year(1) Total Paid-In Capital = $800,000 + $5,920 = $805,920(2).

Total Retained Earnings = $9,600,000(3) Total Stockholders' Equity = $805,920 + $9,600,000 = $10,405,920.

Therefore, the total paid-in capital, total retained earnings, and total stockholders' equity were $805,920, $9,600,000, and $10,405,920, respectively.

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Related Questions

inancial managers and investors don't operate in a vacuum, they make decisions within a large and complex financial environment. This environment includes financial markets and institutions, tax and regulatory policies, and the state of the economy. The environment both determines the available financial alternatives and affects the outcomes of various decisions. Thus, it is crucial that investors and financial managers have a good understanding of the environment in which they operate. a) Why is it so important for an economy to have fully developed financial markets? (5 Marks) b) Elaborate the FOUR (4) different types of financial markets (money market, capital market, derivatives market and foreign exchange market), the instruments that are being traded in each market and the importance of each market to economic stability. (10 Marks)

Answers

a) Importance of Fully Developed Financial Markets: Developed financial markets help an economy in various ways. It allows savings to be converted into investment. The capital market provides the platform for the issue and purchase of bonds and stocks.

The capital market improves economic efficiency by allocating savings to those who can use them best. If the financial markets are efficient, it leads to lower costs of capital and higher investment in an economy. Financial markets help to mitigate the risks of financial crises.

Finally, it provides jobs and encourages entrepreneurship, and innovation. Financial markets also play a crucial role in the growth and stability of the economy.b) Four types of Financial Markets: Money Market: The money market is used for short-term lending and borrowing, usually less than a year.

The central bank is one of the most critical players in this market. It is the platform that helps firms raise short-term financing and provides liquidity to financial institutions. Capital Market: The capital market, on the other hand, is for long-term investment, usually over a year.

It is divided into two segments: primary and secondary. The primary market is where new securities are offered to the public, while the secondary market is where already issued securities are traded. In this market, firms issue long-term financing in the form of stocks and bonds.

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15) is a really high rate of inflation. ( \( 50 \% \) monthly rate or higher)

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Yes, 50% monthly rate or higher is a really high rate of inflation. Inflation can be defined as the increase in the prices of goods and services in an economy over a certain period of time.

When the rate of inflation is high, the cost of living increases, and people may find it difficult to purchase goods and services due to the increase in prices.

A monthly rate of 50% or higher is considered hyperinflation.

In hyperinflation, the prices of goods and services increase so rapidly that they become unaffordable to the common people.

Hyperinflation can lead to the devaluation of the currency, economic instability, and loss of confidence in the economy.

Hyperinflation can be caused by various factors such as excessive money printing by the government, supply shocks, wars, and natural disasters.

It is essential for the government to control inflation to maintain the stability of the economy.

This can be done through various measures such as increasing interest rates, reducing government spending, and implementing effective monetary policies.

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xing company is considering investing in a project that is expected to return $300,000 four years from now. how much is the company willing to pay for this investment if the company requires a 9% return? (pv of $1, fv of $1, pva of $1, and fva of $1) (use appropriate factor(s) from the tables provided.) multiple choice $255,859 $212,520 $127,776 $45,701 $300,000

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Using a discount factor of 0.7084 for a return of 9% after four years, the amount Xing Company is willing to pay for a project with an expected return of $300,000 is B) $212,520.

What is the discount factor?

The discount factor represents the weighting factor, which is a decimal number that is used to multiply the future cash flow to discount it to its present value.

Future value = $300,000

Investment period = 4 years

Expected return = 9% = 0.09 (9/100)

Discount factor of 9% for 4 years = 0.7084 ([tex]\frac{1}{1.09^4}[/tex])

Present value = $212,520 ($300,000 x 0.7084)

Thus, the company will be willing to invest $212,520 (present value) now to have $300,000 (future value) in four years.

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In the United States, investors who have assets or income that exceed a minimum level set by the federal government and qualify to invest in more aggressive alternative investments and strategies are _______ investors. A. carried B. capital C. contango D. accredited
. If the returns on two assets tend to move up and down together, we say they're _______ correlated. A. inversely B. under. negatively D. positively
You own 500 shares of Company A, which you purchased for $34.20 a share. Puts on the company's stock sell for $1.50 for a strike price of $55. What will be the cost to obtain this strike price? A. $16,640 B. $15,440 C. $82.50 D. $750

Answers

In the United States, investors who have assets or income that exceed a minimum level set by the federal government and qualify to invest in more aggressive alternative investments and strategies are Accredited investors.

These investors are generally considered to be more knowledgeable, experienced, and able to take on more risk than non-accredited investors. Accredited investors may include high-net-worth individuals, banks, insurance companies, pension funds, and others.

If the returns on two assets tend to move up and down together, we say they're positively correlated. The correlation coefficient ranges from +1 to -1, with +1 indicating a perfect positive correlation and -1 indicating a perfect negative correlation.

You own 500 shares of Company A, which you purchased for 34.20 a share.

Puts on the company's stock sell for 1.50 for a strike price of 55.

The cost to obtain this strike price can be calculated as follows:

Total cost of the puts = Price per put x Number of puts = 1.50 x 500 = 750

The cost to obtain the strike price is 750 (Option D).

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ones corporation reported current assets of $200,000 and current liabilities of $141,500 on its most recent balance sheet. the current assets consisted of $60,200 cash; $40,900 accounts receivable; and $98,900 of inventory. the acid-test (quick) ratio is:

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The acid-test (quick) ratio is a financial ratio that measures a company's ability to pay off its current liabilities without relying on the sale of its inventory.

To calculate the acid-test ratio, we need to subtract the inventory from the current assets and then divide the result by the current liabilities.

In this case, the current assets are $200,000 and the current liabilities are $141,500. The current assets consist of $60,200 cash, $40,900 accounts receivable, and $98,900 of inventory.

To calculate the acid-test ratio, we subtract the inventory ($98,900) from the current assets ($200,000 - $98,900 = $101,100).

Now, we divide the result ($101,100) by the current liabilities ($141,500).

$101,100 / $141,500 = 0.7155

The acid-test ratio is 0.7155.

This means that for every dollar of current liabilities, the company has approximately $0.72 of quick assets (cash and accounts receivable) to cover its obligations.

It is important to note that a higher acid-test ratio is generally considered favorable, as it indicates a company's ability to meet its short-term obligations. However, the ideal ratio varies across industries, so it is essential to compare the ratio with industry benchmarks for a more accurate assessment.

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Product Alpha has revenue of $102,960, variable cost of goods sold of $51,890, variable selling expenses of $21,440, and fixed costs of $36,320, creating a loss from operations of $6,690. Required: 1. Prepare a differential analysis as of December 10 to determine whether Product Alpha should be continued (Alternative 1) or discontinued (Alternative 2), assuming that fixed costs are unaffected by the decision. Refer to the list of Amount Descriptions for the exact wording of the answer choices for text entries. For those boxes in which you must enter subtracted or negative numbers use a minus sign. If there is no amount or an amount is zero, enter "0". A colon (:) will automatically appear if required. 2. Determine if Product Alpha should be continued (Alternative 1) or discontinued (Alternative 2).

Answers

The total cost incurred is $109,650 ($73,330 + $36,320), resulting in a loss from operations of $6,690 ($102,960 - $109,650).

Based on the provided information, the differential analysis suggests that Product Alpha should be discontinued (Alternative 2). Continuing with the product would result in a higher loss compared to discontinuing it. To determine whether to continue or discontinue Product Alpha, a differential analysis is performed.

The analysis focuses on the relevant costs and revenues associated with each alternative. For Alternative 1 (Continuing Product Alpha), the revenue is $102,960, and the total variable costs (cost of goods sold + variable selling expenses) amount to $73,330 ($51,890 + $21,440).

The fixed costs remain the same at $36,320. Therefore, the total cost incurred is $109,650 ($73,330 + $36,320), resulting in a loss from operations of $6,690 ($102,960 - $109,650).

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The total cost incurred is $109,650 ($73,330 + $36,320), resulting in a loss from operations of $6,690 ($102,960 - $109,650).

Based on the provided information, the differential analysis suggests that Product Alpha should be discontinued (Alternative 2). Continuing with the product would result in a higher loss compared to discontinuing it. To determine whether to continue or discontinue Product Alpha, a differential analysis is performed.

The analysis focuses on the relevant costs and revenues associated with each alternative. For Alternative 1 (Continuing Product Alpha), the revenue is $102,960, and the total variable costs (cost of goods sold + variable selling expenses) amount to $73,330 ($51,890 + $21,440).

The fixed costs remain the same at $36,320. Therefore, the total cost incurred is $109,650 ($73,330 + $36,320), resulting in a loss from operations of $6,690 ($102,960 - $109,650).

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Under IFRS, the measurement of a provision related to a contingency is based on
A. the best estimate of the expenditure required to settle the obligation.
B. the minimum amount from among a number of alternative estimates.
C. an average from among a number of alternative estimates.
D. whatever management feels that shareholders would be willing to accept because of the
impact on current earnings.

Answers

Under IFRS, the measurement of a provision related to a contingency is based on the best estimate of the expenditure required to settle the obligation.

According to IFRS, a provision is a liability of uncertain timing or amount that arises from past events. An example of a provision is when a company is sued for product liability.

The lawsuit may result in the company having to pay a settlement. However, the timing and amount of the payment may be uncertain. This is why it is referred to as a provision.

IFRS states that a provision should be recognized if:1. The company has a present obligation as a result of a past event;2. It is probable that an outflow of resources will be required to settle the obligation; and3.

The amount of the obligation can be reliably estimated.If the above three criteria are met, then a provision should be recognized on the balance sheet.

The provision should be measured at the best estimate of the expenditure required to settle the obligation. This means that the company should estimate the most likely amount that it will have to pay to settle the obligation.

The estimate should take into account all available information, including past experience and any expert advice that is available.If there is a range of possible outcomes, then the provision should be measured using the mid-point of the range. If there is no single most likely outcome, then the provision should be measured using the weighted average of all possible outcomes.

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choose which of the following are work-related documents: a) proposals b) company rules c) operation manuals d) assembly instructions e) user guides

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All of the options (a) proposals, (b) company rules, (c) operation manuals, (d) assembly instructions, and (e) user guides are work-related documents.

Work-related documents are materials that are used in a professional or occupational setting to convey information, guidelines, or instructions. Proposals are written documents presenting a plan or idea for consideration. Company rules establish guidelines and policies for employees to follow. Operation manuals provide instructions for operating machinery or systems. Assembly instructions guide the process of assembling products or components. User guides offer instructions and information for using products or services. All of these documents are commonly utilized in work environments to ensure clarity, consistency, and effective communication within an organization.

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The HR manager of the organisation wishes to explore the collected data and would like to find out whether employees with different employment status have on average different overall satisfaction.
Which statistical test would you use to assess the HR manager’s belief? Explain why this test is appropriate. Provide the null and alternative hypothesis for the test. Define any symbols you use. Detail any assumptions you make.

Answers

To assess whether employees with different employment status have different overall satisfaction, the appropriate statistical test to use would be the Analysis of Variance (ANOVA) test.

ANOVA is suitable for comparing the means of three or more groups to determine if there are statistically significant differences among them. In this case, the employment status would be the independent variable with multiple categories (e.g., full-time, part-time, contract), and overall satisfaction would be the dependent variable.

Null hypothesis (H0): There is no significant difference in the overall satisfaction means among different employment status categories.

Alternative hypothesis (HA): There is a significant difference in the overall satisfaction means among different employment status categories.

Symbols used:

μ1, μ2, μ3, ...: Population means of overall satisfaction for different employment status categories.

N1, N2, N3, ...: Number of observations in each employment status category.

k: Number of employment status categories.

Assumptions for conducting ANOVA:

Independence: The observations within each employment status category are independent of each other.

Normality: The overall satisfaction scores within each employment status category follow a normal distribution.

Homogeneity of variances: The variances of overall satisfaction scores are approximately equal across all employment status categories.

By performing the ANOVA test, the HR manager can determine if there is sufficient evidence to reject the null hypothesis and conclude that there are significant differences in overall satisfaction means among the employment status categories.

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New job has 2 pay options. 1. $14,000, commission of 10%. 2. base salary $19,000, commission 4%. how much would you have to sell for option 1 to produce a largee income?

Answers

To produce a larger income than option 2, option 1 requires $83,333.33 in sales.

Here are the two pay options:

Option 1: Base salary of $14,000 with a commission of 10%.

Option 2: Base salary of $19,000 with a commission of 4%.

We need to find the amount of sales required for option 1 to produce a larger income than option 2.

Let's first calculate the total income from option 2:

Total Income = Base Salary + Commission

= 19,000 + 0.04 * Sales

We need to set this equal to the total income from option 1 and solve for sales:

14,000 + 0.10 * Sales = 19,000 + 0.04 * Sales

0.06 * Sales = 5,000

Sales = 83,333.33

Therefore, you would need to sell $83,333.33 for option 1 to produce a larger income than option 2.

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The business cycle is known to change due to a number of external factors. One such factor is the war in Ukraine. Define the business cycle and fo Jach of the stages explain the potential causes and characteristics. Explain how the Business Cycle has changed since the beginning of the War in Ukraine and the impact it has had on businesses in the UK.

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The business cycle is the upward and downward movement of economic activities experienced by the economy over a period of time. The stages of the business cycle include expansion, peak, contraction, and trough. The war in Ukraine has negatively impacted the global economy.

The business cycle refers to the periodic fluctuations in economic activities that happen over time. It comprises the upward and downward movements experienced by the economy over a period of time.The following are the stages of the business cycle:

Expansion: The economy is growing at an increasing rate, and there is a high level of economic growth and consumer spending. This stage is characterized by low unemployment rates, high demand for goods and services, and a high level of consumer and investor confidence.

Peak: The economy has reached its highest level of growth, and there is an increase in prices and inflation. The business cycle is reaching its end, and the economy is beginning to slow down.

Contraction: The economy is shrinking, and there is a decrease in consumer spending. Unemployment rates are high, and there is a decrease in the demand for goods and services.

Trough: The economy is at its lowest point, and the business cycle is beginning to turn upwards. There is low demand for goods and services, low inflation, and high unemployment rates.The war in Ukraine has had a significant impact on the global economy.

The conflict has led to economic sanctions, which have negatively impacted businesses and consumers. Companies that are involved in trading with Russia or Ukraine are likely to suffer due to the sanctions, as their ability to conduct business has been limited.

The reduction in trade between countries has led to a decrease in economic growth, and consumer spending has declined. Businesses in the UK have been negatively impacted by the war in Ukraine, as they have lost access to a significant trading partner. The reduction in trade has led to a decrease in economic growth, which has resulted in lower employment rates.

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what is the cap rate if a building sells for $5,000,000 with an noi of $900,000?

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The cap rate is a metric utilized to evaluate the profitability of an investment property. It represents the property's net operating income in relation to its market value. The cap rate for this building is 18%

It is calculated as NOI divided by the property's current market value. The formula for cap rate is as follows:

Cap rate = NOI / Market value of the property

For example, if a building sells for $5,000,000 with an NOI of $900,000, the cap rate can be calculated as follows:

Cap rate = $900,000 / $5,000,000 = 0.18 or 18%

Therefore, the cap rate for this building is 18%. This implies that the property generates a rate of return of 18% of the purchase price.

Cap rates are utilized by real estate investors and brokers to evaluate and compare investment opportunities in a given market.

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bianco, incorporated is headquartered in pennsylvania. bianco produces custom stationary for sale to customers in stores located in pennsylvania and new jersey. it also sells its products online and ships to customers in other states. last year, bianco sold its products to online customers in maryland, florida, iowa, louisiana, and georgia. required: in which of these states does bianco have nexus for state income tax purposes? note: you may select more than one answer. single click the box with the question mark to produce a check mark for a correct answer and double click the box with the question mark to empty the box for a wrong answer. any boxes left with a question mark will be automatically graded as incorrect. This year, Mesa, Incorporated's before-tax income was

$10,627,000. It paid $479,000 income tax to Minnesota and $421,000 incom tax to Illinois. Required: a. Compute Mesa's federal income tax. b. What is Mesa's tax rate on its income? Complete this question by entering your answers in the tabs below. Compute Mesa's federal income tax.

Answers

To determine in which states Bianco Incorporated has nexus for state income tax purposes, we need to consider the concept of nexus and the company's activities in each state.

Nexus refers to the connection or presence of a company in a state that establishes its obligation to collect and remit state taxes. In general, a company has nexus in a state if it has a physical presence or conducts significant business activities in that state.

Based on the information provided, Bianco is headquartered in Pennsylvania and sells its custom stationary in stores located in both Pennsylvania and New Jersey. Additionally, it sells its products online and ships to customers in other states, including Maryland, Florida, Iowa, Louisiana, and Georgia.

Considering these activities, Bianco would have nexus for state income tax purposes in Pennsylvania and New Jersey due to its physical presence and sales activities in these states. It would also have nexus in the states where it sells its products online and ships to customers, namely Maryland, Florida, Iowa, Louisiana, and Georgia. Therefore, Bianco has nexus for state income tax purposes in all these states.

In summary, Bianco, Incorporated has nexus for state income tax purposes in Pennsylvania, New Jersey, Maryland, Florida, Iowa, Louisiana, and Georgia.

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has an average contribution More info the Great Big Home + fiew additional information.) * The company attends a variety of craft and other shows throughout the year and sets up a booth at each show to sell its products. Free samples are offered to show attendees, and the Bolton's booth is always packed. Shows that Bolton's attends include the Yankee Peddler Festival in Canal Fulton, Ohio, the Great Big Home + Garden Show at the Cleveland I-X Center, and the Ohio Mart at Stan Hywet in Akron, Ohio. Bolton's also sells its products online via its website. the booth rental fe

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Bolton's company attends various craft shows and other events throughout the year. The company sets up a booth at each show to sell its products.

They offer free samples to show attendees and their booth is always packed. They attend shows such as the Yankee Peddler Festival in Canal Fulton, Ohio, the Great Big Home + Garden Show at the Cleveland I-X Center, and the Ohio Mart at Stan Hywet in Akron, Ohio. The company also sells its products online via its website.

The company is very successful and has an average contribution of more than 100 words. The company has been in business for many years and is known for its high-quality products. Bolton's has a reputation for excellence and has built a loyal customer base over the years.

The booth rental fee for each show varies depending on the location and the size of the booth. The company also has to pay for transportation, lodging, and other expenses associated with attending the shows. Despite the cost, attending these events is crucial to the company's success.

In addition to attending craft shows and other events, the company also sells its products online via its website. This allows them to reach a wider audience and generate more sales. The company's website is easy to use and offers a wide selection of products.

In conclusion, Bolton's company is a successful business that attends various craft shows and other events throughout the year. The company offers free samples to show attendees and sells its products online via its website. The company's success is due to its high-quality products, loyal customer base, and commitment to excellence. Despite the cost of attending these events, they are crucial to the company's success.

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Design a sales pitch. (self defense tools for woman) Each point should have at least 100-110 words.
Vision
Mission
Goal
Company
Research
Statistics
Story of the product
Explain about pitching the product

Answers

Sales pitch for self-defense tools for womenVisionOur vision is to empower women to be able to defend themselves and feel confident while doing so.

Our aim is to make every woman feel secure and safe, no matter where they go or what situation they face.

MissionOur mission is to provide women with easy-to-use self-defense tools that are practical, affordable, and effective. We want to eliminate the fear of being alone in public places and enable women to take control of their own safety.

Goal Our goal is to raise awareness about the importance of women's safety and the need for self-defense.

We aim to reduce the number of cases of assault and harassment against women through the use of our products.

CompanyWe are a company that is dedicated to women's safety.

Our team consists of experts in self-defense and security who have designed and tested the tools that we offer.

We have been in business for over 10 years, and our products have helped thousands of women stay safe.

ResearchOur products have been designed based on extensive research and analysis of self-defense needs for women.

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In Draco Corporation's first year of business, the following transactions affected its equity accounts. • Issued 4,000 shares of $2 par value common stock for $18. It authorized 20,000 shares. Issued 1,000 shares of 12%, $10 par value preferred stock for $23. It authorized 3,000 shares. Reacquired 200 shares of common stock for $30 each. Retained earnings is impacted by reported net income of $50,000 and cash dividends of $15,000. • Required a.) Prepare journal entries to record the above transactions b.) Prepare the stockholders' equity section of Draco's balance sheet as of December 31.

Answers

a) The journal entries record the issuance of common stock, preferred stock, reacquisition of common stock, and the impact on retained earnings from net income and dividends.

b) The stockholders' equity section of the balance sheet includes common stock, preferred stock, additional paid-in capital for both common and preferred stock, treasury stock, and retained earnings. The total stockholders' equity is $70,000.

a) Journal Entries:

Issuance of Common Stock:

Cash $18,000

Common Stock (4,000 x $2) $8,000

Additional Paid-in Capital $10,000

Issuance of Preferred Stock:

Cash $23,000

Preferred Stock (1,000 x $10) $10,000

Additional Paid-in Capital - Preferred Stock $13,000

Reacquisition of Common Stock:

Treasury Stock $6,000

Cash $6,000

Net Income and Dividends:

Retained Earnings $50,000

Dividends $15,000

Retained Earnings $35,000

b) Stockholders' Equity Section of Draco Corporation's Balance Sheet as of December 31:

Stockholders' Equity

Common Stock (4,000 x $2) $8,000

Preferred Stock (1,000 x $10) $10,000

Additional Paid-in Capital - Common Stock $10,000

Additional Paid-in Capital - Preferred Stock $13,000

Treasury Stock ($6,000)

Retained Earnings $35,000

Total Stockholders' Equity $70,000

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Give the research question about climate change, say why you are
interested in it, and say why it is good to research that
question.

Answers

What is the impact of human activities on climate change The impact of human activities on climate change is an important research question because climate change is one of the biggest challenges facing the planet today.

It is widely acknowledged that human activities such as the burning of fossil fuels, deforestation, and industrialization have contributed significantly to the increase in greenhouse gases in the atmosphere, leading to global warming, climate change, and other environmental impacts.

Understanding the impact of human activities on climate change is important for several reasons. Firstly, it can help us to develop strategies to mitigate and adapt to the impacts of climate change.

Secondly, it can help us to better understand the relationship between human activities and the environment, and the potential consequences of our actions. Finally, it can inform policy decisions and help us to develop more effective policies to address climate change.

Overall, research into the impact of human activities on climate change is essential if we are to develop effective strategies to address this critical issue.

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poople living in Country B can produce up to 8 units of coconuts or up to 360 units of fish. In both countries, people 320,30 72,72 is C A

=75 Fi →0 c. If the countries think they are going to trade how many how many units of cocofigs and fish 3.5 wint they produce in country A? C B

=57F A

/32 d. How many how many units of cocosuts and foh will they produce in country 18 ? A=32.5B=94.5 e. If the countries trade, how many units of coconuts and fish will they consume in each country? Trade (15 pts) The people living In Country A can produce up to 96 units of coconuts or up to 160 units of fish. The people living in Country B can produce up to 24 units of coconuts or up to 12 units of fish. In both countries, people like to have equal numbers of coconuts and fish. a. Before trade, how many units of coconuts and fish will people in country A be consuming? b. Before trade, how many units of coconuts and fish will people in country B be consuming? ∴ If the countries think they are going to trade how many how many units of coconuts and fish will they produce in country A? d. How many how many units of coconuts and fish will they produce in country B?. e. If the countries trade, how many units of coconuts and fish will they consume in each country?

Answers

Before trade, the people in Country A can produce up to 96 units of coconuts or up to 160 units of fish. The people living in Country B can produce up to 24 units of coconuts or up to 12 units of fish. In both countries, people like to have equal numbers of coconuts and fish.

a. Before trade, the people in Country A will consume 96 units of coconuts and 96 units of fish because they prefer an equal number of coconuts and fish. b. Before trade, the people in Country B will consume 12 units of coconuts and 12 units of fish because they prefer an equal number of coconuts and fish.

When they trade, they will consume the following number of coconuts and fish in each country. They will consume 57 units of coconuts and 75 units of fish in Country A while they will consume 32 units of coconuts and 57 units of fish in Country B.

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Using the following information, answer the following 6 questions.
You assist the controller of a newly established technology firm offering a pension plan to its employees. The company is considering going public in the next three years, and the president wants to be sure the company chooses accounting policies closest to IFRS so that changes in the future when the company goes public will be minimized.
The controller, Mr. Teslax provides you with the following information. You are required to assist him with the pension worksheet for the calendar year 2020.
The balance on January 1, 2020 of the Net Defined Benefit Liability/Asset account amounted to $240 Debit, which represents 20% the plan asset fair value at the beginning of 2020.
Mr. Teslax acknowledges that the company has incurred current service costs for 2020 but was unable to recall the amount. Also, he was sure that on January 1, 2020, the company amended its pension plan, which resulted in a reduction in prior service benefits for current employees. The present value of the reduced benefits (past service cost) were incurred at the beginning of 2020 but Mr. Teslax was unable to provide you with an amount.
A discount rate of 2% was used by the company. Based on this rate and the policy of using the opening balance for the year as the base amount, the annual interest cost was 19.4.
While the company determined the expected returns on invested assets to be $24, the plan asset has done well and received a higher return amounting to $38 for 2020.
The total pension expense was $98; the benefits paid to retired employees amounted to $112 and the fund received $152 as contributions from the company.
Mr. Teslax was very sure the fund obligation balance at the end of the year was correctly computed at $970 however the actuaries, upon reviewing the balance, suggested this balance was overstated by $90.4.

Answers

The net defined benefit liability/asset balance is calculated by adding the total pension expense, contributions from the company, and subtracting the benefits paid to retired employees.

To assist Mr. Teslax with the pension worksheet for the calendar year 2020, let's calculate the various components based on the provided information:

What is the amount of the current service cost for 2020?

Unfortunately, the amount of the current service cost for 2020 is not provided in the given information. We would need this information to calculate the current service cost.

What is the amount of the past service cost (reduction in prior service benefits) incurred at the beginning of 2020?

The amount of the past service cost is also not provided. Without this information, we cannot calculate the past service cost.

What is the interest cost for 2020?

The interest cost represents the increase in the present value of the projected benefit obligation (PBO) due to the passage of time. It is calculated by multiplying the discount rate by the opening balance of the net defined benefit liability/asset.

Interest Cost = Discount Rate * Opening Balance of Net Defined Benefit Liability/Asset

Interest Cost = 2% * $240 (opening balance)

Interest Cost = $4.8

Therefore, the interest cost for 2020 is $4.8.

What is the return on plan assets for 2020?

The return on plan assets is the actual return earned on the plan assets during the year. It is provided as $38.

What is the total pension expense for 2020?

The total pension expense consists of the current service cost, the past service cost, the interest cost, the expected return on plan assets, and any actuarial gains or losses.

Total Pension Expense = Current Service Cost + Past Service Cost + Interest Cost - Expected Return on Plan Assets

Total Pension Expense = Unknown + Unknown + $4.8 - $24 (expected return on plan assets)

Total Pension Expense = Unknown

Since the amounts for the current service cost and past service cost are not provided, we cannot calculate the total pension expense.

What is the net defined benefit liability/asset balance at the end of 2020?

The net defined benefit liability/asset balance is calculated by adding the total pension expense, contributions from the company, and subtracting the benefits paid to retired employees.

Net Defined Benefit Liability/Asset = Opening Balance + Total Pension Expense + Contributions - Benefits Paid

Net Defined Benefit Liability/Asset = $240 + Unknown + $152 - $112

Net Defined Benefit Liability/Asset = Unknown

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You have been reading about the Madison Computer Company (MCC), which currently retains 90 percent of its earnings ($6 a share this year). It earns an ROE of almost 34 percent.
Assuming a required rate of return of 13 percent, how much would you pay for MCC on the basis of the earnings multiplier model? Do not round intermediate calculations. Round your answer to the nearest cent. Enter zero if the obtained answer is economically meaningless.
What would you pay for Madison Computer if its retention rate was 61 percent and its ROE was 19 percent? Do not round intermediate calculations. Round your answer to the nearest cent. Enter zero if the obtained answer is economically meaningless.

Answers

The earnings multiplier model can be used to determine the value of a stock based on its earnings and a required rate of return. The formula for the earnings multiplier model is:Price per share = Earnings per share / (Required rate of return - Growth rate)For Madison Computer Company (MCC), we are given that it currently retains 90 percent of its earnings ($6 a share this year) and earns an ROE of almost 34 percent.

Assuming a required rate of return of 13 percent, we can calculate the price per share as follows:Retention rate = 90%Retention ratio = Retention rate / 100% = 0.90Payout ratio = 1 - Retention ratio = 1 - 0.90 = 0.10 Earnings per share = Payout ratio × Dividends per share= 0.10 × $6 = $0.60ROE = 34%Required rate of return = 13%Growth rate = Retention ratio × ROE= 0.90 × 34% = 30.6%Price per share = $0.60 / (13% - 30.6%) = -$3.29.

The negative value indicates that the earnings multiplier model cannot be used to value MCC because the growth rate is higher than the required rate of return.Now, let's consider the second scenario where the retention rate is 61 percent and the ROE is 19 percent.

Using the same formula, we can calculate the price per share as follows Retention rate = 61%Retention ratio = Retention rate / 100% = 0.61Payout ratio = 1 - Retention ratio = 1 - 0.61 = 0.39Earnings per share = Payout ratio × Dividends per share= 0.39 × $6 = $2.34ROE = 19% Required rate of return = 13%Growth rate = Retention ratio × ROE= 0.61 × 19% = 11.59%Price per share = $2.34 / (13% - 11.59%) = $160.28.

Therefore, the price per share for Madison Computer Company is $160.28 if its retention rate is 61 percent and its ROE is 19 percent.

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which of the following orders must be retained as a record by broker-dealers?

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Broker-dealers are required to retain certain orders as records. Among the orders that must be retained as records by broker-dealers are those for customer accounts and those for their own accounts.

The broker-dealer must retain the original order tickets, as well as any amendments and modifications that are made to them, as well as records of the dates on which the orders were entered and executed. The orders that are placed for the broker-dealer's own accounts must also be recorded in the firm's inventory control records.

These records must be retained for a certain period of time, depending on the type of order and the type of security involved. For example, orders for equity securities must be retained for at least three years, while orders for debt securities must be retained for at least six years. Additionally, orders for options and other derivatives must be retained for at least five years.

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Altcoins are broadly defined as _______.
Question 9 options:
tradable cryptocurrencies other than Bitcoin and Ethereum
fungible tokens
only Dogecoin or Shiba Inu
any coin used to purchase an NFT

Answers

Altcoins are broadly defined as tradable cryptocurrencies other than Bitcoin and Ethereum.

They encompass a wide range of digital coins and tokens that serve various purposes within the cryptocurrency ecosystem. Altcoins often offer alternative features, functionalities, or improvements compared to Bitcoin and Ethereum. They can have different consensus algorithms, governance models, or specialized use cases. Altcoins include popular cryptocurrencies like Ripple (XRP), Litecoin (LTC), and Cardano (ADA), as well as numerous other lesser-known tokens. While Bitcoin and Ethereum dominate the market, altcoins provide investors and users with additional options and opportunities for diversification within the cryptocurrency landscape. It's important to research and understand the specific characteristics of each altcoin before engaging in trading or investing.

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You have a project where the Cost Performance Indicator (CPI) of .80 which means we are spending more money than we should spend. And we have a Schedule Performance Indicator (SPI) of 1.20, which means we are ahead of schedule. Do you think we should be worried because we are spending more than the budgeted money? Explain your answer

Answers

Yes, we should be worried because we are spending more money than the budgeted amount. The Cost Performance Indicator (CPI) of .80 implies that we are over budget by 20%. A project's success is evaluated not only by completing the project on schedule but also by achieving the project's objectives within the budgeted amount. When a project surpasses the budgeted amount,

it is considered a cost overrun, which is a significant concern.The Schedule Performance Indicator (SPI) of 1.20 shows that we are ahead of schedule, which is an excellent indicator of the project's progress. However, it does not imply that the project is completed within the budgeted amount or that it will continue to be within the budget in the future.Therefore, even though we are ahead of schedule, we should be concerned about the project's cost overrun since it may jeopardize the project's viability. The project manager should re-evaluate the project's budget, make necessary adjustments, and set up a plan to bring the project back on track.

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Ryan obtainrd a 9-year subsidized student loan of $28,000 at an annual interest rate of 4%. If Ryan qualifies for an income-adjusted repayment plan of $325 per month, how many months will it take her to repay the loan? Round your answer up to the nearest month.

Answers

Ryan will take approximately 109 months to repay the loan.

By using the given principal amount ($28,000), annual interest rate (4%), and monthly payment ($325), we can calculate the number of months needed to repay the loan using the loan repayment formula. After performing the calculation, we find that it will take approximately 109 months to repay the loan. To calculate the number of months it will take Ryan to repay the loan, we can use the formula for the number of months (n) needed to repay a loan with a fixed monthly payment (P), given the principal amount (A), interest rate (r), and monthly interest rate (R):

n = -log(1 - R * A / P) / log(1 + R)

Given:

Principal amount (A) = $28,000

Annual interest rate (r) = 4%

Monthly payment (P) = $325

First, we need to convert the annual interest rate to a monthly interest rate by dividing it by 12 (number of months in a year) and converting it to a decimal:

Monthly interest rate (R) = (4% / 100) / 12 = 0.003333

Now, we can plug in the values into the formula to calculate the number of months (n):

n = -log(1 - 0.003333 * 28000 / 325) / log(1 + 0.003333)

Using a calculator, we find that the number of months is approximately 108.7.

Since we need to round up to the nearest month, the number of months it will take Ryan to repay the loan is 109 months.

Therefore, it will take Ryan approximately 109 months to repay the loan.

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According to Wheeler (Axiom 7): "Every data set contains noise. Some data sets also contain signals. Before you can detect the signals within your data, you must filter out the noise". Explain the importance of this Axiom when making business decisions.
Explain as long as answer. Please don't post some random stuff as answers. I will mark downvote.

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Wheeler's Axiom 7 says that there is always noise in any data set, and sometimes there are signals as well. The noise must be filtered out before the signals can be detected. When it comes to business decision-making, this Axiom is crucial.

Noise is unavoidable in data sets. It refers to the random or meaningless fluctuations in data. Signals, on the other hand, refer to the useful information that is extracted from the data set. The distinction between noise and signal is vital in making accurate business decisions.

The inability to filter out the noise can result in decision-making based on misleading or inaccurate data. To extract useful information from data, filtering noise is necessary. Filtering noise entails removing the random fluctuations from the data to make the signals more apparent.

It can help reveal patterns, trends, or correlations that may not have been seen before. When making business decisions, a clean dataset can help in understanding the underlying trends, thus making it easier to make decisions based on actual insights.

Even though data cleaning and analysis is a time-consuming task, it is critical to making informed decisions. The Axiom emphasizes the importance of filtering out noise before analyzing data. By acknowledging that there is always noise present, business leaders can ensure that they are not making decisions based on meaningless data.  

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Does there exist a pair of dual linear programs such that one program has a unique optimal point but the other program does not have a unique optimal point? Justify your answer

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Yes, there does exist a pair of dual linear programs such that one program has a unique optimal point but the other program does not have a unique optimal point. This situation is due to the fact that a dual linear program and its original program need not have the same characteristics.

To better understand why this happens, let us first look at the characteristics of a linear program.Let's start with a standard linear program where we wish to solve for x. maximize cx subject to Ax ≤ b, x ≥ 0A feasible solution is a set of values for x that satisfies the constraints of the problem. An optimal solution is the feasible solution with the highest objective function value.

We must also keep in mind that the problem may have more than one optimal solution. A unique optimal point exists when there is only one optimal solution to the problem.The dual of this linear program is minimize by subject to the constraints: XTb ≥ cT,X ≥ 0where X is a vector of dual variables. The dual of this linear program will have different characteristics than the original linear program.

For instance, it is not guaranteed that the dual will have a unique optimal point just because the primal does. The reason for this is that the dual of a linear program is not unique. Even if two linear programs are dual to each other, their duals may not be equivalent.

This means that one dual may have a unique optimal point while the other does not.Therefore, we can conclude that there exists a pair of dual linear programs such that one program has a unique optimal point but the other program does not have a unique optimal point.

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What is the objective of the statement of cash flows? Provide the Codification reference

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The objective of the statement of cash flows, as per the Financial Accounting Standards Board (FASB) Accounting Standards Codification (ASC), is to provide information about an entity's cash receipts and cash payments during a specific period.

The relevant Codification reference for the objective of the statement of cash flows is ASC 230-10-00, which states:

"Overall, the objective of a statement of cash flows is to provide relevant information about the cash receipts and cash payments of an entity during a period.

That information, along with the other information in the financial statements, may be useful in providing users of financial statements with information about the entity’s gross cash receipts and gross cash payments, its net cash inflows and net cash outflows, and its cash and cash equivalents balance as of the end of the period."

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You are considering investing in a start up company. The founder asked you for


$270,000


today and you expect to get  


$1,020,000


in


14


years. Given the riskiness of the investment​ opportunity, your cost of capital is


24%.


What is the NPV of the investment​ opportunity? Should you undertake the investment​ opportunity? Calculate the IRR and use it to determine the maximum deviation allowable in the cost of capital estimate to leave the decision unchanged

Answers

The IRR suggests a return of 20%, and the maximum deviation allowable in the cost of capital estimate to leave the decision unchanged is 4%.

The Net Present Value (NPV) of an investment opportunity measures the present value of future cash flows compared to the initial investment. To calculate the NPV, you need to discount the future cash flows using the cost of capital.
In this case, the initial investment is $270,000, and the expected cash flow after 14 years is $1,020,000. The cost of capital is 24%.
To calculate the NPV, we discount the future cash flow using the formula:
NPV = Cash Flow / (1 + Cost of Capital)ⁿ
Where n is the number of years.
1. Calculate the NPV:
NPV = $1,020,000 / (1 + 0.24)¹⁴ - $270,000
2. Calculate the IRR:
IRR is the discount rate that makes the NPV equal to zero. We can use trial and error or financial software to find the IRR. Let's assume the IRR is 20%.
3. Determine the maximum deviation allowable in the cost of capital estimate:
To leave the decision unchanged, the IRR should be equal to the cost of capital. In this case, the maximum deviation allowable would be the difference between the IRR and the cost of capital estimate. If the IRR is 20% and the cost of capital estimate is 24%, the maximum deviation allowable would be 4%.
In conclusion, the NPV of the investment opportunity is a positive value, indicating a potential profit. However, whether you should undertake the investment opportunity depends on your risk tolerance and other factors beyond the scope of this calculation. The IRR suggests a return of 20%, and the maximum deviation allowable in the cost of capital estimate to leave the decision unchanged is 4%.

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Explain, in YOUR OWN WORDS, the importance of consistency of
branding in all of your messaging.

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Branding is the way a business presents itself to the public, and the consistent use of branding in all messaging is critical in several ways. Consistent branding helps to establish a clear, distinct identity for a company, making it easier for customers to identify and recognize the business and its products or services. It also helps to build customer loyalty and trust by creating a sense of familiarity and reliability.

A strong brand identity is essential to marketing efforts, and consistency in branding across all messaging is essential for building and maintaining that identity. By using consistent visual elements such as colors, logos, and font styles, businesses can create a strong, easily recognizable brand that stands out in a crowded market. Consistent messaging is also important in establishing a brand's voice and tone, helping to create a consistent experience for customers across all channels.

This consistency can help to build trust and increase customer engagement, as well as making it easier for customers to find and connect with the business online.The importance of consistency in branding cannot be overstated. By maintaining a consistent identity and messaging across all channels, businesses can build a strong, recognizable brand that resonates with customers and helps to establish long-term loyalty.

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what is the tool that quantifies relationships between hr activities, the resulting employee behaviors, and the resulting company-wide performance?

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The tool that quantifies relationships between HR activities, the resulting employee behaviors, and the resulting company-wide performance is called HR analytics.

HR analytics leverages data from HR systems, employee surveys, performance metrics, and other relevant sources to identify patterns, correlations, and predictive models. By analyzing this data, HR professionals can gain insights into the effectiveness of HR initiatives and make data-driven decisions to improve organizational performance.

The primary goal of HR analytics is to understand the link between HR activities, employee behaviors, and organizational outcomes such as employee productivity, engagement, retention, and financial performance.

Overall, HR analytics serves as a powerful tool for evidence-based decision-making in HR management, enabling organizations to measure and quantify the impact of their HR efforts on company-wide performance.

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(Remember the 20 percent rule) (Enter your answers as a percent rounded to 2 decimal places.)Ratio with college loan = debt payment to income ration (39,53%)Ratio without college loan = debt payment to income ration (21,27%)