Payback period. What are the payback periods of projects E and F? Assume all the cash flow is evenly spread throughout the year. If the cutoff period is three years, which project(s) do you accept? Cost Cash flow year 1 Cash flow year 2 Cash flow year 3 Cash flow year 4 Cash flow year 5 Cash flow year 6 $44,000 $11,000 $11,000 $11,000 $11,000 $11,000 $11,000 $100,000 $40,000 $30,000 $20,000 $10,000 $0 $0 What is the payback period for project E? years (Round to one decimal place.) With a three-year cutoff period for recapturing the initial cash outflow, project E would be What is the payback period for project F? V. (Select from the drop-down menu.) years (Round to one decimal place.) With a three-year cutoff period for recapturing the initial cash outflow, project F would be . (Select from the drop-down menu.) Enter your answer in each of the answer boxes

Answers

Answer 1

If the cutoff period is three years, project e would be accepted, while project f would not be accepted.

to calculate the payback period for projects e and f, we need to determine the time it takes to recoup the initial cash outflow for each project.

for project e:

initial cash outflow = $44,000

cash inflows per year: $11,000

to calculate the payback period, we'll accumulate the cash inflows until they equal or exceed the initial cash outflow:

year 1: $11,000

year 2: $11,000 + $11,000 = $22,000

year 3: $22,000 + $11,000 = $33,000

since the accumulated cash inflows equal the initial cash outflow at the end of year 3, the payback period for project e is 3 years.

for project f:

initial cash outflow = $100,000

cash inflows per year: $40,000, $30,000, $20,000, $10,000

year 1: $40,000

year 2: $40,000 + $30,000 = $70,000

year 3: $70,000 + $20,000 = $90,000

year 4: $90,000 + $10,000 = $100,000

since the accumulated cash inflows exceed the initial cash outflow at the end of year 4, the payback period for project f is 4 years.

given a three-year cutoff period for recapturing the initial cash outflow:

- project e meets the cutoff period since it recoups the initial cash outflow within 3 years.

- project f does not meet the cutoff period since it takes 4 years to recoup the initial cash outflow.

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Related Questions

def company uses a predetermined overhead rate (pohr) of $14.00 per direct labor hour. the company has provided us with the following data for job a-500:
Direct materials $230
Direct labor $108
What is the total manufacturing cost assigned to Job A-500?
If Job A-500 consists of 40 units, what is the average cost assigned to each unit included in the job? (Round your answer to 2 decimal places.)

Answers

In the given scenario, a company uses a predetermined overhead rate (POHR) of $14.00 per direct labor hour. The company provides the following data for job A-500:Direct materials $230Direct labor $108Total manufacturing cost assigned to Job.

A-500The manufacturing overhead rate can be computed using the given information. Since POHR is $14.00 per direct labor hour and direct labor is $108. Therefore, direct labor hours are:Direct Labor Hours = Direct Labor Costs ÷ Direct Labor Rate= $108 ÷ $20= 5.4 HoursNow, we can calculate the total manufacturing cost assigned to job A-500 using the formula.

Total Manufacturing Costs = Direct Materials + Direct Labor + Manufacturing Overhead= $230 + $108 + (5.4 × $14.00)= $230 + $108 + $75.60= $413.60Average cost assigned to each unit included in the jobIf job A-500 consists of 40 units, we can find the average cost assigned to each unit by dividing total manufacturing costs by the number of units.Total Cost per Unit = Total Manufacturing Cost ÷ Number of Units= $413.60 ÷ 40= $10.34 (rounded to two decimal places)Therefore, the total manufacturing cost assigned to Job A-500 is $413.60, and the average cost assigned to each unit included in the job is $10.34.It's a method for measuring forecast accuracy.The MAD method 1 = 1.75 thousand gallons.The absolute deviation based on the forecast developed using Method 1 adds to 7 thousand gallons.The Mean Squared Error (MSE) is calculated by averaging the square of the difference between the actual and forecasted values.

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Allocating costs to departments LO P2 Macee Department Store has three departments, and it conducts advertising campaigns that benefit all departments. Advertising costs are $114,000 this year, and departmental sales for this year follow Department Sales $225,000- 352,500 172,500 How much advertising cost is allocated to each department if the allocation is based on departmental sales? Department Sales % of Total Advertising to Allocate Allocated Amount 1 2 3 Total $ 0 % % % 0.00 % $ QS 22-5 Allocating costs to departments LO P2 Mervon Company has two operating departments: Mixing and Bottling. Mixing has 360 employees and Bottling has 240 employees. Indirect factory costs include administrative costs of $190,000. Administrative costs are allocated to operating departments based on the number of workers. Determine the administrative costs allocated to each operating department Employees % of Total Admin. Exp. to Allocate Department Allocated Amount Mixing Bottling Total 0 *** % % 0.00% S QS 22-5 Allocating costs to departments LO P2 Mervon Company has two operating departments: Mixing and Bottling. Mixing has 360 employees and Bottling has 240 employees. Indirect factory costs include administrative costs of $190,000. Administrative costs are allocated to operating departments based on the number of workers. Determine the administrative costs allocated to each operating department Employees % of Total Admin. Exp. to Allocate Department Allocated Amount Mixing Bottling Total 0 *** % % 0.00% S

Answers

Costs based on departmental sales results in the following allocations:

Department 1: $0, Department 2: $0, Department 3: $0

Total allocated amount: $0

Macee Department Store uses departmental sales as the basis for allocating advertising costs. The total advertising costs for the year amount to $114,000. However, since the provided information only includes the sales figures for each department and not the specific percentages of departmental sales, it is not possible to calculate the allocation. As a result, the allocated amount for each department is $0, and the total allocated amount remains at $0.

For Mervon Company, allocating administrative costs based on the number of employees in each operating department yields the following allocations:

Mixing Department: $126,000

Bottling Department: $64,000

Total allocated amount: $190,000

Mervon Company allocates administrative costs, amounting to $190,000, to its operating departments based on the number of employees. The Mixing Department has 360 employees, while the Bottling Department has 240 employees.

To determine the allocation, the percentage of total administrative expenses to allocate is calculated for each department. The Mixing Department's allocated amount is 66.32% ($126,000), and the Bottling Department's allocated amount is 33.68% ($64,000) of the total administrative costs.

This method ensures that the administrative costs are distributed proportionally based on the number of workers in each department. The total allocated amount matches the total administrative costs, ensuring accurate distribution of the indirect factory costs.

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Case Brief: Grande v. Jennings
Summary, Issue, Rule, Analysis, and Conclusion in paragraphs
Please number each one.

Answers

Grande v. Jennings was a case in which the plaintiff alleged negligence against the defendant, Dr. Jennings, for failing to diagnose her lung cancer in a timely manner.

Here is a brief of the case:
Summary:
In Grande v. Jennings, the plaintiff, Barbara Grande, alleged that Dr. Jennings negligently failed to diagnose her lung cancer in a timely manner, causing her to suffer severe harm. She argued that Dr. Jennings breached his duty of care by failing to order a chest x-ray despite her persistent cough and other symptoms.
Issue:
The main issue in this case was whether Dr. Jennings was negligent in his failure to diagnose Ms. Grande's lung cancer in a timely manner.
Rule:
To establish negligence, a plaintiff must show that the defendant breached his or her duty of care, which was the failure to order a chest x-ray despite Ms. Grande's persistent cough and other symptoms.
Analysis:
The court considered the evidence presented by both parties and found that Dr. Jennings breached his duty of care by not ordering a chest x-ray. Ms. Grande's persistent cough and other symptoms should have alerted Dr. Jennings to the possibility of lung cancer, and he should have taken appropriate action to diagnose her condition. The court also found that this breach of duty caused Ms. Grande to suffer severe harm, which could have been prevented with timely diagnosis and treatment.
Conclusion:
In conclusion, the court found that Dr. Jennings was negligent in failing to diagnose Ms. Grande's lung cancer in a timely manner. This breach of duty caused Ms. Grande to suffer severe harm, and Dr. Jennings was therefore liable for damages. The court awarded Ms. Grande $2 million in damages for pain and suffering, lost wages, and medical expenses.

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Identifies an appropriate legal situation; designs an investigation plan to acquire the necessary facts of the situation; conducts the investigation, identifies the issues these facts present; writes a report on the legal issues and possible solutions, and makes an oral presentation before their fellow students.
30 points will be earned for a written report which meets the foregoing standards
30 points will be awarded for the student's oral summary delivered to the class on the last class session of the semester
Plan of Action:
Identify an appropriate legal situation
from your own experience or that of your friends neighbours and family members
design an investigation plan to acquire the necessary facts of the situation
list what information you need and where to acquire it
conducts the investigation
acquire the information by
interviewing those impacted by the situation
researching the law in the textbook
identify the issues these facts present
an issue identifies the question of law raised by the facts and mentions the key facts to put the legal question into context
write a report on the legal issues and possible solutions
outline your report using the FIRAC outline but with much more detail
Possible Format of the Report
Introduction - The Story Complete story about 500 words, who, what when where
Key Facts - Material a paragraph of the facts which will make a difference to the outcome
Issue -- pick one that matches the material of one of the chapters
Rule - describe the rule and it elements - use the chapters to find this rule
Analysis - apply key facts to each element of the rule
Conclusion
legal / logical outcome based on your analysis
what really happened - compare theoretical result to real life

Answers

A legal situation is one that is based on legal aspects or rules in a given jurisdiction.

These aspects may range from criminal law, civil law, labor law, among others. In this case, a student is expected to identify an appropriate legal situation and then design an investigation plan to acquire the necessary facts of the situation. This student is also expected to conduct the investigation, identify the issues these facts present, write a report on the legal issues and possible solutions, and make an oral presentation before their fellow students.The chapter should be used to find this rule.

An analysis of the application of key facts to each element of the rule should then be done.The conclusion should include a legal or logical outcome based on the analysis. The theoretical result should be compared to real life to determine what really happened.A report that meets the standards given should earn the student 30 points. An oral summary delivered to the class on the last class session of the semester should earn the student 30 points.

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assume that cullumber company will continue to use this copyright in the future. as of december 31, 2020, the copyright is estimated to have a remaining useful life of 10 years.

Answers

Over the course of the copyright's useful life, cash inflows will total $8,630 in current value. This value can be used by Cullumber Company to calculate the value of the copyright as of December 31, 2020.

To determine the copyright’s value at December 31, 2020, one can estimate the present value of the cash inflows that are expected from the copyright over its useful life. By estimating the present value of these cash flows, Cullumber Company can determine how much the copyright is worth on December 31, 2020.

The estimated present value of cash inflows from the copyright over its useful life can be calculated by using the following formula:

Present value of cash inflows = Cash inflow x Present value factor

Present value factor is a present value of $1 factor for n periods at r% interest. This factor can be obtained from the present value tables. The present value factor for n periods at r% interest is the reciprocal of the future value factor for n periods at r% interest. The formula for present value factor is given as:

Present value factor = 1 ÷ (1 + r)n

To illustrate, let’s say the expected cash inflows from the copyright is $10,000 per year, and the interest rate is 8%. Since the useful life of the copyright is 10 years, we will need to calculate the present value factor for 10 periods at 8% interest.

Present value factor = 1 ÷ (1 + 0.08)10Present value factor = 0.4632Using the present value factor of 0.4632, we can then calculate the present value of cash inflows for each year over the copyright’s useful life. The present value of cash inflows is calculated as follows:

Year 1: $10,000 x 0.4632 = $4,632

Year 2: $10,000 x (0.4632)2 = $2,145

Year 3: $10,000 x (0.4632)3 = $993

Year 4: $10,000 x (0.4632)4 = $459

Year 5: $10,000 x (0.4632)5 = $212

Year 6: $10,000 x (0.4632)6 = $98

Year 7: $10,000 x (0.4632)7 = $45

Year 8: $10,000 x (0.4632)8 = $21

Year 9: $10,000 x (0.4632)9 = $10

Year 10: $10,000 x (0.4632)10 = $5

The total present value of the cash inflows over the copyright’s useful life is $8,630. By computing this value, Cullumber Company can determine how much the copyright is worth on December 31, 2020.

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Jim is a news-writer who does not believe climate change could affect economic growth. Jim says "people used to worry about running out of oil, but society developed new technology and that solved the problem. It will be the same with climate change. If it becomes a problem, society will develop new technology that will solve the problem. There is no need for government policies that favor clean energy and restrict fossil fuel production." Without government policies, is society likely to try very hard to develop and use clean energy? Why or why not?

Answers

Without government policies favoring clean energy and restricting fossil fuel production, society may not try as hard to develop and use clean energy.

While technological innovation plays a crucial role in addressing climate change, relying solely on market mechanisms and individual initiatives may not be enough to achieve significant progress. Government policies provide a framework for creating incentives, setting regulations, and allocating resources toward clean energy. These policies can include tax incentives for renewable energy projects, emissions regulations, research and development funding, and subsidies for clean technologies.

Without government policies, the market may not fully account for the negative externalities associated with fossil fuel use and may prioritize short-term economic gains over long-term sustainability. Clean energy technologies often require significant upfront investment and may face market barriers due to the entrenched infrastructure and vested interests of fossil fuel industries. Government policies can help level the playing field and create a conducive environment for clean energy adoption.

Furthermore, government policies can provide stability and long-term certainty for investors in the clean energy sector, encouraging innovation and attracting capital. By implementing policies that favor clean energy and restrict fossil fuel production, governments can actively steer society towards a more sustainable path, accelerating the transition to cleaner energy sources and mitigating the impacts of climate change.

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Q.2 Standard costs and Variance analysis Kasule was hired as a budget analyst at a large manufacturing business. His boss has asked that he reviews last year's master budget, actual results, and plann

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As a budget analyst, Kasule will have to review last year's master budget, actual results, and planning.

What is Standard Costs?

Standard costs are predefined costs for manufacturing goods and services based on specific conditions such as materials, labor, and overheads. The standard cost serves as a benchmark for comparing actual costs and facilitating variance analysis in manufacturing businesses.

What is Variance Analysis?

Variance analysis is a budgeting and accounting process that assesses the difference between actual and expected costs or returns in a business's financial performance. Variance analysis measures the level of deviation between actual results and expected or budgeted results, typically used to monitor business performance.

Standard Costs and Variance Analysis help manufacturing businesses to evaluate their budget planning process by comparing the actual results to the pre-defined benchmark costs for various factors like labor, materials, and overheads.

The budget analyst, Kasule will use the variance analysis process to review last year's master budget, actual results, and planning. He will compare the standard costs with actual costs for different factors and identify the differences in cost. He will identify the reasons for the variance and recommend actions to minimize the cost differences between the actual and standard cost. Additionally, Kasule will use variance analysis to identify areas of opportunity for reducing costs or increasing revenues.

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LOCY stockbroker offers short selling facility to investors with 60% initial margin and 25% minimum margin. If subjected to a margin call, the investor must deposit some fund to return the position to initial margin.
You do short selling of 10,000 YOYO stocks at the price of $20,000/stock.
Instructions :
a) At what price are you subjected to a margin call?
b) If YOYO stock price rises to $26,000, how much Rp margin do you have to deposit?
c) How much return do you earn if in the next month the stock price is $22,000, and you are required to buy back YOYO stocks?

Answers

In this scenario, you engage in short selling of 10,000 YOYO stocks at a price of $20,000 per stock using the short selling facility offered by LOCY stockbroker. The stockbroker has an initial margin requirement of 60% and a minimum margin requirement of 25%.

If the value of the shorted stocks declines, you may be subjected to a margin call and would need to deposit additional funds to bring the position back to the initial margin level. In case of a rise in stock price, you may earn a return if you buy back the YOYO stocks at a lower price.

a) To determine the price at which you are subjected to a margin call, we need to calculate the minimum margin requirement. The initial margin is 60% of the shorted value, which is 60% * ($20,000 * 10,000) = $120,000,000. The minimum margin requirement is 25% of the shorted value, which is 25% * ($20,000 * 10,000) = $50,000,000. If the value of the shorted stocks falls below the minimum margin requirement of $50,000,000, you would be subjected to a margin call.

b) If the YOYO stock price rises to $26,000, we need to calculate the required margin deposit. The total value of the shorted stocks is $26,000 * 10,000 = $260,000,000. The initial margin requirement is 60% of this value, which is $156,000,000. The margin deposit is the difference between the initial margin and the current value of the shorted stocks, which is $156,000,000 - $260,000,000 = -$104,000,000. Since the value is negative, there is no margin deposit required in this case.

c) If the stock price declines to $22,000 and you are required to buy back the YOYO stocks, you can calculate your return. The total value of buying back the stocks is $22,000 * 10,000 = $220,000,000. The initial value of the shorted stocks was $20,000 * 10,000 = $200,000,000. Therefore, your return would be the difference between the initial value and the buying back value, which is $220,000,000 - $200,000,000 = $20,000,000.

In conclusion, the margin call price depends on the minimum margin requirement, and you would be subjected to a margin call if the value of the shorted stocks falls below the minimum margin requirement. If the stock price rises, no margin deposit is required. If the stock price declines and you buy back the stocks, you can earn a return based on the difference between the initial value and the buying back value.

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What is the relevance of an external environmental scan in the
staffing process?

Answers

An external environmental scan is essential in the staffing process as it helps a company to understand the external environment in which it operates. An external environmental scan is an evaluation of the environment outside a company.

The scan includes an analysis of external elements such as industry trends, market dynamics, consumer behavior, competitors, and other macroeconomic forces. The staffing process is the process of hiring, training, and retaining employees. External environmental factors significantly impact the staffing process. In this regard, an external environmental scan helps an organization understand the external environment in which it operates. The analysis identifies various factors that affect staffing needs, such as skill shortages, changes in the labor market, and the competitive landscape.External environmental scans provide data that can help a company to align its staffing needs with its strategic objectives. Additionally, it enables an organization to forecast future staffing needs. By assessing changes in the external environment, a company can understand future trends and prepare for future hiring needs. It also allows companies to identify potential opportunities and challenges to improve their staffing processes and hire top talent that meets the demands of a changing business landscape. Overall, an external environmental scan plays an essential role in the staffing process by helping companies to identify current and future staffing needs and providing information to make strategic decisions.

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"Mauritius runs a self-assessment tax system. Therefore,
voluntary compliance is a key element in the efficient and
effective tax administration and revenue collection."
a) In the light of the abo

Answers

In a self-assessment tax system, taxpayers are responsible for calculating and reporting their own tax liabilities to the tax authority.

It shifts the burden of assessing and reporting taxes from the tax authority to the taxpayers themselves. Under this system, individuals and businesses are required to accurately calculate their income, deductions, and tax liabilities based on the tax laws and regulations in place.

Taxpayers are expected to maintain proper records, perform necessary calculations, and submit their tax returns within specified deadlines. They are also responsible for making accurate payments of the taxes owed. The tax authority's role is primarily to review and verify the accuracy and completeness of the information provided by taxpayers, rather than initiating the assessment process.

Self-assessment systems rely on voluntary compliance, trust, and integrity of taxpayers. It requires individuals and businesses to be honest and transparent in reporting their income and fulfilling their tax obligations. Tax authorities provide guidelines, support, and resources to assist taxpayers in understanding and meeting their tax obligations. Effective administration and revenue collection in a self-assessment system depend on taxpayers' voluntary compliance and cooperation with the tax authority.

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Suppose an economy consists of 5 people whose combined income is $200,000. Their individual incomes are as follows: Bob, $85,000; Carol, $70,000; Fred, $15,000; Larry, $15,000, & Linda, $15,000.
a. Draw a Lorenz curve that represents their economy’s income distribution using the axes provided below.
b. Suppose the poverty threshold is defined as 50% of the economy’s median income. Does anyone fall below the poverty threshold?
Explain your answer.

Answers

In the given economy with 5 individuals and their respective incomes, we will draw a Lorenz curve to represent the income distribution. Based on this distribution, we will determine if anyone falls below the poverty threshold, which is defined as 50% of the economy's median income.

To draw the Lorenz curve, we first need to calculate the cumulative share of income for each individual. Arranging the individuals in ascending order of income, we have:

Bob: $85,000

Carol: $70,000

Fred: $15,000

Larry: $15,000

Linda: $15,000

The cumulative share of income for each individual is as follows:

Bob: $85,000 / $200,000 = 0.425

Carol: ($85,000 + $70,000) / $200,000 = 0.775

Fred: ($85,000 + $70,000 + $15,000) / $200,000 = 0.925

Larry: ($85,000 + $70,000 + $15,000 + $15,000) / $200,000 = 1.0

Linda: ($85,000 + $70,000 + $15,000 + $15,000 + $15,000) / $200,000 = 1.0

Now, we can plot the Lorenz curve by plotting the cumulative share of income on the y-axis and the cumulative share of the population on the x-axis.

To determine if anyone falls below the poverty threshold, we need to calculate the median income. In this case, the median income would be the income of Carol, which is $70,000. The poverty threshold is defined as 50% of the median income, which is $35,000.

Looking at the individual incomes, none of the individuals have an income below $35,000. Therefore, in this particular scenario, no one falls below the poverty threshold.

The Lorenz curve and the absence of individuals below the poverty threshold indicate a relatively equal income distribution in the given economy.

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Situation to discuss: 1 (We have flow of $1,500 in year 1 that is going to grow al 4% per year on an ongoing basis. How do you we determinate the flow at year 100? Explain in a paragraph. 2) We have a flow of 100.000 in year 1 that decreases by 6% per year on a continuous basis. How do we determinate the flow in year 50? Explain in a paragraph. 3) We have a flow of 300 in year 1 that decreases at rate of 100 per years. How many geometric series are formed by the flow? Name the series based on the way set up the graphs. Explain what the nomenclature would be to obtain a present value at 10% interest.

Answers

The present value of the cash flows would be $471.90.

1) In order to determine the flow at year 100, we must use the formula for calculating present value of a perpetuity, where the cash flow grows at a constant rate indefinitely.

The formula is:P = C / (r - g)

Where,P = Present value of cash flowC = Annual cash flowr = Discount rateg = Annual growth rate

Assuming a discount rate of 4%, we can calculate the present value of the cash flow in year 1 as:

P = $1,500 / (0.04 - 0.04) = $37,500Since the cash flow is growing at a rate of 4% per year, we can use the formula for calculating the future value of a growing perpetuity to find the cash flow in year 100.

The formula is:FV = C / (r - g)

Where,FV = Future value of cash flowC = Annual cash flowr = Discount rateg = Annual growth rate

Assuming a discount rate of 4%, we can calculate the future value of the cash flow in year 100 as:FV = $37,500 * [(1 + 0.04)^100 - 1] / 0.04= $1,352,988.98

Therefore, the flow at year 100 will be $1,352,988.98.2)

In order to determine the flow in year 50, we must use the formula for calculating future value of a cash flow with a constant rate of decrease.

The formula is:FV = PV * (1 - r)^t  Where,FV = Future value of cash flow

PV = Present value of cash flowr = Annual rate of decrease in cash flowt = Time period

Assuming a rate of decrease of 6% per year, we can calculate the cash flow in year 50 as:FV = $100,000 * (1 - 0.06)^50= $10,866.03

Therefore, the flow in year 50 will be $10,866.03.3) The flow of 300 in year 1 is decreasing at a rate of 100 per year. Therefore, the flow will form 3 geometric series, each with a common ratio of 0.6667.

The first series will have 3 terms, the second series will have 2 terms, and the third series will have 1 term.The nomenclature for obtaining a present value at 10% interest would be:P = (C1 / (1 + r)^1) + (C2 / (1 + r)^2) + ... + (Cn / (1 + r)^n)

Where,P = Present value of cash flowsC = Cash flow in each periodr = Discount rate

Assuming a discount rate of 10%, we can calculate the present value of the cash flows as:P = (300 / (1 + 0.1)^1) + (200 / (1 + 0.1)^2) + (100 / (1 + 0.1)^3)= $471.90

Therefore, the present value of the cash flows would be $471.90.

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Which of the following is classed as capital expenditure A. Selling and distribution costs B. Delivery of fixed assets C. Administration costs of the business D. Maintenance and repair of fixed assets

Answers

The correct answer is B. Delivery of fixed assets.

Capital expenditure refers to the expenses incurred for acquiring, improving, or extending the useful life of fixed assets that provide long-term benefits to a business. It involves investing in assets that are expected to generate revenue over multiple accounting periods.

Option A, Selling and distribution costs, are typically considered as operating expenses rather than capital expenditure. These costs are associated with the ongoing marketing and distribution of products or services.

Option C, Administration costs of the business, are also considered as operating expenses. These costs include general administrative expenses such as salaries, rent, utilities, and office supplies.

Option D, Maintenance and repair of fixed assets, is classified as revenue expenditure rather than capital expenditure. Maintenance and repair expenses are incurred to keep the fixed assets in good working condition and maintain their productivity but do not extend their useful life.

Option B, Delivery of fixed assets, involves the transportation and installation costs associated with acquiring fixed assets. It is considered a capital expenditure because it directly relates to acquiring and placing the fixed asset into service, thereby increasing its value and usefulness to the business.

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Give an example of a government-imposed barrier to entry. An example of a government-imposed barrier to entry is
A. a tariff on imports. B. a patent. C. economies of scale. D. both a and b. E. all of the above.

Answers

An example of a government-imposed barrier to entry is A. a tariff on imports.

A tariff is a tax imposed on imported goods, making them more expensive and less competitive compared to domestically produced goods. By implementing tariffs, the government can protect domestic industries from foreign competition and create a barrier for foreign firms trying to enter the market.

While option B, a patent, can also create a barrier to entry, it is not a government-imposed barrier but rather a legal protection granted to inventors or creators. Patents provide exclusive rights to inventors for a certain period, preventing others from using, selling, or manufacturing the patented invention without permission. This can limit competition in the market but is not directly imposed by the government.

Option C, economies of scale, is not a government-imposed barrier to entry but rather a natural advantage that larger firms may have due to their ability to achieve lower average costs as they increase production.

Therefore, the correct answer is D. both a and b, as tariffs and patents are examples of government-imposed barriers to entry.

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Andy Tedesco is interested in buying a small pickup truck with a base price of $31,100. It has these options: stereo/CD player/navigation system, $1.445, power sunroof, $850; security package, $640, aluminum wheels. $545; tubular side steps, $525, heated front seats. $250, trailer tow group. $525. pearl coat payment. $225, and all-terrain tires, $100. Its destination charge is $645. Determine its sticker price.

Answers

The sticker price of the small pickup truck with the base price of $31,100 and various optional features can be determined by adding the base price to the cost of each option, along with the destination charge.

The optional features include a stereo/CD player/navigation system ($1,445), power sunroof ($850), security package ($640), aluminum wheels ($545), tubular side steps ($525), heated front seats ($250), trailer tow group ($525), pearl coat payment ($225), and all-terrain tires ($100). The destination charge is $645. By adding up these costs, the sticker price of the pickup truck would amount to $36,450.

To calculate the sticker price, we add the base price of $31,100 to the cost of each option: $1,445 (stereo/CD player/navigation system) + $850 (power sunroof) + $640 (security package) + $545 (aluminum wheels) + $525 (tubular side steps) + $250 (heated front seats) + $525 (trailer tow group) + $225 (pearl coat payment) + $100 (all-terrain tires). This totals $4,105. Finally, we add the destination charge of $645. The sum of these amounts is $36,450, which represents the sticker price of the small pickup truck.

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Bank Balance Sheet Bank Balance Sheet Liabilities & Net Worth Assets Reserves $ 10,000 Deposits $100,000 Loans 100,000 Debt 20,000 Securities 40,000 Equity 30,000 Based on the table, what is the reserve-deposit ratio at the bank? O 10 10 percent O 15 15 percent 0 5 5 percent O 3 3 percent

Answers

The reserve-deposit ratio at the bank is 10 percent.

The reserve-deposit ratio is a measure that indicates the proportion of a bank's deposits that it holds as reserves. To calculate the reserve-deposit ratio, we divide the amount of reserves by the amount of deposits and express it as a percentage.

In this case, the bank has reserves of $10,000 and deposits of $100,000. Dividing $10,000 by $100,000 gives us 0.1. To express this as a percentage, we multiply by 100, resulting in a reserve-deposit ratio of 10 percent. Therefore, the correct answer is 10 percent.

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Ridge Co. owns 5% of the outstanding shares of North Co. During 2020, North Co. earns $100,000 in net income and pays cash dividends of $40,000. How much investment income and dividend revenue will Ridge report in 2020?
a. $5,000 in investment income and $2,000 in dividend revenue
b. $0 in investment income and $2,000 in dividend revenue
c. $5,000 in investment income and $0 in dividend revenue.
d. $100,000 in investment income and $40,000 in dividend revenue

Answers

Ridge Co. would report $5,000 in investment income and $0 in dividend revenue for the year 2020. Option c. $5,000 in investment income and $0 in dividend revenue is correct.

Ridge Co. owns 5% of the outstanding shares of North Co. This means that Ridge Co. has an investment in North Co. and earns investment income based on its ownership percentage. Since North Co. earned $100,000 in net income during 2020, Ridge Co. would earn 5% of that amount as investment income.

Investment Income = 5% of Net Income = 5% of $100,000 = $5,000

However, Ridge Co. only receives dividend revenue if North Co. pays dividends. In this case, North Co. paid cash dividends of $40,000. Since Ridge Co. owns 5% of the shares, it would receive 5% of the dividend amount as dividend revenue.

Dividend Revenue = 5% of Dividends = 5% of $40,000 = $2,000

Therefore, Ridge Co. would report $5,000 in investment income and $0 in dividend revenue for the year 2020.

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Taking HCF as an example, how to better understand separately
the format and content of the balance sheet, the statement of
operations, the statement of changes in net assets, and the
statement of cas

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To better understand the format and content of financial statements, let's use the example of the Highest Common Factor (HCF). The balance sheet provides a snapshot of an organization's assets and equity at a specific point in time.

The statement of operations shows revenue, expenses, and net income or loss over a given period. The statement of changes in net assets reveals how net assets have changed over time due to various activities. Lastly, the statement of cash flows tracks the inflows and outflows of cash to understand cash position and activities. Each statement serves a distinct purpose in analyzing an organization's financial health and performance.

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What is a threshold in a dose-response function Before the threshold, the response is strong After the threshold, the response is strong The threshold is linear The threshold is a tipping point

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A threshold in a dose-response function represents a tipping point in the relationship between the dose of a stimulus and the response it elicits.

Before reaching the threshold, the response may be minimal or absent, and the relationship between the dose and response may not be apparent. However, once the threshold is surpassed, the response becomes more pronounced and typically increases in magnitude as the dose continues to rise.

It is important to note that the response before the threshold is not necessarily strong. It could be negligible or weak, indicating a lack of noticeable effect. The threshold itself is not linear; rather, it represents a point at which the response transitions from minimal to more significant.

In summary, a threshold in a dose-response function signifies a tipping point where the response becomes noticeable and increases in intensity. It is not a linear relationship, and the strength of the response varies before and after the threshold.

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The chapter references collecting data, analyzing data, and
feeding back data. Describe what each of these entails and explain
whether you have been part of this process before?

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I have been part of the data analysis process before. As a research assistant, I have participated in data collection, analysis, and feeding back data to stakeholders. These experiences have taught me the importance of following a structured process to ensure that the data collected is accurate and reliable.

Collecting data, analyzing data, and feeding back data are three main phases of the data analysis process. Collecting data entails gathering data in a structured and systematic way. Analyzing data involves the examination of collected data to identify patterns and gain insights, which is followed by reporting findings.Feeding back data is the final step in the process and it refers to communicating the results to the stakeholders or the interested parties who may benefit from the findings. In this phase, the data analysis team provides reports, presentations, or visualizations of the results. There are different methods to collect data, and the choice of the method depends on the type of data that is being collected and the objectives of the study. For instance, data can be collected through questionnaires, interviews, observations, and focus groups. The collected data is then entered into a database or spreadsheet for analysis. Analyzing data involves identifying patterns, relationships, and insights from the data. The analysis can be done using different software such as Excel, SPSS, or R. After the analysis, the data analysts interpret the findings and report the results to the stakeholders. Feeding back data is the final phase in the process. It involves communicating the findings to the stakeholders in a format that is easy to understand. The feedback can be through reports, presentations, or visualizations. The stakeholders use the feedback to make decisions or improve their operations.In conclusion, I have been part of the data analysis process before. As a research assistant, I have participated in data collection, analysis, and feeding back data to stakeholders. These experiences have taught me the importance of following a structured process to ensure that the data collected is accurate and reliable.

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a reduction in the interest rate causes consumption and investment to _____, which shifts the aggregate demand curve _____.

Answers

A reduction in the interest rate causes consumption and investment to increase, which shifts the aggregate demand curve to the right.

When the interest rate decreases, borrowing costs become cheaper, making it more attractive for individuals and businesses to take loans and make investments. This leads to increased consumer spending and higher investment levels, resulting in an overall increase in aggregate demand.

As a result, the aggregate demand curve, which represents the total spending in the economy at different price levels, shifts to the right, reflecting the higher level of consumption and investment. This shift indicates an expansionary effect on the economy, potentially leading to higher output and employment levels.

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Malta Electric Company produces two products, Resistors and Transistors in a small manufacturing plant which had total manufacturing overhead of $21,000 in June. The factory has two departments, Design, which incurred $10,000 of manufacturing overhead, and Production which incurred $11,000 of manufacturing overhead. Design used 200 hours of direct labor and Production used 80 machine hours. During June, 150 direct labor hours were used in making 100 units of Resistors, and 150 direct labor hours were used in making 100 units of Transistors If Malta Electric Company uses a department rate based on direct labor hours for the Design Department and machine hours for the Production Department, the department overhead rates for the Design and Production Departments in June were Select one: O A. $50 per direct labor hour for both Design and Production B. $62.50 per direct labor hour for Design, and $125 per machine hour for Production C. $125 per direct labor hour for Design, and $62.50 per machine hour for Production D. $50 per direct labor hour for Design, and $137.50 per machine hour for Production

Answers

The correct answer is D. $50 per direct labor hour for Design, and $137.50 per machine hour for Production.

To calculate the department overhead rates for the Design and Production Departments, we'll first find the overhead rates per direct labor hour and machine hour for each department.

For the Design Department, the total manufacturing overhead is $10,000 and it used 200 hours of direct labor. So, the overhead rate for Design is $10,000 / 200 = $50 per direct labor hour.
For the Production Department, the total manufacturing overhead is $11,000 and it used 80 machine hours. The overhead rate for Production is $11,000 / 80 = $137.50 per machine hour.

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Canine Gourmet Super Breath dog treats are sold in boxes labeled with a net weight of 15 ounces ​(425 ​grams) per box. Each box contains 10 individual​ 1.5-ounce packets. To reduce the chances of shorting the​ customer, product design specifications call for the​packet-filling process average to be set at 43.0 grams so that the average net weight per box of 10 packets will be 430 grams. Tolerances are set for the box to weigh 430plus or minus±11 grams. The standard deviation for the​ packet-filling process is 1.03 grams. The target process capability ratio is 1.67. One​ day, the​packet-filling process average weight drifts down to 42.0 grams. Is the packaging process​ capable? Is an adjustment​ needed?
Since the process capability​ ratio, Cp, is _, the problem is that (A) The process variability is too large (B)The Process is not Centered adequately

Answers

Since the process capability​ ratio, Cp, is less than the target process capability ratio of 1.67, the problem is that The process variability is too large. Process capability index is a statistical measure that compares the process variability of a product with its acceptable variability.

It is calculated by comparing the range of acceptable values for a product with the range of values that the process is producing.If the Cp is less than 1.0, the process is said to be incapable. The Cp must be equal to or greater than 1.33 to meet the required process capability.The process capability​ ratio, Cp, is defined asCp = (Upper specification limit – Lower specification limit) / (6 * Standard Deviation)Here, the upper specification limit (USL) = 430 + 11 = 441gLower specification limit (LSL) = 430 – 11 = 419gStandard Deviation = 1.03gCp = (441 – 419) / (6 * 1.03) = 21 / 6.18 = 3.4Since the process capability​ ratio, Cp, is greater than the target process capability ratio of 1.67, the process is said to be capable.

But if the average packet filling process is reduced to 42g, then the Cp will be less than 1.33 and this will mean that the process is not capable of producing the required net weight of 430 g per box.Therefore, an adjustment is needed to bring the packet filling process average back to the target of 43g.

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Primary Task Response: Within the Discussion Board area, write 300-500 words that respond to the following questions with your thoughts, ideas, and comments. This will be the foundation for future discussions with your classmates. Be substantive and clear, and use examples to reinforce your ideas. Assume that you have been assigned a project, and you have chosen to manage it using the Agile method. Your boss does not know waterfall or Agile project management methods well and wants you to explain the impact of managing a project using both methods. Based on your knowledge of project management history, modern project management, project management selection strategies, and project management methods (such as waterfall and Agile and when each should be selected and why), you are asked to answer the following questions: • Why did you select Agile over waterfall? • How is managing each of the following in the project life cycle similar to or different in Agile versus waterfall: o Scope management o Communications management o Stakeholder management • Provide an example of risks that come with Agile that are not in waterfall?

Answers

Agile and Waterfall are both project management methodologies. Waterfall is a linear and sequential approach to project management, whereas Agile is an iterative and adaptive approach to project management. Agile is ideal for projects where requirements frequently change, while Waterfall is ideal for projects where the requirements are static.

Why did you select Agile over Waterfall?

Agile is frequently chosen over Waterfall because it is a more adaptive approach to project management. Agile is ideal for software development projects that require a lot of flexibility, iteration, and customer collaboration. Agile enables teams to react to shifting project requirements and alter their plan as needed. Additionally, Agile helps teams produce high-quality software and has been shown to improve customer satisfaction.

How is managing each of the following in the project life cycle similar to or different in Agile versus Waterfall:

Scope management: The scope management process in both Waterfall and Agile is identical. In the Waterfall methodology, the project scope is defined at the outset of the project, and the project is structured accordingly. In the Agile methodology, the scope is defined in smaller increments, with the team re-evaluating the scope with each iteration.Communications management: In Waterfall, communication is straightforward and occurs primarily through status reports and formal progress updates. In Agile, communication is frequent, open, and occurs in daily stand-up meetings, sprint reviews, and sprint retrospectives.Stakeholder management: In Waterfall, stakeholders are engaged primarily in the planning and review phases of the project. In Agile, stakeholders are actively involved in the project, providing feedback at every stage of the development process.

Provide an example of risks that come with Agile that are not in Waterfall: Risks that come with Agile that are not present in Waterfall include:

New to the organization: Agile is a relatively recent methodology, and as a result, team members may be unfamiliar with it.Higher frequency of changes: Because Agile requires frequent changes to be made, it can be difficult to keep up with changes and maintain effective communication.More management is needed: Because Agile requires more frequent communication and feedback, it may require more project management.Lack of documentation: Agile's rapid iterations and emphasis on working software may result in less documentation than other methodologies.

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A brewery is considering adding a new line of craft beers to its product mix. The new beer will require additional brewing and bottling capacity at a cost of? $15 million, but is expected to generate new sales of? $5 million per year for the next 5 years. If the brewery has a cost of capital of? 6%, what is the NPV of this? investment?
A. ?$8.6 million
B. ??$15 million
C. ?$3.7 million
D. ?$6.1 million
E. ?$10 million

Answers

Therefore, the correct answer is option C: $3.7 million. To calculate the Net Present Value (NPV) of the investment in the new line of craft beers.

we need to consider the initial cost of the investment, the expected cash flows over the next 5 years, and the cost of capital. To calculate the NPV, we discount the expected cash flows by the cost of capital. The cash flows are the annual sales generated by the new line of craft beers, which is $5 million per year for 5 years. The cost of capital is 6%.

Using the formula for NPV, we calculate the present value of each cash flow and sum them up. The formula is: NPV = Cash Flow / (1 + Cost of Capital)^n, where n represents the time period.

For this investment, the NPV can be calculated as follows:

NPV = (-$15 million) + ($5 million / (1 + 0.06)^1) + ($5 million / (1 + 0.06)^2) + ($5 million / (1 + 0.06)^3) + ($5 million / (1 + 0.06)^4) + ($5 million / (1 + 0.06)^5)

By calculating this expression, we find that the NPV of the investment is approximately $3.7 million.

Therefore, the correct answer is option C: $3.7 million.

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Pro Sports had the following transactions during 2017:
1. Issued $200,000 of par value ordinary shares for
cash.
2. Repaid a 10 year note payable in the amount of
$45,000.
3. Acquired land by is

Answers

The statement abruptly ends after the second transaction, without providing information about the land acquisition. Therefore, it is uncertain whether Pro Sports acquired land during 2017 or not.

The given statement is incomplete and ends abruptly. To determine whether it is true or false, I require further information regarding the acquisition of land.

Pro Sports had the following transactions during 2017:

Issued $200,000 of par value ordinary shares for cash.

This transaction indicates that Pro Sports raised capital by issuing ordinary shares with a par value of $200,000. It implies an inflow of cash from investors in exchange for ownership in the company.

Repaid a 10-year note payable in the amount of $45,000.

This transaction suggests that Pro Sports made a repayment of a long-term debt obligation in the amount of $45,000. It signifies a reduction in the company's liabilities.

The statement abruptly ends after the second transaction, without providing information about the land acquisition. Therefore, it is uncertain whether Pro Sports acquired land during 2017 or not.

To accurately determine the truth or falsehood of the statement, additional information regarding the land acquisition is required. Please provide further details regarding the acquisition, and I will be able to provide a justified response based on the complete information.

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Current Attempt in Progress Identify the impact on the balance sheet for that month if the following information is not used to adjust the accounts. 1. Supplies consumed during the month totalled $3,0

Answers

If the information regarding the supplies consumed during the month is not used to adjust the accounts, it will have a negative impact on the balance sheet for that month.

This is because supplies consumed represent an expense incurred by the company, which needs to be deducted from the assets on the balance sheet. As a result, the assets will be overstated, and the expenses will be understated, leading to an incorrect calculation of the company's net income. This can also affect the company's financial ratios, which are used by investors and creditors to evaluate its performance and creditworthiness.

Therefore, it is essential to accurately record and adjust all expenses incurred during the accounting period to ensure that the financial statements provide a true and fair view of the company's financial position.

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"Goodwill impairment journal entry?
Is goodwill impairment included in the income statement?

Answers

When a company experiences a decline in the value of its goodwill, it needs to recognize a goodwill impairment loss in its financial statements.

The journal entry to record goodwill impairment involves reducing the carrying amount of the goodwill asset on the balance sheet and recording the impairment loss on the income statement.

The journal entry to record goodwill impairment is as follows:

Debit: Goodwill Impairment Loss

Credit: Goodwill

The amount of the impairment loss is calculated by subtracting the fair market value of the goodwill from its carrying amount.

Goodwill impairment loss is included in the income statement as an expense and reduces the net income of the company for the period. This reduction in net income can have a negative impact on the company's financial ratios and may affect its ability to obtain financing or attract investors.

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Swifty Company purchases an oil tanker depot on January 1, 2020, at a cost of $648,500. Swifty expects to operate the depot for 10 years, at which time it is legally required to dismantle the depot and remove the underground storage tanks. It is estimated that it will cost $79,920 to dismantle the depot and remove the tanks at the end of the depot’s useful life.

(a)

Prepare the journal entries to record the depot and the asset retirement obligation for the depot on January 1, 2020. Based on an effective-interest rate of 6%, the present value of the asset retirement obligation on January 1, 2020, is $44,627. (If no entry is required, select "No Entry" for the account titles and enter 0 for the amounts. Credit account titles are automatically indented when amount is entered. Do not indent manually.)

Answers

On January 1, 2020, Swifty Company purchased an oil tanker depot for $648,500 and incurred an estimated asset retirement obligation of $79,920 to dismantle the depot and remove the underground storage tanks after 10 years.

The present value of the asset retirement obligation on January 1, 2020, based on an effective-interest rate of 6%, is $44,627. Journal entries are required to record the acquisition of the depot and the recognition of the asset retirement obligation.

To record the acquisition of the depot on January 1, 2020, the following journal entry is made:

Depot Account $648,500

Cash Account $648,500

This entry recognizes the purchase of the depot at its cost of $648,500.

To record the asset retirement obligation on January 1, 2020, the following journal entry is made:

Depot Account $44,627

Asset Retirement Obligation Account $44,627

This entry recognizes the liability for the asset retirement obligation at its present value of $44,627 based on the effective-interest rate of 6%.

These journal entries appropriately record the acquisition of the depot and the recognition of the asset retirement obligation on January 1, 2020, in accordance with the given information.

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real gdp is a more accurate measure of economic growth than nominal gdp because:

Answers

Real GDP is a more accurate and meaningful measure of economic growth than nominal GDP, as it provides a more accurate reflection of changes in the quantity of goods and services produced over time.

Real GDP is a more accurate measure of economic growth than nominal GDP because it takes inflation into account. Nominal GDP only measures the total value of goods and services produced in a country at current market prices, which can be influenced by inflation. In contrast, real GDP adjusts for inflation by measuring the value of goods and services produced in a country using a base year price level. This means that changes in real GDP reflect changes in the actual quantity of goods and services produced, rather than just changes in their prices.

Using real GDP as a measure of economic growth allows us to accurately compare economic output over time. For example, if nominal GDP increased by 5% from one year to the next, but inflation increased by 4%, the real GDP growth rate would only be 1%. This would provide a more accurate picture of economic growth, as it takes into account the impact of inflation on the economy.

Real GDP is also useful for comparing economic growth across different countries, as it allows for a more accurate comparison of living standards. By adjusting for differences in the cost of living, real GDP allows us to compare the quantity of goods and services produced in different countries, rather than just their market value.

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