Modern Living Furniture manufactures a small table and a large table. The small table sells for $1,000, has variable costs of $560 per table, and takes 10 direct labor hours to manufacture. The large table sells for $1,700, has variable costs of $970, and takes eight direct labor hours to manufacture. The company has a maximum of 5,000 direct labor hours per month when operating at full capacity. If there are no constraints on sales of either of the products and the company could choose any proportions of product mix that they wanted, the maximum contribution margin that the company could earn will be O A. $456,250 O B. $606,250 OC. $1,668,750 OD. $1,062,500

Answers

Answer 1

The maximum contribution margin Modern Living Furniture can earn when operating at full capacity is $1,062,500.

To determine the maximum contribution margin, we need to calculate the contribution margin per unit for each product and find the optimal product mix.

For the small table:

Contribution margin per unit = Selling price - Variable cost = $1,000 - $560 = $440

For the large table:

Contribution margin per unit = Selling price - Variable cost = $1,700 - $970 = $730

Since the direct labor hours are limited to 5,000 per month, we need to calculate the number of units that can be produced for each product:

Number of small tables = 5,000 labor hours / 10 labor hours per small table = 500 tables

Number of large tables = 5,000 labor hours / 8 labor hours per large table = 625 tables

Now we can calculate the maximum contribution margin:

Contribution margin from small tables = $440 * 500 = $220,000

Contribution margin from large tables = $730 * 625 = $456,250

Total maximum contribution margin = $220,000 + $456,250 = $676,250

Therefore, the correct answer is option OD. $1,062,500.

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Related Questions

Total Quality Management (TQM) is a concept that was developed in Japan. When implemented correctly, the system can improve an organisation's reputation. Windhoek Car Manufacturers ("WCM") is a newly established car manufacturing company in Namibia. The following information has been collected for the company from the most recent quarter and the directors are keen to penetrate the car manufacturing business through building a strong reputation.

Answers

Implementing TQM can help WCM in Namibia build a strong reputation by ensuring high-quality, reliable, and safe vehicles, differentiating itself in the auto manufacturing industry.

The goal of total quality management (TQM), a management strategy, is to continuously raise the standard of an organization's goods, services, and operations. Windhoek Car Manufacturers (WCM) in Namibia may establish a solid reputation in the auto manufacturing industry by implementing TQM. WCM can make sure that its cars meet or exceed customer expectations by putting a strong emphasis on quality control, customer satisfaction, and ongoing improvement. This dedication to excellence will improve the business's reputation and inspire clients' confidence and trust. By continuously providing high-quality, dependable, and safe automobiles, WCM can set itself apart from rivals and develop a solid reputation and brand in Namibia's auto manufacturing sector.

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Distinguish between the Active style and Passive style Investing and provide your insight on which approach is appropriate considering different Investor profiles with different risk appetites. Use relevant examples to demonstrate your understanding of different strategies under active and passive investing.

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Active style investing is a strategy in which investors aim to outperform the market by investing in individual stocks, sectors, or asset classes. Passive style investing is a strategy in which investors aim to match the returns of the market as a whole by investing in a diversified portfolio of stocks.

Active style and Passive style Investing are the two major approaches to investing in the stock market.

Active investing strategies include:

1. Value Investing: This strategy involves buying undervalued stocks that are expected to appreciate in value over time. Value investors believe that the market sometimes undervalues stocks, providing opportunities to buy high-quality companies at a discount.

2. Growth Investing: Growth investors look for stocks that have the potential to grow at a faster rate than the overall market. They may invest in companies that have high earnings growth, expanding profit margins, or other positive attributes that suggest future growth.

3. Momentum Investing: Momentum investors buy stocks that have recently experienced positive momentum in the market. They believe that stocks that have been trending upward recently will continue to do so for some time.


Passive investing strategies include:

1. Index Investing: This strategy involves investing in an index fund or ETF that tracks a particular market index, such as the S&P 500. Index funds offer low fees and are highly diversified, which makes them an excellent choice for long-term investors.

2. Buy-and-Hold Investing: This strategy involves buying stocks and holding onto them for a long time, typically at least five years. This approach allows investors to benefit from the long-term growth of the stock market.

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The additional tax on excess contributions of $500 to a health savings account ( HSA) is
A. 0%
B. $30. which is 6% of $500
C $50 which is 10% of $500
D. $100 which is 20% of $500

Answers

The correct answer is: B. $30, which is 6% of $500. They serve as a valuable tool for individuals to build an emergency fund, save for short-term goals, and  accumulate wealth over time.

The additional tax on excess contributions to a health savings account (HSA) is 6% of the excess contribution amount. In this case, the excess contribution is $500. To calculate the additional tax, we can multiply the excess contribution by 6%: Additional tax = Excess contribution * 6%

Additional tax = $500 * 6% = $30

A savings account is a type of deposit account offered by banks and financial institutions. It is designed to help individuals and families save money while earning interest on their deposits. Savings accounts typically offer a lower interest rate compared to other investment options but provide greater security and easy access to funds. They are considered a safe and liquid form of saving, allowing account holders to deposit and withdraw money as needed. Savings accounts often come with features such as online banking, ATM access, and the ability to set up automatic transfers for regular savings.

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canadian adventures has earnings per share of $2.86 and dividends per share of $1.80. the total equity of the firm is $750,000. there are 38,000 shares of stock outstanding. what is the sustainable rate of growth? group of answer choices

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If canadian adventures has earnings per share of $2.86 and dividends per share of $1.80. The sustainable rate of growth for Canadian Adventures is 5.37%.

What is the Sustainable Rate of Growth?

First we need to calculate the retention ratio

Retention Ratio = (EPS - DPS) / EPS

Retention Ratio = ($2.86 - $1.80) / $2.86

Retention Ratio = $1.06 / $2.86

Retention Ratio ≈ 0.370

Next we need to calculate the return on equity (ROE)

ROE = Net Income / Total Equity

ROE = (EPS * Number of shares outstanding) / Total Equity

ROE = ($2.86 * 38,000) / $750,000

ROE ≈ 0.145

Now we can calculate the sustainable rate of growth

Sustainable Rate of Growth = Retention Ratio * Return on Equity

Sustainable Rate of Growth = 0.370 * 0.145

Sustainable Rate of Growth ≈ 0.0537

Sustainable Rate of Growth ≈ 5.37%

Therefore, the sustainable rate of growth for Canadian Adventures is 5.37%.

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list six aids to trade​

Answers

- Insurance
- Advertising
- Tourism
- Banking
- Regional Trade Agreements
- Communication

For self interest threat, self-review threat, self evaluation threat, familiarity threat and intimidation threat , suggest a safeguard that can be put in place to combat the threat identified.

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Safeguard: Implement independent and objective oversight mechanisms such as external audits or reviews to mitigate the threats of self-interest, self-review, self-evaluation, familiarity, and intimidation in decision-making processes.

By involving independent third parties to assess and validate decisions, organizations can ensure that biases, conflicts of interest, or undue influence are minimized. External audits or reviews provide an objective perspective, enhancing transparency and accountability. They reduce the risk of individuals acting in their own self-interest or exerting undue pressure on decision-makers. This safeguard helps maintain integrity and objectivity in the evaluation and decision-making processes, enhancing trust and mitigating the identified threats.

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which types of organizations might use a unified continuity plan? which types of organizations might use the various contingency planning components as separate plans? why?

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Organizations that operate in highly integrated and interconnected environments, where the functions of different departments or units are interdependent, may utilize a Unified Continuity Plan.

Unified Continuity Plan (UCP): Organizations that operate in highly integrated and interconnected environments, where the functions of different departments or units are interdependent, may utilize a Unified Continuity Plan. This includes complex organizations such as large corporations, government agencies, and multinational enterprises. A UCP integrates multiple contingency planning components into a single comprehensive plan, ensuring coordinated responses to various disruptions or crises.

Separate Contingency Planning Components: On the other hand, organizations that have relatively independent or distinct operational units or departments may opt for separate contingency planning components. This approach is common in organizations with decentralized structures, where different units or departments have unique functions and face specific risks. In such cases, separate plans for business continuity, IT disaster recovery, emergency response, and other contingencies allow for tailored strategies, resources, and actions that address the specific needs and vulnerabilities of each unit.

Implementing separate plans enables flexibility and customization, as different units may require specialized protocols and procedures. It allows the organization to focus on the specific risks and challenges faced by each department or unit, ensuring efficient response and recovery efforts without being hindered by the complexities of an integrated plan.

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Toan Incorporated uses a job-order costing system and its total manufacturing overhead applied always equals its total manufacturing overhead. In completed, or sold during the month. The job cost sheet for Job S80M shows the following costs: During the month, 4,000 completed units from job S80M were sold. The cost of goods sold for September is closest to:Please help. Confused.
A. 923,300
B. 1,056,000
C. 176,000
D. 176,120

Answers

the job cost sheet for Job S80M which shows that Direct materials cost were $80,000, Direct labor cost was $60,000 and the manufacturing overhead cost was $40,000.  the total job cost of S80M is $180,000.

4,000 completed units from Job S80M were sold during the month and Toan Incorporated uses a job-order costing system and its total manufacturing overhead applied always equals its total manufacturing overhead in completed or sold units.

The company's total manufacturing overhead for the month was $60,000. the predetermined overhead rate by dividing the total manufacturing overhead by the total number of units produced.

 the total number of units produced, we can add the 4,000 completed units from job S80M with the 2,000 units still in production which gives us a total of 6,000 units.

Predetermined overhead rate = Total manufacturing overhead/ Total number of units produced

= $60,000/6,000 units= $10 per unit

the cost of goods sold for September can be found as follows:

Cost of goods sold = Units sold x Unit cost

Unit cost = Direct materials cost + Direct labor cost + Manufacturing overhead cost per unit

= $80,000 + $60,000 + ($10 x 1 unit)

= $150,000/1,000 units

= $150 per unit

Units sold = 4,000 units

Cost of goods sold = 4,000 x $150= $<<4000*150=600000>>600,000

the closest option to the cost of goods sold for September is $1,056,000 which is option B.

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What is a major advantage of the fact that the Bank of Cotwhts is hanghy independent? Monetary policy is not subject to control by politicians Monetary policy cannot be changed once it has been completed. Monetary policy will always be coordinated with fiscal policy. Monetary policy is subject to regular ratification by parliamentary votes.

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A major advantage of the fact that the Bank of Cotwhts is hanghy independent is that Monetary policy is not subject to control by politicians.

The Bank of Cotwhts being independent means that it is not influenced by political affiliations. The bank has the mandate to implement monetary policies that will help stabilize the economy and control inflation. This advantage ensures that the monetary policies are not influenced by the government of the day, thus protecting them from the whims of politicians.

This results in economic policies that are less vulnerable to political pressure, ensuring the independence of monetary policy decisions made by the bank. It is a critical attribute as it ensures that the bank makes monetary decisions based on its mandate and not the whims of politicians.

Therefore, a major advantage of the fact that the Bank of Cotwhts is hanghy independent is that Monetary policy is not subject to control by politicians.

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The law of supply states there is a direct relationship between the price of x and the quantity of x, ceteris paribus,
Will the supply for product x increase, decrease or have no effect in the given economic circumstances?
1. increase in the number of buyers for product x:
2. Increase in the price of product x:

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An increase in the number of buyers for product x leads to an increase in the supply of product x. An increase in the price of product x leads to a decrease in the supply of product x.

The law of supply states there is a direct relationship between the price of x and the quantity of x, ceteris paribus. The supply for product x will increase and decrease or have no effect in the given economic circumstances discussed below:

1. Increase in the number of buyers for product x: If the number of buyers for product x increases, the demand for the product will increase, which will increase the equilibrium price and equilibrium quantity of the product. As a result, the quantity supplied of product x will increase to satisfy the demand, which will lead to an increase in the supply of product x. Therefore, an increase in the number of buyers for product x leads to an increase in the supply of product x.

2. Increase in the price of product x: If the price of product x increases, the quantity supplied of product x will increase, but the demand for the product will decrease. As a result, the equilibrium price and quantity of the product will decrease, which will lead to a decrease in the supply of product x. Therefore, an increase in the price of product x leads to a decrease in the supply of product x.

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An increase in the number of buyers for product x leads to an increase in the supply of product x. An increase in the price of product x leads to a decrease in the supply of product x.

The law of supply states there is a direct relationship between the price of x and the quantity of x, ceteris paribus. The supply for product x will increase and decrease or have no effect in the given economic circumstances discussed below:

1. Increase in the number of buyers for product x: If the number of buyers for product x increases, the demand for the product will increase, which will increase the equilibrium price and equilibrium quantity of the product. As a result, the quantity supplied of product x will increase to satisfy the demand, which will lead to an increase in the supply of product x. Therefore, an increase in the number of buyers for product x leads to an increase in the supply of product x.

2. Increase in the price of product x: If the price of product x increases, the quantity supplied of product x will increase, but the demand for the product will decrease. As a result, the equilibrium price and quantity of the product will decrease, which will lead to a decrease in the supply of product x. Therefore, an increase in the price of product x leads to a decrease in the supply of product x.

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Determine the amount of long-term debt for ABC Co. using the following balance sheet information: cash balance of $24,572. accounts payable of $94,988, common stock of $400,982, retained earnings of $500.541, inventory of $204,178, other assets equal to $77,328, net plant and equipment of $706,338, short-term notes payable of $30,000, and accounts receivable of $142,895. Long-Term Debt

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The amount of long-term debt for ABC Co. is not provided in the given information. based on the given balance sheet information, the amount of long-term debt for ABC Co. cannot be determined directly.

The provided information includes various financial figures such as cash balance, accounts payable, common stock, retained earnings, inventory, other assets, net plant and equipment, short-term notes payable, and accounts receivable. Long-term debt is not explicitly mentioned in this information. To determine the amount of long-term debt, additional details specific to long-term debt, such as bonds or loans payable over an extended period, would be required.

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Determine the amount of long-term debt for ABC Co. using the following balance sheet information: cash balance of $24,572. accounts payable of $94,988, common stock of $400,982, retained earnings of $500.541, inventory of $204,178, other assets equal to $77,328, net plant and equipment of $706,338, short-term notes payable of $30,000, and accounts receivable of $142,895. Long-Term Debt

If your oompany has an average collection period (ACP) of 45 days while the industry average is 52 days, then we can say that: Select one: a. Your company underperforms with respect to the industry b. Your company manages better the working capital compard to the industry. c. Your company manages wose the working capltal compard to the incustry d. Has nothing to do with working copital

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" Your company manages better the working capital compared to the industry." The correct option to this question is B.

If your company has an average collection period (ACP) of 45 days while the industry average is 52 days, then it means that the company is performing better than the industry regarding the working capital. The average collection period is a metric that is used in accounting to estimate the average number of days it takes a business to collect the amounts that are owed by its customers.This period is also known as the days' sales in accounts receivable.

A shorter ACP means that a company is collecting its accounts receivables faster. This helps a company to have more cash and cash equivalents on hand, which can be used for other activities, like investing or paying off debts.A longer ACP means that a company is collecting its accounts receivables more slowly.

This can negatively impact a company's liquidity. As a result, a shorter ACP is better for a company than a longer one.   The correct option to this question is B.

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WRITE THOUGHTS ON THESE TOPICS
1.EOQ,
2.Ordering Costs,
3.Holding costs,
times and
5. impact of inventory costs on management decisions

Answers

Expenses are incurred when a company makes an order from its supplier. Here are some thoughts on these topics:

1. EOQEOQ, which stands for Economic Order Quantity, is the optimal quantity of inventory that an organization should order to minimize total inventory costs. EOQ is calculated by balancing the ordering cost and holding cost of inventory.

2. Ordering Costs Ordering costs are the expenses incurred to create and submit an order for inventory. These costs might include the costs of paperwork, telephone calls, and shipment, among others. These expenses are incurred when a company makes an order from its supplier.

3. Holding Costs Holding costs are the expenses incurred to store or hold inventory until it is sold or used. These expenses might include the cost of storage space, insurance, theft, damage, and handling of goods.

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licensees are required to furnish to their clients, a copy of any document which the client has signed pertinent to a real estate transaction:

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A licensee is an individual authorized to carry out real estate transactions, such as buying, selling, or leasing property. The licensee is required to provide clients with a copy of any document signed regarding a real estate transaction.

The law requires licensees to keep records of their real estate transactions and to furnish their clients with a copy of any document that the client has signed relating to the transaction. Licensees must provide clients with all transaction-related documentation, whether it is a purchase agreement, a listing agreement, or a lease agreement, within a reasonable amount of time.

The documents must be complete and include all signatures and initials in their original form.Licensees have a fiduciary obligation to their clients to provide the highest level of care, loyalty, and confidentiality in their dealings. They must be honest and truthful in all their dealings, provide accurate and relevant information, and maintain confidentiality. Licensees should be knowledgeable about the properties and the communities .

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Pottery Corporation sells many of its pottery overseas. The following transaction took place
On April 13, Pottery sold pottery planters to a company in Spain for €40,000 with payment due on June 15.
Also on April 13, Pottery entered into a 60 day forward contract to sell €40,000 at a forward rate of
€1 = 1.350. The forward contract is not designated as a hedge. The spot rates follow:
April 13 €1 = 1.343
June 15 €1 = 1.348
Required: Journal entries for the transactions.

Answers

The following are the journal entries for the transactions: Accounts Receivable (Spanish Company) as of April 13  Sales revenue of €40,000 was recorded (to account for the sale of pottery planters to the Spanish company) .

40,000 Euros in Forward Contract Liability Gain from a forward contract of €40,000 (to reflect the sale of the advance contract) On June 15, the following amounts were due: Cash €53,920 Accounts Receivable (Spanish Company) Gain on foreign exchange of €40,000: €13,920 (to record the receipt of cash from the Spanish company and the settlement of the forward contract) The first item generates an accounts receivable for the outstanding balance and recognises the revenue from the sale of clay planters to the Spanish company. The second item documents the selling of the forward contract, establishing a contract liability and recognising a gain.  profit on the forward contract at its fair market price. The cash is increased by the amount received, the accounts receivable are decreased, and the foreign exchange gain is recognised on June 15, when the payment from the Spanish company is received and the forward contract is settled. The difference between the spot rate on June 15 and the forward rate is represented by the foreign exchange gain. Please be aware that the quantities are given in euros (€), and that the relevant amounts in the journal entries are determined using currency conversion rates.

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. the marginal utility of the good drops below the utility they would get from other goods at the same price B. the total utility of the good drops below the marginal utility they would get from other goods at the same price C. the marginal utility of the good exactly matches the total utility of the good D. marginal utility has been maximized

Answers

Marginal utility refers to the additional satisfaction a consumer derives from consuming an additional unit of a product. It represents the change in total utility generated by consuming an additional unit of the product.

The consumer will continue to consume additional units of the good as long as the marginal utility of the product is positive. The consumer will cease to consume additional units of the product when the marginal utility of the product drops below the marginal utility of other goods offered at the same price.

When the marginal utility of the good drops below the utility they would get from other goods at the same price, the consumer will stop buying the product.The consumer will stop consuming additional units of the product when the total utility of the good drops below the marginal utility they would get from other goods offered at the same price.

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Which of the following constitute a private securities transaction, or selling away?

A registered representative executes a trade for a customer in securities of a type normally handled by the representative's broker-dealer.
A registered representative's sibling has some old bonds that the representative sells as a favor through a municipal securities broker.
A registered representative helps an old school friend issue securities for a small business under formation.
A registered representative helps an acquaintance sell some inherited stock certificates without the acquaintance becoming a customer of the firm.

A) III and IV
B) II and IV
C) I and III
D) I and II

Answers

A private securities transaction or selling away are financial activities carried out by a representative of a broker-dealer for the personal benefit of the representative or for the benefit of a person other than their employer.

They are subject to FINRA review. Given the options, the following constitute a private securities transaction, or selling away:Option B: II and IVExplanation:In option II, a registered representative's sibling has some old bonds that the representative sells as a favor through a municipal securities broker.

In this case, the registered representative facilitated the sale of bonds for a family member, which is a personal benefit and therefore constitutes selling away.Option IV, on the other hand, involves a registered representative helping an acquaintance sell some inherited stock certificates without the acquaintance becoming a customer of the firm.

The registered representative facilitated the sale of securities for a friend without the involvement of the firm. This is also an example of selling away and is a personal benefit. Thus, the answer is II and IV.

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Lila, who is the president of Party Business, Inc., tells Isaiah that buying stock in Party Business, Inc. right now is a good idea. Isaiah is only casually acquainted with Lila and does not know that she is an officer of the corporation. He, however, acting on her information which he believes to be public knowledge, investigates the company somewhat and proceeds to buy some stock. Both Lila and Isaiah are charged with insider trading. After trial, Lila is found guilty, however, she feels the proceedings against her were unfair. Which of the following, if true, could be a violation of Lila's Sixth Amendment rights? A.Lila's attorney was expensive. B.The courtroom was not private. C.She knew one of the jurors, Zoe, from high school, and Zoe always disliked her. D.The court clerk read the charges against her. E.She had to listen to witnesses against her.

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The following option that could be a violation of Lila's Sixth Amendment rights is C. She knew one of the jurors, Zoe, from high school, and Zoe always disliked her.

The 6th Amendment of the US Constitution guarantees certain rights for criminal defendants, which include a speedy and public trial, an impartial jury, the right to be informed of the charges against you, the right to confront witnesses, and the right to legal representation. A defendant's Sixth Amendment rights may be violated if any of these rights are infringed upon.

In this case, Lila has been charged with insider trading and found guilty after trial. However, she feels the proceedings against her were unfair. Out of the given options, the only option that could be a violation of Lila's Sixth Amendment rights is C. She knew one of the jurors, Zoe, from high school, and Zoe always disliked her.

If Lila knew one of the jurors, Zoe, from high school, and Zoe always disliked her, then her Sixth Amendment rights may have been violated. This is because the Sixth Amendment guarantees the right to an impartial jury, and a juror who knows the defendant and dislikes her may not be considered impartial.

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Brigade Paint reported a profit of $50,000 and cost of goods sold of $450,000 for the current period. If the company's gross profit margin is 40%, what are the net sales? $630,000 $750,000 $1,125,000 $833,333

Answers

The net sales of Brigade Paint are $750,000. Answer: B) $750,000.Gross profit margin represents the percentage of revenue or net sales that exceed the cost of goods sold.

It is calculated by dividing gross profit by net sales. If we know the gross profit margin and the cost of goods sold, we can calculate the net sales as follows: Gross profit margin = (Gross profit / Net sales) x 100%We are given that Brigade Paint has a gross profit margin of 40%.We also know that Gross profit = Net sales - Cost of goods sold.

So, we can write:40% = (Net sales - Cost of goods sold) / Net sales. Multiplying both sides by Net sales gives:40% x Net sales = Net sales - Cost of goods sold Distributing gives:40% x Net sales = Net sales - 450,000 Simplifying gives:0.4 Net sales = Net sales - 450,0000.6 Net sales = 450,000Net sales = 450,000 / 0.6  Net sales = $750,000. Therefore, the net sales of Brigade Paint are $750,000. Answer: B) $750,000.

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. Which of the following is the statement of the Heckscher-Ohlin Theorem? A country has a comparative advantage in the good that makes relatively intensive use of that country's relatively abundant factor. A change in output prices will lead to more-than-proportional changes in the opposite direction in the prices of inputs used intensively in the good's production. Opening trade will equalize factor prices across countries. A change in output prices will lead to more-than-proportional changes in the same direction in the prices of inputs used intensively in the good's production. A change in output prices will lead to less-than-proportional changes in the same direction in the prices of inputs used intensively in the good's production.

Answers

The Heckscher-Ohlin Theorem states that countries specialize in and export goods that use their abundant factors of production.

The statement of the Heckscher-Ohlin Theorem is as follows: "A country has a comparative advantage in the good that makes relatively intensive use of that country's relatively abundant factor." This means that a country will specialize in producing and exporting goods that require a larger amount of the factor of production it has in abundance. For example, if a country has a large amount of skilled labor, it will specialize in industries that require skilled labor. The theorem suggests that countries will trade based on their factor endowments, with each country exporting goods that use its abundant factors and importing goods that use its scarce factors. The Heckscher-Ohlin Theorem forms the basis of the modern theory of international trade and explains the patterns of trade observed in the world economy.

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assume that barton has the legal right to make any amount of noise and barton and statler can negotiate costlessly with one another. which of the following statement is/are true?

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The statement "Barton will not soundproof his apartment and the equilibrium will be socially efficient" is false.

Is it possible for Barton to choose not to soundproof his apartment while maintaining social efficiency?

In this scenario, Barton's decision to not soundproof his apartment will lead to a situation where his piano rehearsals cause noise disturbance for Statler who is working on his epic poem in the apartment directly below.

The matrix of payoffs indicates that Statler would benefit from Barton's apartment being soundproofed as it would reduce the noise interference. but since Barton has the legal right to make noise, Statler cannot induce him to install soundproofing even with costless negotiations.

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Power Drive Corporation designs and produces a line of golf equipment and golf apparel. Power Drive has 100,000 shares of common stock outstanding as of the beginning of 2021. Power Drive has the following transactions affecting stockholders' equity in 2021.
March 1 Issues 45,000 additional shares of $1 par value common stock for $42 per share.
May 10 Purchases 4,000 shares of treasury stock for $45 per share.
June 1 Declares a cash dividend of $1.00 per share to all stockholders of record on June 15. (Hint: Dividends are not paid on treasury stock.)
July 1 Pays the cash dividend declared on June 1.
October 21 Resells 2,000 shares of treasury stock purchased on May 10 for $50 per share.
Required:
Record each of these transactions.
1. Record the issuance of 45,000 additional shares of $1 par value common stock for $42 per share.
2. Record the purchase of 4,000 shares of treasury stock for $45 per share.
3. Record the declaration of a cash dividend of $1.00 per share to all stockholders of record on June 15. (Hint: Dividends are not paid on treasury stock.)
4. Record payment of the cash dividend declared on June 1.
5. Record the resale of 2,000 shares of treasury stock purchased on May 10 for $50 per share.

Answers

On March 1, Power Drive Corporation issued 45,000 additional shares of $1 par value common stock for $42 per share, resulting in an increase in common stock and paid-in capital accounts.

On May 10, Power Drive Corporation purchased 4,000 shares of treasury stock for $45 per share, resulting in a decrease in the treasury stock account. On June 1, Power Drive Corporation declared a cash dividend of $1.00 per share to all stockholders of record on June 15, resulting in a decrease in retained earnings.

On July 1, Power Drive Corporation paid the cash dividend declared on June 1, resulting in a decrease in the cash account and retained earnings. On October 21, Power Drive Corporation resold 2,000 shares of treasury stock purchased on May 10 for $50 per share, resulting in an increase in the cash account and a decrease in the treasury stock account.

The issuance of 45,000 additional shares of $1 par value common stock for $42 per share results in an increase in common stock and paid-in capital accounts. The common stock account is credited for the par value of the shares issued ($45,000), and the excess of the issue price over the par value ($1,890,000) is credited to the paid-in capital account.

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On March 1, Power Drive Corporation issued 45,000 additional shares of $1 par value common stock for $42 per share, resulting in an increase in common stock and paid-in capital accounts.

On May 10, Power Drive Corporation purchased 4,000 shares of treasury stock for $45 per share, resulting in a decrease in the treasury stock account. On June 1, Power Drive Corporation declared a cash dividend of $1.00 per share to all stockholders of record on June 15, resulting in a decrease in retained earnings.

On July 1, Power Drive Corporation paid the cash dividend declared on June 1, resulting in a decrease in the cash account and retained earnings. On October 21, Power Drive Corporation resold 2,000 shares of treasury stock purchased on May 10 for $50 per share, resulting in an increase in the cash account and a decrease in the treasury stock account.

The issuance of 45,000 additional shares of $1 par value common stock for $42 per share results in an increase in common stock and paid-in capital accounts. The common stock account is credited for the par value of the shares issued ($45,000), and the excess of the issue price over the par value ($1,890,000) is credited to the paid-in capital account.

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The following information was extracted from the books of KASTA Business on 31 December Additional information: (i) Withdrawal of RM5,000 from bank account has not been recorded. (ii) Advertising expenses RM65,000 were outstanding. (iii) All non-current assets are depreciated at 30% per annum, using reducing balance method. (v) Closing Inventory RM84,300 fully counted on 31 December. Required: Show all your working. (a) Prepare the Income Statement for the year ended 31 December 2021, and (b) the Balance Sheet as at 31 December 2021 .

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The bank balance has been shown as RM 10,000 and not RM 5,000.

Part (a) Income Statement for the year ended on December 31, 2021 Particulars RM Revenue 700,000 Cost of goods sold Opening inventory 125,500 Add Purchases (10,11,12)500,000

Less Closing inventory (84,300)541,200 Gross profit 158,800 Less Operating expenses Advertising expense65,000Depreciation expense [(400,000 - 40,000) × 30%]108,000173,000 Net income before taxation(14,200) Less Taxation  Nil Net Income(14,200)

Note: Non-current asset of RM 40,000 is subtracted to determine the book value of the non-current asset on which depreciation is applied.

Part (b) Balance Sheet as at December 31, 2021  Liabilities RM Assets RM Current liabilities Accounts payable 125,500 Outstanding Advertising expense 65,000190,500Non-current liabilities Long-term loan200,000

Total liabilities390,500 Current assets Inventory 84,300 Accounts receivable95,000 Bank balance 10,000189,300

Non-current assets Property, plant, and equipment 40,000 Less Accumulated depreciation(108,000)32,000

Total assets221,300Total liabilities and equity611,800

Note: The withdrawal of RM 5,000 from the bank account has not been recorded. Thus, the bank balance has been shown as RM 10,000 and not RM 5,000.

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identify Under Armour viable strategic alternatives
for the future and evaluate the feasibility of success for each.
Make support and explain specific recommendations

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Under Armour is a sports apparel and accessories company that has grown steadily over the years. The firm's strategic alternatives for the future include the following.

Expanding to international markets International expansion is a viable strategy that Under Armour can explore. Expanding to new markets will help the company to tap into new revenue streams, and create brand awareness outside the United States.

The company needs to conduct feasibility studies to understand the cultural differences, market competition, and consumer needs. Creating a sustainable product line Sustainability is a concept that has gained popularity among consumers in recent years. The company can take advantage of this trend by creating a sustainable product line.

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An explosion of education levels causes Europeans' incomes to increase. How would this event impact the foreign exchange market for Euros? the dollar price of Euros decreases and the quantity of Euros increases the dollar price of Euros decreases and the quantity of Euros decreases the dollar price of Euros increases and the quantity of Euros increases the dollar price of Euros increases and the quantity of Euros decreases

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The explosion of education levels causes Europeans' incomes to increase. An increase in income increases the standard of living, which in turn increases demand for foreign goods. The foreign exchange market is the market for exchanging currencies. The dollar price of the euro and the quantity of euros are determined in this market.

The relationship between the euro's value and the dollar's value is significant in the foreign exchange market. The dollar price of the euro decreases and the quantity of euros increases as a result of an explosion of education levels and a corresponding increase in income. It occurs because Europeans purchase more goods and services from the United States, resulting in an increase in the supply of euros in the foreign exchange market. When the supply of a currency rises, its value falls.

As a result, the dollar price of the euro decreases. It also causes the quantity of euros to increase because an increase in the euro's supply causes more people to want to buy it. Thus, the correct option is "the dollar price of Euros decreases and the quantity of Euros increases."

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A movement (as opposed to a shift) from one point to an another point along the Keynesian consumption function could be caused from changes in interest rates an increase in the general price level. a decrease in the real interest rate. changes in wealth. O changes in disposable income.

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The Keynesian consumption function is a statistical model utilized to show how consumer spending changes with respect to changes in disposable income. Consumption function is a behavioral relationship between income and consumption, showing how consumer spending changes as income changes, holding other factors constant.

A movement along the consumption function is due to changes in income and consumption, holding other factors constant. Shifts in the consumption function may occur due to changes in a number of variables, including income, wealth, and demographic variables.

A movement (as opposed to a shift) from one point to another point along the Keynesian consumption function could be caused by changes in interest rates, an increase in the general price level, a decrease in the real interest rate, changes in wealth, or changes in disposable income.

Disposable income, which is the income received by households minus any taxes paid, is a major factor in determining consumption behavior. As disposable income increases, consumer spending also increases. Changes in interest rates and the general price level may also have an impact on consumer spending.

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In 2000, Ms. Ennis, a head of household, contributed $61,000 in exchange for 610 shares of Seta stock. Seta is a qualified small business. This year, Ms. Ennis sold all 610 shares for $127,000. Her only other investment income was an $7,300 long-term capital gain from the sale of land. Her taxable income before consideration of her two capital transactions is $550,000. Assume the taxable year is 2021. Use Individual tax rate schedules and Tax rates for capital gains and qualified dividends. Required: Compute Ms. Ennis’s income tax and Medicare contribution tax for the year. How would the computation change if Ms. Ennis acquired the Seta stock in 2011 instead of 2000? How would the computation change if Ms. Ennis acquired the Seta stock in 2018 instead of 2000?
Required A
Required B
Required C
Compute Ms. Ennis’s income tax and Medicare contribution tax for the year. (Round your intermediate calculations and final answers to the nearest whole dollar amount.)
Amount
Taxable income Total income tax Medicare contribution tax Total tax

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Income tax and Medicare contribution tax for the year are computed as follows:

Part A:

Calculation of Ms. Ennis's income tax and Medicare contribution tax Ms. Ennis's taxable income before capital transactions = $550,000

Long-term capital gain from the sale of land = $7,300

Proceeds from the sale of Seta stock = $127,000

Cost basis of Seta stock = $61,000

Ms. Ennis held Seta stock for more than one year. Hence, it is a long-term capital gain.Let us calculate the long-term capital gain from the sale of Seta stock:

Long-term capital gain = Proceeds from the sale of Seta stock – Cost basis of Seta stock

= $127,000 – $61,000

= $66,000

Since the tax rate for long-term capital gains is lower than the ordinary income tax rate, we need to calculate Ms. Ennis's income tax in two parts, i.e.,1. Income tax on taxable income excluding capital gains2. Income tax on long-term capital gains Let's calculate Ms. Ennis's total income tax.

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Setting order sizes and schedules for individual subassemblies and resources by week or day fits best with which level of the generic framework for resource planning?

A)Aggregate planning - Level 1
B)Disaggregation - Level 2
C)Execution - Level 3
D)Capacity requirements planning

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Setting order sizes and schedules for individual subassemblies and resources by week or day aligns with the level of disaggregation - level 2 in the generic framework for resource planning (option b).

1) Level 1: Aggregate planning involves determining the overall production levels, capacity, and resource requirements at a high level, typically done on a monthly or quarterly basis. It focuses on key factors like demand forecasts, capacity constraints, and overall resource allocation. The question specifically mentions setting order sizes and schedules for individual subassemblies and resources by week or day, which indicates a more detailed level of planning than aggregate planning.

2) Level 2: Disaggregation refers to breaking down the aggregate plan into specific products, components, or subassemblies. It involves converting the high-level plan into a more detailed plan that specifies quantities, schedules, and resource requirements for individual items. This level of planning aligns with the question's scenario of setting order sizes and schedules for individual subassemblies and resources on a more frequent basis.

3) Level 3: Execution involves the actual implementation of the detailed plan, including issuing orders, coordinating production activities, and monitoring progress. While execution is an important step in resource planning, the question specifically focuses on the level of planning rather than the execution itself.

4) Capacity requirements planning (CRP) is a technique used within the execution phase to ensure that sufficient resources are available to meet the detailed production plan. While CRP is relevant to resource planning, it is a subset of the overall execution level and not the primary level that addresses the question.

Based on the above analysis, the most suitable level of the generic framework for resource planning for setting order sizes and schedules for individual subassemblies and resources by week or day is B) Disaggregation - Level 2.

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Proper rotation of stock can reduce excessive food costs by eliminating waste due to spoilage. Older food which has not been used in a timely manner may not be usable for its originally-intended purpose. Which of the following is a disadvantage of using a formal control system of stock that requires records, formal issuing documents and proper procedures for taking items out of the ștock? Select one. a. Payroll costs may be increased. b. Control system is improved c. Reduces theft

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Proper rotation of stock can reduce excessive food costs by eliminating waste due to spoilage. Older food which has not been used in a timely manner may not be usable for its originally intended purpose. The disadvantage of using a formal control system of stock that requires records, formal issuing documents and proper procedures for taking items out of the stock is that payroll costs may be increased.

The formal control system requires additional labor to keep accurate records and formal issuing documents. Since the system is formal, an employee is designated to keep the documents up-to-date, make sure the records are accurate, and monitor stock levels at all times, which takes up time. Employees are required to follow proper procedures while taking items out of stock which may increase the time it takes to retrieve and issue items.

The increased labor costs associated with using a formal control system may not be justifiable, particularly for smaller operations where labor costs are significant factors in determining profitability. Hence, we can conclude that the disadvantage of using a formal control system of stock that requires records, formal issuing documents and proper procedures for taking items out of the stock is that payroll costs may be increased.

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Norris, Madson, and Howell have income ratios of 5:3:2 and capital balances of $41,480,$37,820, and $34,160, respectively. Noncash assets are sold at a gain and allocated to the partners. After creditors are paid, $125,660 of cash is available for distribution to the partners. How much cash should be paid to Madson?

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= 37,698As Madson's capital balance is 37,820 and he must be paid the cash of 37,698; he must receive 122 for the noncash assets sold

The total ratio is 5+3+2 = 10 Madson's ratio

= 3Total cash

= 125,660 Madson's share

= 3/10 * 125,660

= 37,698As Madson's capital balance is 37,820 and he must be paid the cash of 37,698; he must receive 122 for the noncash assets sold

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