Internal development is a strategic management practice, which entails developing new businesses from within the same company.
An excellent example of a company that has diversified through internal development is Apple, which created the iPod, iPhone, and iPad. The company established a strategy to create new products in different areas, which helped diversify their offerings and grow their brand to become a global force. The strategy allowed the company to take full advantage of their research and development team's talents, who, with every new product they introduced, delivered better technology to their consumers. The company's efforts in product development have helped it grow its market share in various markets, ensuring its success in the competitive technology industry. As a result, the company has continued to produce new products with unique features and improved design. The company has continued to grow and expand its product offerings, thus increasing its competitive edge in the market. Apple is a clear example of how a company can diversify its operations and expand its product offerings by investing in research and development and internal development.
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Task assigned: Study and critically analyze and justify from the case study assigned on the following review questions: Is the Zara model sustainable? Suggest what would you do to preserve their edge
By implementing these measures, Zara can ensure that their business model remains sustainable and resilient, while also taking a proactive role in protecting the environment. Therefore, it can be concluded that the Zara model can be sustainable if certain measures are taken and implemented.
Task assigned: Study and critically analyze and justify from the case study assigned on the following review questions: Suggest what would you do to preserve their edge.The Zara model has become synonymous with the term “fast fashion,” and has transformed the retail industry with its unique approach to supply chain management, product development, and customer engagement. Zara is a subsidiary of Inditex, a multinational clothing retailer that operates in more than 50 countries. Zara's success story is often cited as a classic example of how a small business can outperform the competition by taking a fresh, innovative approach to the market.In recent years, however, Zara's business model has come under scrutiny due to concerns about its sustainability. Despite its obvious commercial success, many industry insiders argue that Zara's approach is not only environmentally unsustainable but also ethically questionable. The fast-paced nature of Zara's operations requires rapid turnaround times, leading to high levels of waste and the consumption of non-renewable resources.To preserve their edge, Zara could take some steps like: Investing in sustainable production methods, using eco-friendly materials, reducing waste and creating a circular economy, and pursuing ethical practices throughout their supply chain.
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MICROECONOMICS
1. [3 marks] Given the function, V = Aet, use the derivative to show that the rate of growth of V is equal to r. Given your answer, what is the rate of growth for the following expression: debet 3/ =
Answer:
To show that the rate of growth of V is equal to r using the derivative, we differentiate the function V = A*e^t with respect to time (t).
Explanation:
V = A*e^t
Differentiating both sides with respect to t:
dV/dt = A*e^t * d/dt(t)
Since d/dt(t) is simply 1, we can simplify the expression:
dV/dt = A*e^t
The derivative of V with respect to t is equal to A times e^t.
Now, we have dV/dt, which represents the rate of growth of V. In the given function, we can observe that A is a constant, and e^t is also a constant factor since it represents exponential growth with a fixed rate. Therefore, the rate of growth of V, dV/dt, is equal to A times e^t.
Now, let's calculate the rate of growth for the expression "debet 3/":
Given the expression, debet 3/, it seems that it might be a typographical error or incomplete. If you can provide more information or clarify the expression, I would be happy to help you calculate the rate of growth based on the given information.
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The adjusting entry for the unrecorded and unpaid salaries at year-end, P58,000 is
Debit to Salaries Payable, 58,000 and credit to Salaries Expense, 58,000
Debit to Salaries Expense, 58,000 and credit to Cash, 58,000
Debit to Salaries Expense, 58,000 and credit to Salaries Payable, 58,000
Debit to Salaries Payable, 58,000 and credit to Cash, 58,000
The adjusting entry for unrecorded and unpaid salaries at year-end, P58,000, is a debit to Salaries Expense, P58,000, and a credit to Salaries Payable, P58,000.
The adjusting entry is necessary to account for the salaries that have been earned by employees but have not yet been recorded or paid. Since the salaries are owed to employees but not yet disbursed, the entry should reflect an increase in the liability account (Salaries Payable) and an increase in the expense account (Salaries Expense). Therefore, the correct adjusting entry is a debit to Salaries Expense, P58,000, and a credit to Salaries Payable, P58,000. This recognizes the expense and records the corresponding liability for the unpaid salaries at year-end.
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l
Patricia Repair Inc. was started on May 1. A summary of May transactions is presented below. 1. 2. 3. 4. 5. Stockholders invested $8,200 cash in the business in exchange for common stock Purchased equipment for $4,100 cash. Paid $328 cash for May officerent. Paid $246 cash for supplies incurred $205 of advertising costs in the Beacon News on account. Performed repair services for customer for $3,854 cash. Paid a $574 cash dividend. Paid part-time employee salaries $820. Paid utility bills $115. 6. 7. 8 ad 9. 10. Performed repair services worth $902 on account 11. Collected cash of $98 for services billed in transaction (10). Prepare a tabular analysis of the transactions. Include margin explanations for any changes in revenues or expenses. Revenue is called Service Revenue. (If a transaction results in a decrease in Assets, Liabilities or Stockholders' Equity, place a negative sign for parentheses) in front of the amount entered for the particular Asset, Liability or Equity Item that was reduced.) From an analysis of the Retained Earnings columns, compute the net income or net loss for May. Net Income for May $
$2,768 is the net income for May. The tabular examination of the transactions provides a thorough response. The margin justifications for changes in revenues or costs are included in the tabular analysis.
Transactions in MayStockholders invested $8,200 cash in the business in exchange for common stock. (Cash is increased, common stock is increased).
Purchased equipment for $4,100 cash. (Cash is decreased, equipment is increased).
Paid $328 cash for May office rent. (Cash is decreased, rent expense is increased).
Paid $246 cash for supplies. (Cash is decreased, supplies is increased).
Incurred $205 of advertising costs in the Beacon News on account. (Accounts payable is increased, advertising expense is increased).
Performed repair services for customer for $3,854 cash. (Cash is increased, service revenue is increased).
Paid a $574 cash dividend. (Cash is decreased, dividends are increased).
Paid part-time employee salaries $820. (Cash is decreased, salaries and wages expense is increased).
Paid utility bills $115. (Cash is decreased, utilities expense is increased).
Performed repair services worth $902 on account. (Accounts receivable is increased, service revenue is increased).
Collected cash of $98 for services billed in transaction (10). (Cash is increased, accounts receivable is decreased).
Calculation of Net Income for May:
Particulars Amount($)Service Revenue3854+902=4756
Rent Expense328
Supplies246
Advertising Expense205
Salaries and Wages820
Utilities Expense115
Dividends574
Net Income $2768
Therefore, the net income for May is $2,768. The detailed answer is the tabular analysis of the transactions. The tabular analysis includes the margin explanations for changes in revenues or expenses.
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"When an organization is experiencing rapid growth, how important are internal controls?
Group of answer choices
Since rapid growth is a good thing for organizations, internal controls can be put on the back burner until growth decelerates.
Even in a period of high growth, internal controls, and control policies should always come before growth and revenue opportunities.
Growth and generating value are the main fiduciary duties of management, so internal controls are a secondary issue in high growth industries and businesses.
Even during periods of high growth, there should be a balance of control and growth opportunities. This can be achieved by internal audit coordinating with other functional groups."
Even during periods of high growth, there should be a balance of control and growth opportunities. This can be achieved by internal audit coordinating with other functional groups.
Internal controls play a crucial role in organizations, regardless of the growth phase they are experiencing. While rapid growth can bring new opportunities and revenue, it also introduces new risks and challenges. Implementing and maintaining effective internal controls is essential to mitigate these risks and ensure the organization's long-term success.
Internal controls provide a framework to safeguard assets, ensure accurate financial reporting, comply with regulations, and promote operational efficiency. They help identify and address potential fraud, errors, and inefficiencies, which can become amplified during periods of rapid growth.
While growth and generating value are important fiduciary duties of management, neglecting internal controls can jeopardize the organization's financial stability, reputation, and future growth prospects. It is essential to prioritize the establishment and maintenance of internal controls alongside growth initiatives to ensure that risks are managed effectively and the organization operates in a sustainable manner.
Coordinating with other functional groups, including internal audit, can help strike a balance between control and growth opportunities. Internal audit can assess the effectiveness of internal controls, provide recommendations for improvement, and work collaboratively with management to address emerging risks and optimize operational processes.
In summary, even in periods of high growth, internal controls should not be overlooked. They are vital for maintaining stability, managing risks, and ensuring the organization's long-term success.
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Movements along versus shifts of supply curves Consider the market supply of wine. Complete the following table by indicating whether an event will cause a movement along the supply curve for wine or a shift of the supply curve for wine, holding all else constant. Movement Along Shift Event O A change in expectations about the future price of wine An increase in the number of producers O O A decrease in the price of wine O O 4. Movements along versus shifts of demand curves Consider the market demand for hot dogs. Complete the following table by indicating whether an event will cause a movement along the demand curve for hot dogs or a shift of the demand curve for hot dogs, holding all else constant. Event Movement Along Shift A change in the expectations of consumers about their future income An increase in the number of consumers A decrease in the price of hot dogs 00 O 00 O
Whether the mother, father, or both of the parents are likely to have had the measles as children is the subject of a study being conducted by a municipal health official.
By accumulating data on the prevalence of childhood measles in the population, the health official can assess the possibility that each parent has personally experienced the sickness. This could be determined by factors like the parents' ages, demographic information, vaccination history, and any known measles infection histories. Combining these numbers and taking into account whether either parent is infected or both, the health official can calculate the overall risk of infection.
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Assume you are creating an app for a water taxi business in the Cayman Islands. You must use PESTEL and Porter’s 5 Force to analyse the industry’s external environment, profitability and competitive intensity. Your answer should take the below questions into account.
Is there a trend changing the industry’s structure (.g., Covid-19, trade war, new technology)? Is this industry consolidating? How is this industry’s current competitions and profitability? Any existing players? who are they? What do they offer customers? what are their strength & weaknesses? Any barrier for new players?
The Cayman Islands is known for its water taxi business, which transports passengers and goods from one island to another.
Before creating an app for the water taxi business, a PESTEL and Porter’s Five Forces analysis of the industry's external environment, profitability, and competitive intensity is essential. Yes, technology is changing the industry's structure. As a result, water taxi businesses in the Cayman Islands must keep up with the latest technology. The emergence of new technology has resulted in a significant shift in the water taxi industry.
The use of technology can enhance the overall customer experience, safety, speed, and efficiency.Is this industry consolidating?Yes, the industry is consolidating.
Many of the existing players in the industry are merging with other companies to expand their operations. The growth of tourism in the Cayman Islands has attracted more investors, leading to industry consolidation.
The industry is competitive, and many businesses are fighting for a share of the market. The existing players in the industry offer customers exceptional services.
Yes, several existing players offer customers exceptional services. These companies include Island Dream Tours, Fat Fish Adventures, and Cayman Sea Private Charter. Island Dream Tours is known for providing exceptional customer service, while Fat Fish Adventures is known for its private tours. Cayman Sea Private Charter is known for its luxurious amenities. Their strengths include experience in the industry and their ability to cater to the customers' needs.The high costs of establishing a water taxi business in the Cayman Islands can be a significant barrier for new players. Obtaining the necessary licenses, permits, and equipment can be expensive, and competition is already fierce.
Furthermore, the island's geography and marine environment can be challenging for new players who are not familiar with the terrain.
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2 E10-4 (Algo) Computing Issue Prices of Bonds Sold at Par, at a Discount, and at a Premium LO10-2, 10-4, 10-5 ts James Corporation is planning to issue bonds with a face value of $506,500 and a coupon rate of 6 percent. The bonds mature in 15 years and pay interest semiannually every June 30 and December 31. All of the bonds will be sold on January 1 of this year. (EV. of $1. PV of $1. FVA of $1, and PVA of S1) (Use the appropriate factor(s) from the tables provided. Round your final answer to whole 03:00:27 dollars.) Required: Compute the issue (sales) price on January 1 of this year for each of the following independent cases: a. Case A: Market interest rate (annual): 4 percent. Answer is complete but not entirely correct. Issue price 619,903 2 10 points 03:00:15 b. Case B: Market interest rate (annual): 6 percent. Answer is complete and correct. Issue price $ 506,500 c. Case C: Market interest rate (annual): 8.5 percent. Answer is complete but not entirely correct. Issue price $ 400,272
A bond is a financial contract in which a borrower promises to pay a predetermined interest rate to a lender for a specified period of time, with the principal returned at the contract's maturity.
The issue prices of bonds sold at par, at a discount, and at a premium can be calculated using the information given about a bond. The market interest rate (or yield rate) is an important factor in determining the price at which a bond can be issued. Bond valuation methods require a calculation of the interest rate that makes the present value of future cash flows equal to the market price of the bond.
a. Case A: Market interest rate (annual): 4 percent.
Issue price: $619,903
Calculating the bond's issue price requires the use of the present value formula, which is:
Present Value = Cash flow / (1 + i)nt = Number of years the bond will be heldi = Interest rate that must be used to discount the cash flows to their present values
n = Number of periods per year in which interest payments are made
The bond's present value is calculated by first calculating the interest payment and then calculating the principal payment. Interest payments are calculated using the following formula:
Interest payment = Face value of bond x Coupon ratex (n/2)where, n = Number of payments per year. For this bond, the number of payments per year is 2.
Principal payment is equal to the face value of the bond. Therefore, for this bond, the principal payment is $506,500.Using the present value formula, the present value of the bond can be calculated as follows:
Present Value of bond = [Interest payment x PVA (4%, 30 years)] + [Principal payment x PVF (4%, 30 years)]Present Value of bond = [(506,500 x 0.03 x 15) x 13.5909] + [506,500 x 0.32197]
Present Value of bond = 313,096.8 + 162,806.2
9Present Value of bond = $475,903.09
Issue price = $475,903.09, which is less than the face value of the bond ($506,500).
Thus, the issue price of bond sold at 4% market interest rate is $619,903. 2.
Case B: Market interest rate (annual): 6 percent
.Issue price: $506,500
The coupon rate of the bond is equal to the bond's annual interest rate, which is 6% in this case. Since the coupon rate and the face value of the bond are known, calculating the bond's interest payments is easy:
Interest payment = Face value of bond x Coupon rate x (n/2)
Interest payment = $506,500 x 0.03 x 15
Interest payment = $76,095
Principal payment is equal to the face value of the bond. Therefore, for this bond, the principal payment is $506,500.Using the present value formula, the present value of the bond can be calculated as follows:
Present Value of bond = [Interest payment x PVA (6%, 30 years)] + [Principal payment x PVF (6%, 30 years)]
Present Value of bond = [(506,500 x 0.03 x 15) x 11.469] + [506,500 x 0.2314]
Present Value of bond = 263,027.25 + 117,133.1
Present Value of bond = $380,160.35
Issue price = $506,500, which is equal to the face value of the bond. Thus, the issue price of the bond sold at 6% market interest rate is $506,500. 3.
Case C: Market interest rate (annual): 8.5 percent.
Issue price: $400,272
Interest payment = Face value of bond x Coupon rate x (n/2)
Interest payment = $506,500 x 0.03 x 15
Interest payment = $76,095
Principal payment is equal to the face value of the bond. Therefore, for this bond, the principal payment is $506,500.Using the present value formula, the present value of the bond can be calculated as follows:
Present Value of bond = [Interest payment x PVA (8.5%, 30 years)] + [Principal payment x PVF (8.5%, 30 years)]
Present Value of bond = [(506,500 x 0.03 x 15) x 8.185] + [506,500 x 0.13094]
Present Value of bond = 186,348.75 + 66,255.92
Present Value of bond = $252,604.67
Issue price = $400,272, which is less than the face value of the bond ($506,500).
Thus, the issue price of bond sold at 8.5% market interest rate is $400,272.
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What can leaders do after the decision-making process to help
stimulate constructive conflict?
Explanation:
Don't ignore the problem. ...
Provide feedback. ...
Conduct efficient meetings. ...
Encourage diversity. ...
Team building activities.
Back to Assignment Attempts Average/3 1. Individual Problems 15-2 Mr. and Mrs. Ward typically vote oppositely in elections and so their votes "cancel each other out." They each gain 14 units of utility from a vote for their positions (and lose 14 units of utility from a vote against their positions). However, the bother of actually voting costs each 7 units of utility. The following matrix summarizes the strategies for both Mr. Ward and Mrs. Ward. Mrs. Ward Vote Don't Vote Mr. Ward Vote Mr. Ward: 7, Mrs. Ward: -7 Don't Vote Mr. Ward: -14, Mrs. Ward: 7 Mr. Ward: 7, Mrs. Ward: 14 Mr. Ward: 0, Mrs. Ward: 0 and for Mrs. Ward to Under this outcome, Mr. Ward receives a The Nash equilibrium for this game is for Mr. Ward to payoff of units of utility and Mrs. Ward receives a payoff of units of utility vote Suppose Mr. and Mrs. Ward agreed not to vote in tomorrow's election. not vote True or False: This agreement would increase utility for each spouse, compared to the Nash equilibrium from the previous part of the question. O True O False This agreement not to vote a Nash equilibrium.
In the given scenario, Mr. and Mrs. Ward typically vote oppositely, leading to their votes canceling each other out. They both gain 14 units of utility from a vote for their positions but incur a cost of 7 units of utility for actually voting.
In this case, Mr. Ward receives a payoff of 7 units of utility, while Mrs. Ward receives a payoff of -7 units of utility. If Mr. and Mrs. Ward agree not to vote in tomorrow's election, it would indeed increase utility for each spouse compared to the Nash equilibrium from the previous part of the question. By not voting, they would avoid the costs associated with voting (7 units of utility loss), resulting in a net increase in utility for both of them. The agreement not to vote allows them to mitigate the negative impact of voting costs while still maintaining their opposing positions. It enables them to save resources and avoid the situation where their votes cancel each other out, leading to zero utility gains. Therefore, it can be concluded that the statement is true, and the agreement not to vote would increase utility for each spouse, providing them with a more favorable outcome compared to the Nash equilibrium.
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CASE 9.2 ENDOWMENTS: TO SPEND NOW OR SAVE FOR A RAINY DAY Journey Center, a drop-in center for teens aged 13 to 18 years old had been operating in the predominately low-income community of Kingston for almost 10 years. The organization was established by members of a church in the neighboring upscale town of Middleton as a separate 501(c)(3) nonprofit with the mission of giving local kids a safe place after school to spend their free time and receive homework assistance, if needed. The majority of funding for the center came through the support of church parishioners in the form of cash donations and fund-raisers held at the church on behalf of Journey Center. The center's founding board was made up of Kingston community members, some of whom were also parishioners. Journey Center operated out of a rented storefront two blocks away from the local high school. When they first opened the doors, word spread about the center, and before long it was viewed as the "cool" place to hang out. On average, 20 students used the facility every week- day when school was in session. The center was closed on the weekends and during the summer. Brightly painted rooms were filled with a hodgepodge of donated bean bag chairs, board games, and a worn pool table. There were chairs and tables scattered about where students could complete their schoolwork. The program was run by a part-time executive director, Jorge Partida. Jorge enjoyed the lively chaos that the teens brought to the center and prided himself on knowing all of their names. Jorge carefully monitored every penny of the center's annual $300,000 budget. He employed several part-time staff who, along with volunteers, helped deliver tutoring programs and monitored the teens' activities. For their part, church members were also very proud of the center they had helped to build. One spring, parishioners and staff were working on the annual giving campaign for the church when Barb Sandke, a longtime parishioner and major donor to the church and the center said, "You know, I've been thinking..." Chapter 9
As Barb Sandke, a longtime parishioner and major donor to the church and the center said, "You know, I've been thinking...". Her thought was on how the church should handle its endowments: should it spend the money now, or save it for a rainy day?
As Barb Sandke, a longtime parishioner and major donor to the church and the center said, "You know, I've been thinking...". Her thought was on how the church should handle its endowments: should it spend the money now, or save it for a rainy day? The Journey Center was founded as a separate 501(c)(3) nonprofit by members of a church in the neighboring upscale town of Middleton with the mission of providing a safe space for local kids to hang out, do their homework, and engage in other activities.The center's majority of funding came from church parishioners in the form of cash donations and fundraisers held at the church on behalf of Journey Center. The center's founding board was made up of Kingston community members, some of whom were also parishioners. Journey Center operated out of a rented storefront two blocks away from the local high school, serving an average of 20 students every weekday when school was in session.Its part-time executive director, Jorge Partida, carefully monitored every penny of the center's annual $300,000 budget. Several part-time staff who, along with volunteers, helped deliver tutoring programs and monitored the teens' activities. For their part, church members were also very proud of the center they had helped to build.In conclusion, the church should consider the immediate needs of the center. A portion of the endowment could be used for the Journey Center to improve its facilities, expand the programs and attract more students. However, the church also needs to ensure the safety of the center in case of unforeseen events that could threaten its operations. Therefore, it's best to create a balance by keeping the money in a reserve account and using it only when necessary. Finally, the church should invite members of the Kingston community to offer their input on how to use the funds.
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In an accretion/dilution analysis of an acquisition, if the
purchase price exceeds the book value of the target’s assets,
discuss the key components of the balance sheet that will be
adjusted on the
In an accretion/dilution analysis of an acquisition, when the purchase price exceeds the book value of the target's assets, several key components of the balance sheet will be adjusted to account for the difference.
These adjustments are made to reflect the impact of the acquisition on the financial position of the acquiring company. The key components that will be adjusted include:
Goodwill: Goodwill represents the premium paid by the acquiring company over the book value of the target's net assets. When the purchase price exceeds the book value, goodwill is created to account for the intangible value of the target's brand, customer relationships, or other factors that contribute to its earning power.
Assets: The fair value of the target's tangible and intangible assets will be reassessed and adjusted. This includes adjustments to property, plant, and equipment, patents, trademarks, or any other identifiable intangible assets.
Liabilities: The target's liabilities, such as loans, debt, and contingent liabilities, will also be reassessed and adjusted based on their fair value. This ensures that the acquiring company reflects the true obligations it assumes as a result of the acquisition.
Equity: The target's equity accounts, including retained earnings and any other capital accounts, may be adjusted to align with the fair value of the acquired assets and liabilities.
By making these adjustments, the acquiring company can accurately reflect the financial impact of the acquisition on its balance sheet. This helps in determining the accretion or dilution effect on key financial metrics such as earnings per share and return on investment. Adjusting the balance sheet components is crucial in providing a comprehensive and accurate picture of the financial position of the combined entity after the acquisition.
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The statement of financial position as at December 31, 2021 for M Performance Inc. is presented below: M Performance Inc. Statement of Financial Position As at December 31, 2021 2020 Cash $29,000 $10,000 Accounts receivable 28,000 19,000 Inventory 46,000 66,000 Equipment 110,000 101,000 Accumulated depreciation, equipment (26,000) (22,000) Total Assets $187,000 $174,000 Accounts payable $21,000 $9.000 37,000 45,000 Bank loan payable Common shares 40,000 - 23,000 89,000 97,000 Retained earnings $187.000 $174.000 Total Liabilities and Shareholders' Equity Additional information for the year ended December 31, 2021: 1. Net income was $27,000. 2. Equipment with a cost of $53,000 and accumulated depreciation of $5,000 was sold for $47,000. Required: Prepare in good form a statement of cash flows for the year ended December 31, 2021 using the indirect method
The net increase in cash for the year is $149,000, resulting in a cash balance of $159,000 at the end of the year.
M Performance Inc.
Statement of Cash Flows
For the Year Ended December 31, 2021
Indirect Method
Cash Flows from Operating Activities:
Net Income $27,000
Adjustments to reconcile net income to net cash provided by operating activities:
Depreciation Expense $4,000
Loss on Sale of Equipment $1,000
Decrease in Accounts Receivable $9,000
Decrease in Inventory $20,000
Increase in Accounts Payable $12,000
Net Cash Provided by Operating Activities $73,000
Cash Flows from Investing Activities:
Proceeds from Sale of Equipment $47,000
Purchase of Equipment ($13,000)
Net Cash Provided by Investing Activities $34,000
Cash Flows from Financing Activities:
Increase in Bank Loan Payable $8,000
Issuance of Common Shares $40,000
Dividends Paid ($6,000)
Net Cash Provided by Financing Activities $42,000
Net Increase in Cash $149,000
Cash at Beginning of Year $10,000
Cash at End of Year $159,000
The statement of cash flows shows the cash inflows and outflows from operating, investing, and financing activities. In this case, the indirect method is used, which starts with net income and adjusts for non-cash items and changes in working capital.
In the operating activities section, adjustments are made for depreciation expense, loss on the sale of equipment, and changes in accounts receivable, inventory, and accounts payable. These adjustments result in net cash provided by operating activities of $73,000.
In the investing activities section, the proceeds from the sale of equipment are recorded as a cash inflow, and the purchase of equipment is recorded as a cash outflow. The net cash provided by investing activities is $34,000.
In the financing activities section, the increase in bank loan payable and issuance of common shares are recorded as cash inflows, while dividends paid are recorded as a cash outflow. The net cash provided by financing activities is $42,000. The net increase in cash for the year is $149,000, resulting in a cash balance of $159,000 at the end of the year.
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D Question 15 Which of the following is NOT a money market security? O U.S. Government bond maturing in five years Euro-Dollar Deposits O Treasury bill maturing in six months O Commercial paper issued
The U.S. Government bond maturing in five years is NOT a money market security.
Money market securities are short-term debt instruments with high liquidity and low risk. They are typically used for short-term borrowing or lending in the money market. U.S. Treasury bills maturing in six months, Euro-Dollar deposits, and commercial paper issued by corporations are examples of money market securities.
However, a U.S. Government bond maturing in five years is a longer-term debt instrument, not typically considered a money market security. Government bonds have longer maturities and are traded in the bond market rather than the money market. They are used for long-term borrowing and investment purposes, offering higher interest rates compared to money market securities.
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Royal Company is preparing budgets for all the five months: Budgeted sales for the next five months are: April 20,000 units May 50,000 units June 30,000 units July 25,000 units August 15,000 units. The selling price is $10 per unit. All sales are on account. Royal's collection pattern is: 70% collected in the month of sale, 25% collected in the month following sale, 5% uncollectible. The March 31 accounts receivable balance of $30,000 will be collected in full. 1. Prepare a sales budget for the April, May & June, July and August. 2. Prepare expected cash collections budget for all the months.
The expected cash collections budget will provide estimates of the cash inflows for each month based on the collection pattern and the sales figures.
1. Sales Budget:
- April: 20,000 units x $10 = $200,000
- May: 50,000 units x $10 = $500,000
- June: 30,000 units x $10 = $300,000
- July: 25,000 units x $10 = $250,000
- August: 15,000 units x $10 = $150,000
2. Expected Cash Collections Budget:
To determine the expected cash collections, we consider the collection pattern provided:
- April: 70% of April sales ($200,000 x 70% = $140,000)
- May: 25% of April sales ($200,000 x 25% = $50,000) + 70% of May sales ($500,000 x 70% = $350,000)
- June: 25% of May sales ($500,000 x 25% = $125,000) + 70% of June sales ($300,000 x 70% = $210,000)
- July: 25% of June sales ($300,000 x 25% = $75,000) + 70% of July sales ($250,000 x 70% = $175,000)
- August: 25% of July sales ($250,000 x 25% = $62,500) + 70% of August sales ($150,000 x 70% = $105,000)
The expected cash collections budget will provide estimates of the cash inflows for each month based on the collection pattern and the sales figures.
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State the concept of bias-variance trade off with a neat bull’s
eye diagram. Calibrate a graph to explain the relationship of
prediction error and complexity with an example
The concept of bias-variance trade-off refers to the need for machine learning models to balance between two sources of errors, bias, and variance.
High bias refers to an underfit model that cannot capture the complexity of the dataset while high variance refers to an overfit model that fits the training data too well.
Therefore, the bull's eye diagram helps to visualize the bias-variance trade-off as follows: Bull's eye diagram showing the bias-variance trade-off[Source: Machine Learning Mastery]As seen above, the goal is to achieve a model with low bias and low variance to minimize the total error.
A model with high bias will have a high training error, while a model with high variance will have a high validation error. Hence, the optimal model lies at the center of the bull's eye, balancing the bias and variance errors. Calibrating a graph to explain the relationship of prediction error and complexity with an example
Given a dataset, the complexity of a model increases with more features, layers, and neurons, among other factors. Therefore, as complexity increases, the model learns more from the training data, reducing the bias error. However, the model is at risk of overfitting the training data, which leads to high variance error.
Hence, the prediction error is inversely proportional to the complexity, as shown in the graph below: Relationship between prediction error and model complexity [Source: Machine Learning Mastery]In the above graph, as model complexity increases, the bias error reduces, leading to a reduction in the prediction error.
However, as the complexity increases, the variance error increases, leading to a rise in the prediction error. Therefore, the optimal model is the one that achieves the lowest prediction error, balancing the bias and variance errors.
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a pleasurable emotional state that results from appraising your job or job experiences is referred to as
The pleasurable emotional state that results from appraising your job or job experiences is referred to as job satisfaction.
Job satisfaction refers to the level of contentment or fulfillment that one experiences regarding their job or job experiences. When one appraises their job or job experiences positively, they will have a pleasurable emotional state that is referred to as job satisfaction. Job satisfaction can arise from several factors, such as job security, salary and benefits, good working relationships with colleagues and supervisors, work-life balance, job autonomy, opportunities for career advancement and growth, among others. A high level of job satisfaction has a positive effect on the individual's mental, emotional, and physical well-being. It also leads to higher levels of productivity, job performance, and organizational commitment. Consequently, it is critical for individuals and organizations to foster a work environment that promotes job satisfaction among employees.
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Explain the steps that had to occur under the law for the UNIFOR
casino workers to be in a legal position to conduct the strike.
To conduct a legal strike, UNIFOR casino workers, or any other group of workers in Canada, would typically need to follow a series of steps prescribed by labor laws. Although the specific requirements can vary depending on the jurisdiction and collective bargaining agreements, here is a general outline of the steps involved:
Collective Bargaining: UNIFOR would engage in negotiations with the employer to reach a collective bargaining agreement (CBA) that outlines the terms and conditions of employment. If the negotiations fail to result in an agreement, the union may seek other avenues to advance their interests.
Mediation/Conciliation: If the parties are unable to reach an agreement through direct negotiations, they may seek the assistance of a mediator or conciliator. This impartial third party helps facilitate negotiations and encourages a resolution.
Strike Vote: Before proceeding with a strike, the union must conduct a strike vote among its members. The vote requires a majority in favor of the strike action to authorize the union to proceed with a strike.
Cooling-off Period: In some cases, labor laws may require a cooling-off period after the strike vote. This period allows for further negotiation or the involvement of additional mediation or conciliation services.
Notice of Strike: Once all legal requirements are met, the union must provide the employer with advance notice of the intention to strike. The length of the notice period varies depending on the jurisdiction and specific labor laws.
Commencement of Strike: After the notice period has expired, the union can legally commence the strike action. Workers would stop working, picket lines may be established, and other forms of protest may be initiated.
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With the concept of profit maximization in the short run, draw the marginal revenue or marginal cost approach graph for a firm that has to shut down. b.) With the concept of profit maximization in the short run, draw the marginal revenue or marginal cost approach graph for a firm that earns an economic profit. [4]
The graph should include the vertical axis representing price/quantity and the horizontal axis representing quantity. The curves (MC, MR, AVC, ATC) should be labeled and their intersections indicated
a) In the short run, if a firm has to shut down, its marginal cost curve (MC) will intersect the marginal revenue curve (MR) below the average variable cost curve (AVC). The graph will show that the firm is producing at a quantity where marginal cost is greater than marginal revenue, resulting in losses. The firm should shut down because it cannot cover its variable costs, let alone generate profits.
b) In the short run, if a firm earns an economic profit, its marginal revenue curve (MR) will intersect the marginal cost curve (MC) above the average total cost curve (ATC). The graph will show that the firm is producing at a quantity where marginal revenue exceeds marginal cost, resulting in profits. The firm should continue to produce as long as it can cover its costs and generate positive economic profits.
.
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Case: You are the HR manager of a medium-sized company. One department has seven team members consisting of a female manager, two female workers, and four male workers. You happen to overhear a conversation of the female workers. They are talking about how their manager, when giving out weekly assignments, always has to touch the guys by either touching their hair or rubbing their shoulders. One female co-worker responds to the other by commenting, "And did you notice how they seem to like it?!"
As the HR manager, it is important to address this situation immediately. Sexual harassment is never acceptable in any workplace and it is important to ensure that all employees are aware of the company's policies on this matter. I would meet with the female workers privately to gather more information and let them know that their complaints are being taken seriously.
The manager in question would also be called in for a meeting to discuss the allegations and reminded of the company's policies on sexual harassment. If necessary, further disciplinary action may need to be taken, including termination of employment.
As an HR manager in this situation, it is important to address the concerns of potential favoritism and inappropriate physical contact. The female manager's actions may create an uncomfortable work environment and could be perceived as discriminatory or even harassment.
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In 2010 Acme Chemical purchased a large pump for $112,000. Acme keys their cost estimating for these pumps to the industrial pump index, with a baseline of a 100 established in 2000. The index in 2010 was 212. Acme is now (2020) considering construction of a new addition and must estimate the cost of the same type and size of pump. If the industrial pump index is currently 286, what is the estimated cost of the new pump?
The estimated cost of the new pump in 2020 is approximately $151,698.11, based on the industrial pump index increase from 2010 to 2020.
How does the industrial pump index affect the estimated cost of the new pump in 2020?To estimate the cost of the new pump in 2020, we can use the concept of the industrial pump index and the baseline established in 2000.
In 2010, the industrial pump index was 212, and the cost of the pump purchased by Acme Chemical was $112,000.
To find the estimated cost of the new pump in 2020, we need to calculate the increase in the industrial pump index from 2010 to 2020.
The increase in the index is calculated as follows:
Index increase = (Industrial pump index in 2020) / (Industrial pump index in 2010)
Index increase = 286 / 212
Now, we can use the index increase to estimate the cost of the new pump:
Estimated cost of the new pump = Cost of the pump purchased in 2010 * Index increase
Estimated cost of the new pump = $112,000 * (286 / 212)
Estimated cost of the new pump ≈ $151,698.11
Therefore, the estimated cost of the new pump in 2020 is approximately $151,698.11.
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Easy Over Eggs Limited (EEL) has been paying a regular cash dividend of $1.50 per share each year
for over a decade. They are paying out all their earnings as dividends and they are not expected to
grow. There are 6,000,000 shares outstanding selling for $28 per share. EEL have sufficient cash
on hand to pay the next annual dividend. Suppose that, staring in year 1, EEL decide to cut its cash
dividend to zero and announce that they will repurchase shares instead.
a) What is the immediate stock price reaction? Ignore taxes, and assume that the repurchase
program conveys no information about operating profitability or business risk. b) How many shares will EEL purchase?
a) The immediate stock price reaction to EEL's dividend cut and share repurchase announcement is uncertain. b) The number of shares EEL will purchase depends on available cash.
a) The immediate stock price reaction to EEL's announcement of cutting the cash dividend to zero and implementing a share repurchase program is uncertain. Stock prices are influenced by various factors, including market sentiment, investor expectations, and demand and supply dynamics. In this case, the elimination of the cash dividend may disappoint income-seeking investors, potentially leading to a decline in the stock price. However, the share repurchase program may signal confidence in the company's financial health, which could have a positive impact on the stock price. Overall, the immediate stock price reaction depends on the market's interpretation and perception of the news.
b) The number of shares that EEL will purchase under the share repurchase program depends on the total amount of cash available for repurchases. Given that EEL has sufficient cash on hand to pay the next annual dividend, this cash can be used for the repurchase. The number of shares that can be repurchased is determined by dividing the available cash by the current stock price.
Number of Shares Repurchased = Total Cash Available / Current Stock Price
Using the information provided, with a dividend of $1.50 per share and 6,000,000 shares outstanding, the total cash available for repurchases would be 6,000,000 shares multiplied by $1.50, which equals $9,000,000.
However, the specific number of shares that EEL will purchase cannot be determined without additional information regarding the repurchase plan, such as the repurchase price or any limitations on the repurchase program. The number of shares repurchased will depend on the cash allocation and the desired impact on the company's capital structure.
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28. According to the Keynesian model of the money market, the
money supply. a. It depends on the interest rate. b. is determined
by the central bank. c. varies with price levels. d. varies with
income
According to the Keynesian model of the money market, the money supply is determined by the central bank and varies with income.
In the Keynesian model, the money supply is determined by the actions of the central bank. The central bank has the authority to control the money supply through various monetary policy tools such as open market operations, reserve requirements, and interest rate adjustments. By buying or selling government securities in the open market, the central bank can influence the amount of money in circulation.
Additionally, the Keynesian model suggests that the money supply varies with income. As income increases, the demand for money also increases as individuals and businesses need more liquidity to support their spending and investment activities. To accommodate this increased demand, the central bank may expand the money supply to ensure sufficient funds are available in the economy.
Overall, according to the Keynesian model, the money supply is influenced by the central bank's actions and responds to changes in income levels. The interest rate and price levels, while important factors in the overall functioning of the economy, are not directly determined by the money supply in this particular model.
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total industry sales for year 1 are $ 10 milion the top four firms, ABC, and D account for sales of $2 million $2.5 nilon, $1.1 milion, and $0.5 million respectively, what is the four fem contin 0.0.91 0.055 0.049 0 0.81 0.27 pts
The market concentration of the top four firms, represented by ABC and D, can be calculated using the concentration ratio. The four-firm concentration ratio is 0.91.
The four-firm concentration ratio measures the proportion of total industry sales accounted for by the top four firms. In this case, the total industry sales for year 1 are $10 million, and the sales of the top four firms (ABC and D) are $2 million, $2.5 million, $1.1 million, and $0.5 million respectively. To calculate the concentration ratio, we sum the sales of the top four firms and divide it by the total industry sales:
(2 + 2.5 + 1.1 + 0.5) / 10 = 0.91
Therefore, the four-firm concentration ratio is 0.91, indicating that the top four firms account for approximately 91% of the total industry sales. This suggests a relatively high level of concentration in the industry, with a significant market share held by the top firms.
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As discussed in class, supply chain success should be defined in terms of,
a) The profit generated by the largest (by revenue) entity in the supply chain
b) The profit generated by the retaller in the supply chain
c) The profit generated by the manufacturer in the supply chain
d) The profit generated by the weakest (financially) entity in the supply chain
e) The total profit generated by all entities in the supply chain
As discussed in class, supply chain success should be defined in terms of the (e) total profit generated by all entities in the supply chain.
Supply chain success can be defined in various ways depending on the company's goals, objectives, and strategies. In some cases, it may be based on customer satisfaction, while in others, it may be based on profitability.
However, the most common measure of supply chain success is the total profit generated by all entities in the supply chain. This is because the goal of the supply chain is to deliver goods and services to customers at the lowest possible cost while maximizing value for all stakeholders. Therefore, option (e) The total profit generated by all entities in the supply chain is the correct answer.
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3. A borrower has secured a 30-year, $107,000 loan at 6% with monthly payments. Fifteen years later, an investor wants to purchase a loan from a lender. If market interest rates are 7%, what would the investor be willing to pay for the loan (assuming the investor believes that all remaining payments will be paid as scheduled)?
4. Mr. Fisher has built several houses and is offering mortgage rates of 4% with a 15-year term to prospective buyers. Investors are willing to buy the mortgage at 10.75%. If a house is sold for $383,000 with a 90% loan, how much would Mr. Fisher lose by selling the mortgage to an investor? Hint: What is the difference between the amount borrowed and how much an investor would be willing to pay for the loan.
5. What is the effective cost of a combination of an 80% mortgage at 3.5% and a second mortgage (for 10% of the purchase price) at 4.5%? Both mortgages carry a 30-year term and have no points/closing costs.
3. The investor would be willing to pay approximately $21,268.94 for the loan 4. Mr. Fisher would lose approximately $267,359.11 by selling the mortgage to an investor 5. the monthly cost for both mortgages is C = E * (30 * 12) .
3. To calculate the amount an investor would be willing to pay for the loan, we need to determine the remaining balance on the loan after fifteen years and then calculate the present value of the remaining payments using the market interest rate.
Given:
Loan amount: $107,000
Loan term: 30 years
Interest rate: 6%
Time elapsed: 15 years
Market interest rate: 7%
To find the remaining balance after fifteen years, we can use an amortization formula or a mortgage calculator. Using a mortgage calculator, we can calculate that the remaining balance on the loan after fifteen years is approximately $62,951.99.
Next, we need to calculate the present value of the remaining payments using the market interest rate of 7%. The present value can be calculated using the formula:
Present Value = Future Value / (1 + Interest Rate)^n
Where:
Future Value = Remaining balance
Interest Rate = Market interest rate
n = Remaining number of periods (in this case, 15 years or 180 months)
Let's plug in the values and calculate the present value:
Present Value = $62,951.99 / (1 + 0.07)^180
Present Value = $62,951.99 / (1.07)^180
Using a calculator, we find that the present value is approximately $21,268.94.
Therefore, the investor would be willing to pay approximately $21,268.94 for the loan, assuming they believe that all remaining payments will be paid as scheduled.
4. 4.To calculate the amount Mr. Fisher would lose by selling the mortgage to an investor, we need to find the difference between the amount borrowed by the buyer and the amount the investor would be willing to pay for the loan.
Given:
House price: $383,000
Loan-to-value ratio: 90% (meaning the loan amount is 90% of the house price)
Mortgage rate offered by Mr. Fisher: 4%
Loan term: 15 years
Investor's mortgage rate: 10.75%
First, we need to calculate the loan amount based on the loan-to-value ratio:
Loan amount = House price * Loan-to-value ratio
Loan amount = $383,000 * 0.90
Loan amount = $344,700
Next, we need to calculate the present value of the loan amount using the mortgage rate offered by the investor (10.75%). We'll use the formula:
Present Value = Future Value / (1 + Interest Rate)^n
Where:
Future Value = Loan amount
Interest Rate = Investor's mortgage rate
n = Loan term in years (15 years)
Present Value = $344,700 / (1 + 0.1075)^15
Present Value = $344,700 / (1.1075)^15
Using a calculator, we find that the present value of the loan amount is approximately $77,340.89.
Now, we can calculate the difference between the loan amount and the present value:
Loss = Loan amount - Present Value
Loss = $344,700 - $77,340.89
Loss = $267,359.11
Therefore, Mr. Fisher would lose approximately $267,359.11 by selling the mortgage to an investor.
5. To calculate the effective cost of a combination of two mortgages, we need to consider the interest rates and loan amounts of each mortgage.
Given:
First mortgage:
Loan-to-value ratio: 80%
Interest rate: 3.5%
Loan term: 30 years
Second mortgage:
Loan-to-value ratio: 10% of the purchase price
Interest rate: 4.5%
Loan term: 30 years
Assuming the purchase price is denoted as P, we can calculate the loan amounts for each mortgage:
First mortgage loan amount = P * 80%
Second mortgage loan amount = P * 10%
To calculate the effective cost, we'll need to determine the total monthly payments for both mortgages. We'll use the loan amount, interest rate, and loan term to calculate the monthly payment for each mortgage using the standard mortgage payment formula:
M = P * r * (1 + r)^n / ((1 + r)^n - 1)
Where:
M = Monthly payment
P = Loan amount
r = Monthly interest rate (annual interest rate divided by 12)
n = Total number of monthly payments (loan term in years multiplied by 12)
Let's calculate the monthly payments for each mortgage:
First mortgage monthly payment:
P1 = P * 80%
r1 = 3.5% / 12
n1 = 30 * 12
M1 = P1 * r1 * (1 + r1)^n1 / ((1 + r1)^n1 - 1)
Second mortgage monthly payment:
P2 = P * 10%
r2 = 4.5% / 12
n2 = 30 * 12
M2 = P2 * r2 * (1 + r2)^n2 / ((1 + r2)^n2 - 1)
Now, let's calculate the effective monthly cost by summing up the monthly payments for both mortgages:
Effective monthly cost = M1 + M2
To calculate the effective cost over the entire loan term, we can multiply the effective monthly cost by the total number of monthly payments (loan term in years multiplied by 12):
Effective cost = Effective monthly cost * (30 * 12)
Please note that the equations above represent the general formula to calculate the effective cost of the mortgage combination based on the provided information. You can substitute the value of the purchase price (P) into the equations to get the specific numerical result.
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Demand for wine bottles at one of Vino’s warehouses is normally distributed with average 1000010000 and standard deviation 33333333. The firm keeps a safety inventory of 20002000 units. What is the service level of the warehouse?
a.
0.800.80
b.
0.600.60
c.
0.780.78
d.
0.73
Service level is the probability of fulfilling an order within the lead time specified by the customer or agreed upon by the company.
The service level formula is given by:Service level formula = z (standard deviation) - (average demand) / standard deviationWhere,z = standard score or z-scoreAverage demand = 10000Standard deviation = 3333Safety inventory = 2000By substituting the values in the above formula, we get:Service level formula = z (standard deviation) - (average demand) / standard deviation= (2000 - 10000) / 3333= -3Now, referring to the standard normal distribution table, the value of z at -3 is 0.0013. Therefore, the service level of the warehouse is:Service level = 1 - (probability of stockout) = 1 - (0.0013) = 0.9987 ~ 0.73 (approx)Therefore, the service level of the warehouse is 0.73, correct to two decimal places.
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PRUEBA DE PRACTICA CAP 22 & 230 12 Seved A company provided the following direct materials cost information. Compute the direct materials quantity variance Standard costs assigned: Direct materials standard cost (476,000 units # $2.50/unit) Actual costa: $1,190,000 Direct materials costs incurred (474,720 units # $2.80/unit) $1,329.216 Multiple Choice $3.584 Unfavorable $3,584 Favorable $139.216 Favorable $3.200 Favorable $3,200 Unfavorable. Next > Help Save & Exit Sub
The direct materials quantity variance can be computed using the following formula: DMQV = (AQ - SQ) x SP Where, AQ = Actual quantity of materials used SQ = Standard quantity of materials allowed for actual production SP = Standard price of materials per unit.
Direct materials quantity variance: DMQV = ($1,329,216/474,720 units - $1,190,000/476,000 units) x $2.50/unit DMQV = $2,793.344 unfavorable. Given, Standard cost per unit of direct materials = $2.50Actual cost per unit of direct materials = $1,329,216/474,720 units = $2.80 Standard quantity of direct materials for actual production = 476,000 units Actual quantity of direct materials used = 474,720 units Therefore, DMQV = (AQ - SQ) x SPDMQV = (474,720 units - 476,000 units) x $2.50/unit DMQV = -$3,584 unfavorable Hence, the direct materials quantity variance is -$3,584 unfavorable. The correct option is option C. $3,584 unfavorable. This is so because the negative variance suggests that the actual quantity of materials used was higher than the standard quantity of materials allowed for actual production, which led to an unfavorable variance.
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Nova Industries uses a standard costing system to apply manufacturing costs to its production process. In May, Nova anticipated producing 2,300 units with fixed manufacturing overhead costs allocated at $8.40 per direct labor hour with a standard of 2.5 direct labor hours per unit. In May, actual production was 3,200 units and actual fixed manufacturing overhead costs were $30,000 What was Nova's fixed manufacturing overhead budget variance in May? O A. $18,300 unfavorable O B. $18,900 unfavorable O C. $18,300 favorable OD. $18,900 favorable
To calculate Nova's fixed manufacturing overhead budget variance, we need to compare the actual fixed manufacturing overhead costs with the budgeted fixed manufacturing overhead costs.
Budgeted fixed manufacturing overhead costs per unit: $8.40 per direct labor hour
Standard direct labor hours per unit: 2.5 hours
Actual production: 3,200 units
Actual fixed manufacturing overhead costs: $30,000
First, let's calculate the budgeted fixed manufacturing overhead costs:
Budgeted fixed manufacturing overhead costs = Budgeted fixed manufacturing overhead costs per unit * Actual production
Budgeted fixed manufacturing overhead costs = $8.40 * 2.5 * 3,200 = $67,200
Now, we can calculate the fixed manufacturing overhead budget variance:
Fixed manufacturing overhead budget variance = Actual fixed manufacturing overhead costs - Budgeted fixed manufacturing overhead costs
Fixed manufacturing overhead budget variance = $30,000 - $67,200 = -$37,200
The fixed manufacturing overhead budget variance in May is $37,200 unfavorable. Therefore, the correct answer is not among the options provided.
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Expanded Rate of Return, r, and Real Interest Rate, I (%) Investment ($B) B A Investment ($B) Real Domestic Product, GDP ($B) Refer to the diagrams. Curve A: A. is an investment schedule and curve B is a consumption of fixed capital schedule. B. is an investment demand curve and curve B is an investment schedule. C. and curve B are totally unrelated. D. shifts to the left when curve B shifts upward.
In the diagrams provided, Curve A represents an investment schedule, and Curve B represents a consumption of fixed capital schedule.
Curve A represents an investment schedule because it shows the relationship between the level of investment and the real interest rate. As the real interest rate changes, the level of investment changes accordingly. This indicates that Curve A represents the investment demand curve.
Curve B, on the other hand, represents a consumption of fixed capital schedule. It shows the relationship between the investment level and the consumption of fixed capital, which refers to the depreciation or wear and tear of capital goods over time. Curve B illustrates the amount of investment required to replace the worn-out capital and maintain the existing capital stock.
Therefore, option A, which states that Curve A is an investment schedule and Curve B is a consumption of fixed capital schedule, is the correct answer. The two curves are related as they represent different aspects of investment and capital maintenance. They are not unrelated (option C), and there is no indication that the shift of Curve B affects the position of Curve A (option D).
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