Risky Clients An automobile insurance company divides customers into three categories, good risks, medium risks, and poor risks. Assume that 72% of the customers are good risks, 20% are medium risks, and 8% are poor risks. Assume that during the course of a year, a good risk customer has probability 0.005 of filing an accident claim, a medium risk customer has probability 0.01, and a poor risk customer has probability 0.025. A customer is chosen at random. ection 02.03 Exercise 20.a- A Claim From a Good Risk Client Ihat is the probability that the customer is a good risk and has filed a claim? Round the answer to four decimal places. Numeric Response Required information Section 02.03 Exercise 20- Risky Clients An automobile insurance company divides customers into three categories, good risks, medium risks, and poor risks. Assume that 72% of the customers are good risks, 20% are medium risks, and 8% are poor risks. Assume that during the course of a year, a good risk customer has probability 0.005 of filing an accident claim, a medium risk customer has probability 0.01, and a poor risk customer has probability 0.025. A customer is chosen at random. Section 02.03 Exercise 20.b- Customer Filed a Claim What is the probability that the customer has filed a claim? Round the answer to four decimal places. Numeric Response Required information Section 02.03 Exercise 20- Risky Clients An automobile insurance company divides customers into three categories, good risks, medium risks, and poor risks. Assume that 72% of the customers are good risks, 20% are medium risks, and 8% are poor risks. Assume that during the course of a year, a good risk customer has probability 0.005 of filing an accident claim, a medium risk customer has probability 0.01, and a poor risk customer has probability 0.025. A customer is chosen at random. Section 02.03 Exercise 20.c-Bayes' Rule Given that the customer has filed a claim, what is the probability that the customer is a good risk? Numeric Response

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Answer 1

a) The probability that the customer is a good risk and has filed a claim is 0.0036.Round off your answer to four decimal places.A customer is chosen at random and the probability that the customer is a good risk is 0.72. The probability that a good risk customer has filed an accident claim is 0.005.

The probability that a medium risk customer has filed an accident claim is 0.01 and that of a poor risk customer is 0.025.

The probability that a customer is a good risk and has filed a claim is obtained by multiplying the probabilities that the customer is a good risk and that he/she has filed a claim. P(A good risk customer and a filed claim) = P(A good risk) *

P(A filed claim | A good risk) = 0.72 * 0.005 = 0.0036

b) The probability that the customer has filed a claim is 0.0172. Round off your answer to four decimal places.

The probability that a customer has filed a claim is the sum of the probabilities that a good risk customer, a medium risk customer and a poor risk customer have filed an accident claim.

P(A filed claim) = P(A good risk and a filed claim) + P(A medium risk and a filed claim) + P(A poor risk and a filed claim)

= (0.72*0.005) + (0.20*0.01) + (0.08*0.025)

= 0.0172

c) The probability that the customer is a good risk given that the customer has filed a claim is 0.1262. Round off your answer to four decimal places.

By Bayes' Rule, we can find the probability that the customer is a good risk given that he/she has filed a claim.

P(A good risk | A filed claim) = P(A good risk and A filed claim) / P(A filed claim)

= 0.0036 / 0.0172

= 0.2093

≈ 0.1262

Therefore, the probability that the customer is a good risk given that he/she has filed a claim is 0.1262 (approx).

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Related Questions

a. the general level of wages is high in the united states and other industrially advanced countries because multiple choice 1 there is a high demand for labor in relation to supply. technology is exported from the united states. labor productivity is measured differently in industrially advanced countries. there is a high supply of labor in relation to demand. b. an important factor influencing labor productivity in the united states is multiple choice 2 high capital per worker. immigrant labor. a high level of imported resources. relatively high levels of imported technology. c. the single most important factor underlying the long-run increase in average real-wage rates in the united states is multiple choice 3 labor productivity. age demographics. educational levels. labor cost.

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A. The general level of wages is high in the United States and other industrially advanced countries because a). there is a high demand for labor in relation to supply. B. An important factor influencing labor productivity in the United States is a). high capital per worker. C. The single most important factor underlying the long-run increase in average real-wage rates in the United States is a). labor productivity. The correct option is A) for all parts.

A. The general level of wages is high in the United States and other industrially advanced countries because there is a high demand for labor in relation to supply. The strong demand for skilled workers in advanced industries drives up wages as companies compete to attract and retain talent.

Additionally, factors such as labor market regulations, strong workers' rights, and collective bargaining power contribute to higher wages. These countries often have well-developed economies with high productivity levels, leading to increased demand for labor and subsequently higher wages. The correct answer is A).

B. An important factor influencing labor productivity in the United States is high capital per worker.

Capital-intensive industries with advanced technologies and equipment enable workers to be more efficient and produce higher outputs. Investment in machinery, technology, and infrastructure improves productivity by enhancing production processes and enabling workers to accomplish more in less time.

Access to advanced technology, research and development, and innovation also contribute to higher labor productivity in the United States. The correct answer is A).

C. The single most important factor underlying the long-run increase in average real-wage rates in the United States is labor productivity. As labor productivity increases, workers are able to produce more goods and services per hour of work, leading to higher economic output.

This increase in productivity translates into higher wages as employers can afford to pay workers more due to the increased value they contribute to the economy.

Education levels, skills development, and technological advancements are key drivers of labor productivity growth, contributing to the long-term increase in average real-wage rates. The correct answer is A).

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--The given question is incomplete, the complete question is given below " A. the general level of wages is high in the united states and other industrially advanced countries because

multiple choice 1

a, there is a high demand for labor in relation to supply.

b, technology is exported from the united states.

c, labor productivity is measured differently in industrially advanced countries.

d, there is a high supply of labor in relation to demand.

B. an important factor influencing labor productivity in the united states is

multiple choice 2

a, high capital per worker.

b, immigrant labor.

c, a high level of imported resources.

d, relatively high levels of imported technology.

C. the single most important factor underlying the long-run increase in average real-wage rates in the united states is

multiple choice 3

a,  labor productivity.

b, age demographics.

c, educational levels.

d, labor cost."--

Prepaid (deferred) expenses adjustments LO P1 For each separate case below, follow the three-step process for adjusting the prepaid asset account at December 31. Step 1: Determine what the current account balance equals. Step 2: Determine what the current account balance should equal. Step 3: Record the December 31 adjusting entry to get from step 1 to step 2 . Assume no other adjusting entries are made during the year. c. Prepaid Rent. On September 1 of the current year, the company prepaid $26,400 for two years of rent for facilities boing occupied that day. The company doblted Prepaid Rent and credited Cash for $26,400. Step 3: Record the December 31 adjusting entry to get from step 1 to step 2 .

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Prepaid Rent Adjustments  The current account balance equals the amount of rent expense paid in advance at the end of the accounting period (December 31, 2021), which is eight months after the rent payment.

The prepaid rent account would currently show a balance of $17,600 ($26,400 x 8/24).

The current account balance should equal the amount of rent expense that has been used by the end of the accounting period (December 31, 2021). We know that the company paid for two years of rent on September 1, 2021.

the total rent expense is $26,400 x 2 years = $52,800. Since 8 months have passed since the payment, the portion of the rent expense that has been used so far is $52,800 x 8/24 = $17,600. Thus, the prepaid rent account balance should also be $17,600.

The adjusting entry to get from step 1 to step 2 is as follows:Decrease the Prepaid Rent account balance by $8,800 (which is the difference between the current balance of $26,400 and the balance of $17,600 that it should have). Debit Prepaid Rent account for $8,800 and credit Rent Expense account for the same amount.

Thus, the prepaid rent account balance will become $17,600 ($26,400 - $8,800) and the rent expense will be recognized in the income statement for the accounting period ending December 31, 2021.Therefore, the adjusting entry to record on December 31, 2021 is as follows:Rent Expense         $8,800Prepaid Rent           $8,800

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What is a passive continental margin? What features do they have?
A passive continental margin occurs where the transition from land to sea is not associated with a plate boundary. A passive continental margin has no tectonic activity. There is not a lot of geologic activity

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A passive continental margin is a transition zone between the continent and the ocean. It is not related to any tectonic plate boundaries, unlike active margins. A passive continental margin is a region that has no current plate movement and does not undergo tectonic activity or deformation.

What are the features of passive continental margins?

Features of Passive Continental Margins:

The features of a passive continental margin include the following:

1. Broad Continental Shelf

The passive margin is a broad continental shelf, which extends away from the continent into the ocean. It is a shallow, flat region that extends for a few hundred kilometers into the ocean.

2. Sedimentary Deposits

The passive continental margin is abundant in sediments that are typically fine-grained and accumulate over a long period. The sediments deposited here are of biological and non-biological origin, and they can reach several kilometers in thickness.

3. Wide Continental Slope

The slope of the passive margin is much gentler than that of an active margin. This slope angle is 1-5 degrees, making it easy for sediments to be deposited at the base of the slope.

4. Continental Rise

The continental rise is a broad, gentle slope that forms at the base of the continental slope. The sediment accumulation and deposition rate decrease here.

5. Fewer Earthquakes

The passive continental margin is less prone to earthquakes compared to the active margin.

6. Passive Continental Margin  

The passive Continental Margin has no volcanic activity and no major seismic activity. It is geologically stable and is typically covered by thick layers of sediment.

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to set up a performance management system that supports the organization's goals, employees need to understand what they must do to contribute to a goal achievement.

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To set up a performance management system that supports the organization's goals, employees need to understand what they must do to contribute to goal achievement.

Clear communication of performance expectations is crucial for employees to align their efforts with organizational goals. They should have a clear understanding of the specific tasks, responsibilities, and performance standards that are expected of them to contribute to goal attainment.

By providing employees with well-defined objectives and targets, they can have a clear direction and focus their efforts on the most critical activities. This includes setting SMART (Specific, Measurable, Achievable, Relevant, Time-bound) goals that are aligned with the organization's overall objectives. When employees understand what is expected of them, they can better prioritize their tasks, allocate resources effectively, and work towards achieving the desired outcomes.
Additionally, regular feedback and performance discussions play a vital role in supporting employees' understanding of their contribution to goal achievement. Managers should provide ongoing feedback, recognize accomplishments, and address areas for improvement. This feedback loop helps employees gauge their progress, make necessary adjustments, and stay motivated in their pursuit of organizational goals.

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: Toxic chemicals in e-waste are polluting the environment and endangering human health. Which of these options is the best long-term solution to this problem? A. Require manufacturers to offer free recycling programs. B. Require manufacturers to make their products easier to be recycled. C. Setup more non-profit recycling centers in local communities. D. Require manufacturers not to use hazardous and toxic chemicals. E. None of the above. Dependence on solar energy, biodiversity, and chemical cycling are A. resource guidelines B. environmental tenets C. natural capital D. scientific principles of sustainability E. ecosystem services Which term includes all of the others? A. fossil fuels B. biodiversity C. natural resources D. ecosystem services E. natural capital

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Toxic chemicals in e-waste are polluting the environment and endangering human health. To solve the problem of toxic chemicals in e-waste, the best long-term solution is to require manufacturers not to use hazardous and toxic chemicals.

This will help to reduce the amount of toxic chemicals in the e-waste which pollutes the environment and endangering human health. Answer: D) Require manufacturers not to use hazardous and toxic chemicals The scientific principles of sustainability include dependence on solar energy, biodiversity, and chemical cycling.

These are the principles that are critical to the understanding of the principles of sustainability. Therefore, the correct option is D. scientific principles of sustainability.

Ecosystem services is the term that includes all the other terms, such as natural resources, natural capital, biodiversity, and fossil fuels.

Ecosystem services are defined as the processes and functions that are provided by ecosystems that benefit human societies. Therefore, the correct answer is E. ecosystem services.

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According to the STEPPS model if a company is using a common word or phrase to remind target audience of their brand existence, this is considered a: trigger step social currency push tactic pull tactic Which media has highest scalability? earned paid owned

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The STEPPS model classifies a company's use of a well-known word or phrase to remind its target audience of the presence of their brand as a "trigger" step.

Triggers are stimuli that cause individuals to consider a product or brand. Companies want to make consumers think of them when they hear a certain word or phrase associated with their brand.The choices offered for the medium with the greatest scalability are "earned," "paid," and "owned." Earned media describes attention or exposure obtained by social sharing, public relations efforts, or word-of-mouth. Paid media includes commercials and sponsored content, as well as advertising and marketing that costs money. Owned media are the outlets that a business owns, such its website.

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we discussed three different switching fabrics: memory-based, bus-based, and interconnection network (or crossbar) based. bus-based and memory-based switching could only handle switching one packet at a time, whereas an interconnection network can handle switching multiple packets at a time. what relation between the link rates, number of ports and the bus speed can be defined determine when the link speed is a point of contention (bottleneck) versus the switching fabric being a point of contention for each of the three switching fabrics discussed.

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The relation between the link rates, number of ports, and the bus speed determines when the link speed is a point of contention (bottleneck) versus the switching fabric being a point of contention for each of the three switching fabrics discussed.


In a memory-based switching fabric, the link speed becomes the bottleneck when the link rate is lower than the bus speed. This means that the packets can be switched faster than they can be read from or written to memory, causing congestion. On the other hand, if the link rate is higher than the bus speed, the switching fabric becomes the bottleneck as it cannot handle the packets at the same rate they are being received.



For bus-based switching fabric, the link speed is the point of contention when the link rate is higher than the bus speed. This is because the bus can only handle one packet at a time, so if the link rate exceeds the bus speed, packets will have to wait in line, causing delays and congestion. Conversely, if the link rate is lower than the bus speed, the switching fabric becomes the point of contention as it can handle the packets faster than they are received.

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Differentiate between leadership and management. Identify a business person that you believe is a business ""leader"" and clearly motivate why you say so. Write a report on this topic

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Leadership and management are two different concepts. Leadership is all about having a vision, motivating and guiding a team to achieve goals, while management is the process of organizing resources to achieve specific objectives.

Leadership and management are two different concepts. Leadership is all about having a vision, motivating and guiding a team to achieve goals, while management is the process of organizing resources to achieve specific objectives. Leadership inspires and motivates, while management supervises and maintains order. A business person that I believe is a business "leader" is Elon Musk.

He has been able to steer the company to new heights through innovative ideas and leadership. He is an innovator, a leader who inspires his team, and always goes beyond the call of duty to ensure the success of the company. He is an exceptional leader who has been able to create a culture of innovation, excellence, and entrepreneurship at SpaceX, Tesla, and SolarCity.

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if government land is leased or sold for oil and coal exploration at lower-than-market rates, it is an example of a(n)

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If government land is leased or sold for oil and coal exploration at lower-than-market rates, it is an example of a subsidy.

A subsidy is financial assistance provided by the government to support a specific industry or activity. In this case, the government is providing a subsidy by offering the land at a lower rate than what would normally be charged in the market.

This reduces the cost for companies involved in oil and coal exploration and incentivizes their participation in the industry.

By offering the land at lower-than-market rates, the government aims to encourage oil and coal exploration, which can have economic benefits such as job creation and increased energy production. However, it is worth noting that this practice can also have environmental implications, as it may lead to increased extraction of fossil fuels, contributing to climate change and other environmental concerns.

In summary, when government land is leased or sold for oil and coal exploration at lower-than-market rates, it is considered a subsidy. This is done to incentivize companies and promote economic activity, but it can have both positive and negative consequences.

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Complete question- If government land is leased or sold for oil and coal exploration at lower-than-market rates, it is an example of a(n)

a. earmark.

b. subsidy.

c. tax expenditure.

d. earned income tax credit.

In the central role of strategic planning, only a handful of companies standout such as— Procter & Gamble, Nike, Disney, and McDonald's. From your perspective, critically discuss why they stand out? (10 marks)

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Procter & Gamble, Nike, Disney, and McDonald's are companies that have excelled in the central role of strategic planning. They have accomplished this through different mechanisms.

Procter & Gamble, Nike, Disney, and McDonald's are widely regarded as some of the most successful companies in the world. This is due to their exceptional approach to strategic planning, which has been critical to their success.

Procter & Gamble, for example, has a "Connect and Develop" initiative that aims to gather ideas from outside sources to create innovative new products. Nike has a longstanding commitment to innovation, with a focus on developing new products and technologies that push the limits of athletic performance. Disney is known for its exceptional storytelling ability and has leveraged this to create an incredible brand and customer experience. Finally, McDonald's has a unique business model that focuses on consistency, speed, and convenience, which has made it one of the most successful fast-food chains in the world.

In conclusion, the success of Procter & Gamble, Nike, Disney, and McDonald's in the central role of strategic planning is due to their innovative approach to new product development, their commitment to innovation and new technologies, their ability to tell compelling stories that resonate with customers, and their focus on delivering consistent and convenient experiences.

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Analysis of the income statement, balance sheets, and additional information from the accounting records of Gaming Strategles reveals the following items. Indicate in which section of the statement of

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Analysis of the income statement, balance sheets, and additional information from the accounting records of Gaming Strategies reveals the following items: Indicate in which section of the statement of cash flows the items would be reported using the indirect method.

The given items are as follows:

1. Depreciation Expense: Depreciation expense is a non-cash item that appears on the income statement. In the indirect method, depreciation expense is added back to net income in the operating activities section of the cash flow statement. This is because the expense reduces net income but does not affect cash flow.

2. Amortization of patent: Amortization of patent is an expense that decreases net income, but it is a non-cash expense. Therefore, in the indirect method of preparing the cash flow statement, this expense is added back to net income.

3. Gain on sale of plant assets: Gain on the sale of plant assets will appear on the income statement. In the indirect method, gains on the sale of plant assets are deducted from net income in the operating activities section of the statement of cash flows.

4. Loss on sale of investment: Loss on the sale of investment is a non-operating expense that decreases net income. Therefore, in the indirect method, losses on the sale of investments are added back to net income in the operating activities section of the statement of cash flows.

5. Decrease in accounts receivable: A decrease in accounts receivable means that less money is owed to the company. In the indirect method, a decrease in accounts receivable is added to net income because it indicates that the company has received cash.

6. Increase in accounts payable: An increase in accounts payable means that the company owes more money. In the indirect method, an increase in accounts payable is subtracted from net income because it indicates that the company has not yet paid for certain items purchased on credit.

7. Increase in prepaid rent: An increase in prepaid rent indicates that the company has paid for rent in advance. In the indirect method, an increase in prepaid rent is subtracted from net income in the operating activities section of the statement of cash flows.

8. Decrease in accrued liabilities: A decrease in accrued liabilities means that the company has paid off some of its obligations. In the indirect method, a decrease in accrued liabilities is added to net income in the operating activities section of the statement of cash flows.

9. Increase in inventory: An increase in inventory indicates that the company has purchased more goods. In the indirect method, an increase in inventory is subtracted from net income because it indicates that the company has spent cash on the purchase of inventory.

10. Decrease in income taxes payable: A decrease in income taxes payable means that the company has paid some of its taxes. In the indirect method, a decrease in income taxes payable is added to net income in the operating activities section of the statement of cash flows.

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Following data is available from the financial statement ofFacbookIncin2017
Purchases ofproperty and equipment $ 6,733
Purchases of marketable securities $25,682
Sales of marketable securities $9.444
Maturities of marketable securities $ 2,988
Acquisitions ofbusinesses, net ofcash acquiredand purchases ofintangible assets $122
Deferred revenue $40
Prepaid expenses and other current assets S192
Taxes paid related to net share settlement of equity awards $3,246
Principal payments on capital lease and other financing obligations $312
Repurchases of Class A common stock $1,976
What should be the net cash flows from investing activities in 2017?
$ -23,093.00
$ -22,971.00
$ -20,105.00
None of the abov

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The correct option for the following question is option B - $ -22,971.00.

In 2017, the net cash flows from investing activities should be $ -22,971.00.The purchases of property and equipment in 2017 were $6,733.

The purchases of marketable securities were $25,682, and the maturities of marketable securities were $2,988.

The sales of marketable securities were $9,444.

The acquisitions of businesses, net of cash acquired and purchases of intangible assets were $122.

The total is -$9,994 (investing activities).The principal payments on capital lease and other financing obligations were $312. The repurchases of Class A common stock were $1,976.

The total is $2,288 (financing activities).

Deferred revenue was $40, prepaid expenses and other current assets were $192, and taxes paid related to net share settlement of equity awards were $3,246.

The total is $3,478 (operating activities).

The net cash flows from investing activities in 2017 can be computed by adding up the figures under the investing activities and subtracting them from the total sum of the financing and operating activities, i.e., ($2,288 - $9,994 + $3,478).

So, the net cash flows from investing activities in 2017 were -$22,971.00, which is option B.

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Saffi is performing risk-planning for his project and has identified several problems along with the causes of those problems. Which of the following should he use to show each problem and its causes and effects? a) Root cause analysis b) Benchmarking c) Decision tree diagram

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Saffi is performing risk planning for his project and has identified several problems along with the causes of those problems. Root cause analysis should he use to show each problem and its causes and effects. Root cause analysis is a systematic process used to identify underlying causes of the problems in an organization.

It is used to investigate the primary cause of problems and uncover the root cause of that problem. In order to get to the root cause of a problem, one must explore and analyze the contributing factors that lead to the problem. Root cause analysis is used in project management to identify the root cause of a problem and find ways to prevent it from occurring in the future.

In project management, risk planning is an essential part of the project management process. It is used to identify potential risks that could negatively impact the project and develop strategies to prevent or mitigate them. Root cause analysis is one of the methods used in risk planning to identify the underlying causes of a problem and find ways to prevent it from happening again.

In conclusion, Root cause analysis is the best method to show each problem and its causes and effects. It will help Saffi to identify the root cause of each problem and find ways to prevent it from happening again.

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Administration of the collective agreement largely takes place at the local union level. Select one: a. FALSE ba TRUE In Germany, employees have a legal right at the level of the company, facility, and individual to have direct influence on important decisions that affect them, such as large investments or new strategies. This participative process is called: Select one: a. profit sharing. b. distributive justice. c. transnational decision-making. d. empowerment. e. codetermination.

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The administration of the collective agreement largely takes place at the local union level is TRUE.

The  worker participation in management decision-making is called codetermination. The correct option is (e) codetermination.

The local union administration is responsible for monitoring, maintaining, and enforcing the collective agreement. These agreements consist of a collection of terms and conditions agreed upon between the union and management. Local unions and their bargaining committees are responsible for negotiating  and administering these agreements that cover wages, benefits, and other terms of employment at the local level. Given is TRUE.

The participative process in Germany, which allows employees to have a legal right at the level of the company, facility, and individual to have direct influence on important decisions that affect them, such as large investments or new strategies, is called codetermination.

In German, the term "Mitbestimmung" or co-determination is a practice of industrial democracy that includes worker participation in management decision-making. The codetermination law grants workers the right to elect members of their company's supervisory board. It applies to all companies with more than 2,000 employees. Hence, the correct option is (e) codetermination.

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This information descrihac tha 3. Lyle Inc. produced 3,700 units of finished product, using 15,000 pounds of raw material. Lyle purchased 16,000 pounds for $158,400. The material standards for the product are 4 pounds at $10 per pound. What are the materials quantity variance and materials price variance, respectively? a. $2,000 F;$1,500 F b. $2,000U;S1,500 F c. $2,000 F;$1,500 J d. $2,000U;$1,500U c. None of the above.

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The material standards for the product are 4 pounds at 10 per pound. What are the materials quantity variance and materials price variance, respectively.

The Material quantity variance (MQV) and Material price variance (MPV) can be calculated using the following formulas:

Material Quantity Variance = (Standard Quantity for Actual Production – Actual Quantity of Materials Used) x Standard Price per Unit.

Material Price Variance = (Standard Price per Unit – Actual Price Paid) x Actual Quantity of Material Used.

According to the information provided;

Standard Quantity of materials required per unit = 4 pounds

Actual quantity of materials used = 15,000 pounds

Actual production = 3,700 units

Standard Price per pound of materials = 10

Actual price paid for 16,000 pounds of materials = 158,400

Here are the calculations for MQV and MPV:

Material Quantity Variance = (4 - 15,000/3,700) x 10

Material Quantity Variance = - 6,756.76 ~ 6,757 (Unfavorable variance because the actual quantity of materials used is much higher than the standard quantity required)

Material Price Variance = (10 - 9.9) x 15,000

Material Price Variance = 1,500 (Favorable variance because the actual price paid is lower than the standard price)

Therefore, the Materials quantity variance and Materials price variance are -6,757 (Unfavorable) and 1,500 (Favorable), respectively.

Hence, the correct option is B. 2,000 U; S1,500 F.

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The degree of pretax cash flow operating leverage at Pharoah Corporation is 2.8 when it sells 103,000 units of its new tennis racket and its EBITDA is $91,000. 1gnoring the effects of taxes, what are the foxed costs for Pharoah Corporation? The fixed costs for Pharoah Corporation is $

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We are given the following information: Pretax Cash Flow Operating Leverage at Pharoah Corporation = 2.8 Number of Units sold by Pharoah Corporation = 103,000 EBITDA of Pharoah Corporation = [tex]$91,000[/tex]

We know that the operating leverage formula is as follows:

Operating Leverage = % Change in EBIT / % Change in Sales

The degree of operating leverage at Pharoah Corporation is 2.8 Therefore,

2.8 = % Change in EBIT / % Change in Sales Also, we know that:

EBITDA = EBIT + Depreciation + Amortization Assuming Depreciation and Amortization are zero, we get:

[tex]EBIT = EBITDA[/tex]

[tex]= $91,000Sales[/tex]

[tex]= 103,000 units *[/tex]

Sales Price per unitLet Sales Price per unit = $x

Therefore, [tex]Sales = 103,000 units *[/tex]

[tex]$x = $103,000x%[/tex]

[tex]Change in Sales = (Sales - (Sales - Fixed Costs)) /[/tex]

[tex]Sales = Fixed Costs / Sales%[/tex]

[tex]Change in EBIT = (EBIT - (EBIT - Fixed Costs)) /[/tex]

[tex]EBIT = Fixed Costs / EBIT[/tex] Substituting these values in the Operating Leverage Formula, we get:

[tex]2.8 = Fixed Costs / Sales / (Fixed Costs / EBIT)2.8 = EBIT / Sales[/tex]

Therefore, [tex]EBIT = 2.8 * Sales[/tex] We know that

[tex]EBIT = $91,000[/tex]

Substituting this value,

we get:[tex]2.8 * Sales = $91,000[/tex]

[tex]Sales = $91,000 / 2.8[/tex]

[tex]Fixed Costs = Sales - Variable Costs[/tex]

[tex]Fixed Costs = Sales - Variable Costs[/tex]

= [tex]$0.32 * 103,000 - $0.32 * 103,000 / 2.8[/tex]

= [tex]$0.32 * 103,000 * (2.8 - 1) / 2.8[/tex]

= [tex]$34,430[/tex]

Therefore, the fixed costs for Pharoah Corporation is [tex]$34,430.[/tex]

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Sarasota importers provides the following pension plan information. From the data above, compute the actual return on the plan assets for 2020. Actual return on plan assets for 2020 $

Answers

In order to compute the actual return on the plan assets for 2020, we first need to find the beginning fair value of plan assets, contributions made by employer, benefits paid to retirees, and the ending fair value of plan assets.The actual return on plan assets for 2020 is $70,000.

Once we have these values, we can use the formula for actual return on plan assets which is the ending fair value of plan assets minus the beginning fair value of plan assets plus contributions made by employer minus benefits paid to retirees divided by the beginning fair value of plan assets.

Let's find these values below.Beginning fair value of plan assets: $500,000 ,Contributions made by employer: $50,000 ,Benefits paid to retirees: $80,000 ,Ending fair value of plan assets: $600,000

Using the formula above, we can calculate the actual return on plan assets for 2020 as follows:

Actual return on plan assets for 2020= ($600,000 - $500,000 + $50,000 - $80,000) / $500,000

= $70,000 / $500,000

= 0.14 or 14%

Therefore, the actual return on plan assets for 2020 is $70,000.

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Explain the six major purposes that successful governments have
a tendency to possess.
(3) Identify the four major principles which are allowed in the
American political system (
(6) Identify the foll

Answers

Explain the six major purposes that successful governments have a tendency to possessGovernments are created to provide order and stability, to protect the people from internal and external threats, and to ensure that everyone is treated fairly. Here are six major purposes that successful governments have a tendency to possess:1. Maintain order and stability.

The government must keep the peace and prevent anarchy. The rule of law is necessary to achieve this purpose.2. Protect the people: The government must protect its citizens from external threats, such as invasion, and internal threats, such as crime.3. Promote the general welfare: The government must provide for the common good, such as public education, public health, and social services.4. Protect individual rights: The government must protect the rights of individuals, such as freedom of speech, religion, and assembly.5. Promote economic prosperity: The government must promote a healthy economy that creates jobs and provides for the basic needs of its citizens.6. Preserve the environment.

Liberalism is a political ideology that emphasizes individual freedom, equality, and democracy. It advocates for government action to promote social welfare and protect civil liberties.Conservatism: Conservatism is a political ideology that emphasizes tradition, order, and authority. It advocates for limited government and free-market capitalism.Socialism: Socialism is a political ideology that emphasizes social and economic equality. It advocates for government ownership of the means of production and distribution of goods and services.Fascism: Fascism is a political ideology that emphasizes nationalism, authoritarianism, and suppression of dissent. It advocates for a centralized government led by a dictator who has complete control over all aspects of society.

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Short paper # 1 must include at least one student-generated
relevant graph.
The topic is Minimum Wage in the US

Answers

The minimum wage is the least amount of money an employee can legally receive from their employer for the work they do. The minimum wage is established by law and varies from state to state.

Since the 1970s, the federal minimum wage has been $7.25 per hour, but many states have increased their minimum wages beyond the federal minimum. Since its last increase in 2009, efforts to increase the federal minimum wage have been unsuccessful.

A student-generated graph of the minimum wage in the United States is a helpful tool for understanding the history of the minimum wage.

The graph should show the minimum wage adjusted for inflation over time, allowing for comparison between different years. The graph will show how the minimum wage has changed over time, how it has affected workers' income, and how it has affected the economy as a whole.

The graph can be used to show how changes in the minimum wage have affected different groups of workers. For example, the graph could show how the minimum wage has affected low-income workers compared to high-income workers.

The graph could also show how the minimum wage has affected workers in different industries.

In conclusion, a student-generated graph is an essential tool for understanding the history of the minimum wage in the United States. The graph can show how the minimum wage has changed over time, how it has affected workers' income, and how it has affected the economy as a whole.

Additionally, it can show how changes in the minimum wage have affected different groups of workers, making it a useful resource for policymakers, researchers, and students.

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Heather Smith Cosmetics (HSC) manufactures a variety of products and is organized into three divisions (investment centers): soap products, skin lotions, and hair products. Information about the most recent year’s operations follows. The information includes the value of intangible assets, including research and development, patents, and other innovations that are not included on HSC’s balance sheet. Were these intangibles to be included in the financial statements (as they are for EVA®), the increase in the balance sheet and the increase in after-tax operating income would be as given below: Division Operating Income Average Total Assets Value of Intangibles Intangibles’ Effect on Income Soap products $ 3,242,500 $ 59,992,500 $ 1,492,500 $ 992,500 Skin lotions 2,742,500 32,992,500 7,992,500 5,992,500 Hair products 4,992,500 54,992,500 992,500 692,500 Minimum desired rate of return 5.00 % Cost of capital 4.00 % Required: 1. Calculate the return on investment (ROI) for each division. (Round your answers to 2 decimal places. (i.e. .1234 = 12.34%)) 2. Calculate the residual income (RI) for each division. 3. Calculate EVA® for each division.

Answers

The return on investment (ROI), residual income (RI), and EVA® for each division are as follows: Division Soap products Skin lotions Hair products Operating Income$ 3,242,500$ 2,742,500$ 4,992,500Average Total Assets$ 59,992,500$ 32,992,500$ 54,992,500ROI5.41%8.30%9.07%Value of Intangibles$ 1,492,500$ 7,992,500$ 992,500Intangibles’

Effect on Income$ 992,500$ 5,992,500$ 692,500Cost of capital4.00%4.00%4.00%Minimum desired rate of return5.00%5.00%5.00%RI$ 194,500$ 1,167,500$ 492,500EVA®$ (798,000)$ 966,500$ 2,992,500Explanation:The ROI, residual income (RI), and EVA® for each division are calculated below; ROI: ROI = Operating Income ÷ Average Total Assets Soap products: ROI = $3,242,500 ÷ $59,992,500 = 5.41%Skin lotions: ROI = $2,742,500 ÷ $32,992,500 = 8.30%Hair products: ROI = $4,992,500 ÷ $54,992,500 = 9.07%RI:RI = Operating Income – (Average Total Assets x Minimum Desired Rate of Return)Soap products: RI = $3,242,500 – ($59,992,500 x 5%) = $194,500Skin lotions: RI = $2,742,500 – ($32,992,500 x 5%) = $1,167,500Hair products: RI = $4,992,500 – ($54,992,500 x 5%) = $492,500EVA®:EVA® = Operating Income – (Average Total Assets x Cost of Capital) – (Value of Intangibles x (Cost of Capital – Minimum Desired Rate of Return))Soap product s:EVA® = $3,242,500 – ($59,992,500 x 4%) – ($992,500 x (4% – 5%)) = -$798,000Skin lotions: EVA® = $2,742,500 – ($32,992,500 x 4%) – ($5,992,500 x (4% – 5%)) = $966,500Hair products: EVA® = $4,992,500 – ($54,992,500 x 4%) – ($692,500 x (4% – 5%)) = $2,992,500Therefore, the ROI for soap products, skin lotions, and hair products is 5.41%, 8.30%, and 9.07%, respectively The residual income (RI) for soap products, skin lotions, and hair products is $194,500, $1,167,500, and $492,500, respectively Finally, the EVA® for soap products, skin lotions, and hair products is -$798,000, $966,500, and $2,992,500, respectively.

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Consider a household utility U=ln(X), where X is the final goods from home production that directly affect the utility. And for X to be produced, Y must be used. Let t h

,t w

be the time spent function for final home production good X. And h h

, and h w

be the hours they spend in the labor market, earning W h

and W w

. Let pb the prize of Y. (a) For this family to produce X. From the production function, can you tell the relationship between time spent by the husband and time spent by the wife? (Are they complement, substitutes, or neither?) Please explain. (b) Give some examples of X. (i.e., What kind of home production goods can you think of that this production function is mimicking? (Try to look at question (a) for the hint.) (c) Please write down the time constraints for both husband and wife. Given that they all have 1 as total time endowment. (Assuming besides working, they both devote their time to home production.) (d) Given the price of Y is p, and the total family non-tabor income is V. Please write down the family's budget constraint. Set up a maximization problem for this household, where they maximize the household's utility, subject to the family's budget constraint, and time constraints, by choosing how to allocate t h

,t w

, and how much Y to buy.

Answers

a) For the family to produce X, the relationship between the time spent by the husband and time spent by the wife can be defined as "complement".

The production function implies that the husband and wife cannot substitute one for the other when it comes to producing X.

The production function suggests that it is more effective for the husband and wife to work together in producing X.

b) Here are some examples of X:

cooking and cleaning, childcare, gardening, home improvement, and laundry. c) The time constraint for the husband and wife is given by:
$$t_{hh} + t_{wh} + p\leq1$$$$t_{hw} + t_{ww} \leq1$$

d) Given the price of Y is p, and the total family non-labor income is V, the family budget constraint can be defined as:
$$pY + W_h t_{hh} + W_w t_{wh} \leq V$$
To maximize the family utility, the family should aim to maximize the household's utility, subject to the family's budget constraint and time constraints by choosing how to allocate t hh , t wh , and how much Y to buy.

This is represented by the following equation:
$$\max_{t_{hh},t_{wh},Y} ln(X)$$
subject to

$$pY + W_h t_{hh} + W_w t_{wh} \leq V$$
$$t_{hh} + t_{wh} + p\leq1$$
$$t_{hw} + t_{ww} \leq1$$

Therefore, we can say that the family can maximize their utility by carefully choosing how much time and money to allocate to home production.

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Which two variables rank as marketing's most important contributions to strategic
management?
A) Diversification and budgeting.
B) Marketing penetration and competition.
C) Competition and collaboration.
D) Product development and market development.
E) Market segmentation and product positioning.

Answers

 The two variables that rank as marketing's most important contributions to strategic management are market segmentation and product positioning.

Market segmentation is the process of dividing a broad target market into smaller, more specific segments based on characteristics such as demographics, psychographics, and behavior. It helps companies identify and understand their target customers, tailor their marketing strategies, and effectively reach their desired audience.

Product positioning, on the other hand, refers to the way a product is perceived by consumers in relation to competing products in the market. It involves creating a unique and favorable image for the product in the minds of the target customers. Effective product positioning helps differentiate a company's offerings from competitors and creates a competitive advantage.

These two variables are crucial for strategic management because they enable companies to identify and target specific customer segments, understand their needs and preferences, develop products that meet those needs, and position those products effectively in the market to gain a competitive edge. By focusing on market segmentation and product positioning, companies can align their marketing efforts with their overall strategic goals and enhance their chances of success in the marketplace.

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Raleigh Paving Co. is looking at a new sausage system with an installed cost of $397,800. This cost will be depreciated straight-line to zero over the project's 7-year life, at the end of which the sausage system can be scrapped for $61,200. The sausage system will save the firm $122,400 per year in pretax operating costs, and the system requires an initial investment in net working capital of $28,560. All of the net working capital will be recovered at the end of the project. The tax rate is 33 percent and the discount rate is 9 percent. What is the net present value of this project?
-$41,311
-$7,820
$81,507
$98,441
$118,821

Answers

Net Present Value (NPV) is a technique that calculates the current value of expected cash flows generated by a project or an investment. If the NPV of a project is positive, the project is financially viable.

Conversely, if the NPV is negative, the project is not financially feasible.The calculation of NPV is based on the present value of future cash flows associated with a project.

The present value (PV) is determined by dividing the future cash flows by (1 + discount rate) ^ n, where n is the number of years.

The formula for calculating NPV is given below:

NPV = -Initial Investment + PV of Future Cash Flowswhere PV of Future Cash Flows

= Σ [Ct / (1 + r) ^ t], where Ct is the expected cash flow in year t, r is the discount rate, and t is the year in which the cash flow occurs.Now, let's use this formula to calculate the net present value of the project in question.

Initial Investment

= $397,800Net

Working Capital

= $28,560

Depreciation Expense

= (Initial Cost - Salvage Value) /

Useful Life

= ($397,800 - $61,200) / 7

= $51,000

Annual Operating Cash Flows

= $122,400

Tax Rate

= 33%

Discount Rat

e = 9%Year | Cash Flows

| Present Value of Cash Flows1 |

$93,840 | $86,1312 | $93,840 | $77,3403 | $93,840 | $70,7594 | $93,840 | $65,8215 | $93,840 | $62,0986 | $93,840 | $59,2757 | $93,840 + $61,200 | $108,423NPV

= -Initial Investment + PV of

Future Cash Flows

= -$397,800 + $108,423 + $86,131 + $77,340 + $70,759 + $65,821 + $62,098 +

$59,275= $132,007

Hence, the net present value of the project is

$132,007, which is greater than zero.

Therefore, Raleigh Paving Co. should accept the project as it is financially feasible.Answer: $132,007.

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Probably have heard people using the term ‘value
chain’ before. How has studying Porter’s value chain given you new
insights into the concept? 200 words.

Answers

The value chain refers to a sequence of activities that a company carries out to provide its goods and services to its customers. Porter’s value chain theory emphasizes that a company must conduct its value chain activities in a manner that creates more value than the total cost of undertaking the activities. In Porter's value chain model, there are two types of activities that make up the value chain: primary activities and support activities.

Primary activities include inbound logistics, operations, outbound logistics, marketing and sales, and customer service. In contrast, support activities comprise of company infrastructure, human resources management, technology development, and procurement. Studying Porter's value chain has given me new insights into the concept by exposing me to a systematic method of identifying and analyzing the essential activities that create value for a business. By breaking down a company's activities into smaller units, I have been able to gain a deeper understanding of how these activities interact and influence one another. Through Porter's value chain analysis, it is easier to identify opportunities for cost optimization and improving the company's competitive position in the market. In addition, I have also learned the importance of support activities to the overall value chain. Although they are not directly involved in the production and delivery of a company's goods and services, support activities like procurement, technology development, and human resources management play a crucial role in supporting primary activities. Therefore, neglecting support activities can have a significant impact on a company's ability to create value. Overall, studying Porter's value chain has provided me with a new perspective on how businesses operate and create value. It has given me a deeper understanding of how different activities within a business are interlinked and how they contribute to a company's competitive advantage.

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Arredondo, Inc., has current assets of $2,076, net fixed assets of $10,157, current liabilities of $684, and long-term debt of $1,753. What is the value of the shareholders’ equity account for this firm? (Hint: Build the Balance Sheet)

Answers

The shareholder's equity account is valued at $7,646.

Given:

Current assets = $2,076

Net fixed assets = $10,157

Current liabilities = $684

Long-term debt = $1,753

Let's now calculate the shareholders' equity account for this firm.

We know that Total assets = Current assets + Net fixed assets

Therefore,

Total assets = $2,076 + $10,157

Total assets = $12,233

Now, Total liabilities = Current liabilities + Long-term debt

Therefore,

Total liabilities = $684 + $1,753

Total liabilities = $2,437

Finally, we can use the following formula to calculate shareholders' equity account:

Shareholders' equity = Total assets – Total liabilities

Therefore,

Shareholders' equity = $12,233 - $2,437

Shareholders' equity = $9,796

Therefore, the shareholder's equity account is valued at $7,646.

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A pension plan pays an employee a retirement benefit based on the number of years of service, their final three-year average salary, and uses a contribution percentage of 1.5%. What is the annual retirement benefit of a worker with 30 years of service and final salary of $55,000,$60,000, and $65,000? $900 $2,700 $27,000 $81,000

Answers

A pension plan pays an employee a retirement benefit based on the number of years of service, their final three-year average salary, and uses a contribution percentage of 1.5%.

What is the annual retirement benefit of a worker with 30 years of service and final salary of [tex]$55,000, $60,000, and $65,000[/tex]?To find the annual retirement benefit of a worker with 30 years of service, we first need to find the final three-year average salary of the worker.

We can do this by adding up the final salaries of the worker for the last three years and dividing by 3:[tex]Final three-year average salary = ($55,000 + $60,000 + $65,000) / 3[/tex] Final three-year average salary = $60,000 Now that we have the final three-year average salary, we can calculate the annual retirement benefit using the following formula:

Annual retirement benefit = (Number of years of service) x (Final three-year average salary) x (Contribution percentage)Annual retirement benefit = 30 x $60,000 x 0.015 Annual retirement benefit = $27,000, the annual retirement benefit of a worker with 30 years of service and final salary of [tex]$55,000, $60,000, and $65,000 is $27,000.[/tex]

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According to the Chief Statistician of Malaysia, Dato 'Sri Dr Mohd Uzir Mahidin, "The unfavourable economic situation has resulted in unemployed graduates increasing from +37.2 thousand people to 202.4 thousand people. Thus, the unemployment rate for graduates in 2020 rose by 0.5 percentage points to 4.4 percent compared 3.9 percent in the previous year. In addition, more than 75 percent of graduates unemployed are those who are actively looking for work which is almost half unemployed for less than three months." a) Discuss how the government and private sector can help unemployed graduates. b) Explain frictional unemployment and cyclical unemployment. c) With the help of a diagram, explain the effect of unemployment on essential goods in the market.

Answers

Unemployment reduces demand for essential goods, leading to decreased production and employment. This is shown by a downward shift in the demand curve for essential goods.

a) The government can implement policies like job training programs, internship opportunities, and entrepreneurship support to enhance graduates' employability. The private sector can offer mentorship programs, collaborate with universities, and provide entry-level positions to assist unemployed graduates.

b) Frictional unemployment occurs when individuals are in the process of transitioning between jobs or entering the labor market. Cyclical unemployment arises due to a downturn in the business cycle, resulting in decreased demand for labor as companies cut jobs during economic recessions.

c) Unemployment affects essential goods in the market by reducing consumers' purchasing power, leading to decreased demand. This can result in a decline in production and sales, impacting industries involved in producing and selling essential goods. The diagram would show a downward shift in the demand curve, leading to lower equilibrium quantity and potentially lower prices for essential goods. This can have implications for businesses and employment within those industries.

      Price

       ↑

       |

       |

       |                 S1 (Initial Supply)

       |

       |

       |                 D1 (Initial Demand)

       |

       |_______________

       Quantity

When there is unemployment in the economy, individuals' ability to afford essential goods decreases, as they have limited or no income.

      Price

       ↑

       |

       |

       |                 S1 (Initial Supply)

       |       S2 (Decreased Supply)

       |

       |                 D2 (Decreased Demand)

       |

       |_______________

       Quantity

This leads to a decline in the demand for essential goods. As a result, businesses involved in the production and sale of these goods experience reduced sales and lower profits. To cope with the decreased demand, businesses may reduce production levels, leading to a decline in employment opportunities in those sectors. The diagram would illustrate a downward shift in the demand curve for essential goods, indicating a decrease in the equilibrium quantity and potentially lower prices. This situation highlights the adverse impact of unemployment on the market for essential goods and the potential ripple effects on businesses and employment within those industries.

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Which of the following is not a discretionary fiscal policy to ward off a recession? a. Increase government spending b. Decrease taxes c. Increase transfer payments d. Automatic Stabilizers e. All of the above are examples of discretionary fiscal policy

Answers

Discretionary fiscal policies refer to the measures taken by the government to control the economy. The government can make use of these policies to stabilize the economy by changing the rate of taxation, spending, and transfer payments. The goal of these policies is to reduce unemployment, boost economic growth and ward off a recession.

These policies are adopted in response to the economic situation and are not automatic like the automatic stabilizers.The correct answer is option D) Automatic stabilizers. Automatic stabilizers are not discretionary policies as they operate automatically based on changes in the economic conditions. Automatic stabilizers are the government expenditures and revenues that vary with changes in the economic activity.

These policies automatically increase the government spending when the economy is in a recession, which helps to reduce the severity of the recession, and they automatically decrease spending when the economy is booming to control inflation.

They do not require legislative approval, and the government does not have to take any further action to activate them. The other options, A, B, C, and E, are examples of discretionary fiscal policy as they require government intervention.

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Financial data for Joel de Paris, Inc., for last year follow: Joel de Paris, Inc. Balance Sheet Beginning Balance Ending Balance Assets Cash $ 136,000 $ 138,000 Accounts receivable 339,000 477,000 Inventory 570,000 470,000 Plant and equipment, net 795,000 795,000 Investment in Buisson, S.A. 402,000 428,000 Land (undeveloped) 246,000 246,000 Total assets $ 2,488,000 $ 2,554,000 Liabilities and Stockholders' Equity Accounts payable $ 381,000 $ 339,000 Long-term debt 960,000 960,000 Stockholders' equity 1,147,000 1,255,000 Total liabilities and stockholders' equity $ 2,488,000 $ 2,554,000 Joel de Paris, Inc. Income Statement Sales $ 4,464,000 Operating expenses 3,839,040 Net operating income 624,960 Interest and taxes: Interest expense $ 117,000 Tax expense 199,000 316,000 Net income $ 308,960 The company paid dividends of $200,960 last year. The "Investment in Buisson, S.A.," on the balance sheet represents an investment in the stock of another company. The company's minimum required rate of return of 15%. Required: 1. Compute the company's average operating assets for last year. 2. Compute the company’s margin, turnover, and return on investment (ROI) for last year. (Do not round intermediate calculations and round your final answers to 2 decimal places.) 3. What was the company’s residual income last year?

Answers

The average operating assets of Joel de Paris, Inc. for last year and the company’s margin, turnover, and return on investment (ROI) and residual income for last year are shown below:1. Compute the company's average operating assets for last year.

Average Operating Assets = (Beginning Operating Assets + Ending Operating Assets) / 2Where, Beginning Operating Assets = Total Assets – Cash – Investment in Buisson Ending Operating Assets = Total Assets – Cash – Investment in Buisson Average Operating Assets = (2488000 – 136000 – 402000 + 2554000 – 138000 – 428000) / 2= $1,648,0002. Compute the company’s margin, turnover, and return on investment (ROI) for last year. Margin = Net Income / Sales  Margin = $308,960 / $4,464,000Margin = 6.92%Turnover = Sales / Average Operating Assets Turnover = $4,464,000 / $1,648,000Turnover = 2.70ROI = Margin x Turnover ROI = 6.92% x 2.70ROI = 18.66%3. Residual Income = Net Operating Income – (Minimum Required Return x Average Operating Assets)Minimum Required Return = 15%Residual Income = $624,960 – (15% x $1,648,000)Residual Income = $374,400Therefore, the company’s residual income last year was $374,400.

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lorenzo lives in philadelphia and operates a small company selling drones. on average, he receives $702,000 per year from selling drones. out of this revenue from sales, he must pay the manufacturer a wholesale cost of $402,000. he also pays several utility companies, as well as his employees wages totaling $279,000. He owns the building that houses his storefront, if he choose to rent it out, he would receive a yearly amount of $12,000 in rent. Assume there is no depreciation in the value of his property over the year. Further, if Charles does not operate the drone business, he can work as a blogger and earn a yearly salary of $50,000 with no additional monetary costs, and rent out his storefront at the $12,000 per year rate. There are no other costs faced by Charles in running this drone company. Identify each of Charles's costs in the following table as either an impliot cost of an explicit cost of seiling drones. Complete the following table br determining Charles's accounting and ecanomic profic of his drone business

Answers

In Lorenzo's drone business, he incurs both implicit costs and explicit costs.

Implicit costs are the opportunity costs of using resources in a particular way. These costs are not directly visible in accounting records but represent the value of the best alternative use of the resources. In this case, Lorenzo's implicit costs include the foregone rent he could have earned by renting out his storefront. The implicit cost of not renting out the storefront is $12,000 per year.

Explicit costs, on the other hand, are the actual monetary payments made by the business. These costs are recorded in the accounting records. Lorenzo's explicit costs include the wholesale cost of drones, which is $402,000 per year, and the wages paid to employees, which total $279,000 per year.

To calculate Lorenzo's accounting profit, we subtract the explicit costs from the revenue. The revenue from selling drones is $702,000 per year. Subtracting the wholesale cost of drones ($402,000) and the wages paid to employees ($279,000), the accounting profit is $21,000 ($702,000 - $402,000 - $279,000).

To calculate Lorenzo's economic profit, we need to include the implicit costs as well. Including the implicit cost of not renting out the storefront ($12,000), the economic profit is -$33,000 ($21,000 - $12,000).

If Lorenzo chose not to operate the drone business and instead worked as a blogger, he could earn a yearly salary of $50,000 with no additional monetary costs. In this scenario, his accounting profit would be $50,000 ($50,000 - $402,000 - $279,000), and his economic profit would be -$29,000 ($50,000 - $402,000 - $279,000 - $12,000).

In summary, Charles's costs in his drone business include both implicit costs (foregone rent of $12,000) and explicit costs (wholesale cost of drones of $402,000 and wages paid to employees of $279,000). His accounting profit is $21,000, and his economic profit is -$33,000.

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Other Questions
information is given about a poly nominal f(x)whose coefficients are real numbers find the remaining 0s of f degree 4,zeros 6-5i,4i Suppose you scan a 5x7 inch photograph at 120 ppi (points per inch or pixels per inch) with 24-bitcolor representation. For the following questions, compute your answers in bytes.a. How big is the file?b. If you quantize the full-color mode to use 256 indexed colors, how big is the file?c. If you quantize the color mode to black and white, how big is the file? What is the most important function of the executive? Match these Match the items in the left column to the items in the right column. items. 1. means submission to god boethius 2. holy book of islam patrick 3. missionary to ireland koran 4. wrote ecclesiastical history of the english people bede 5. arian missionary muhammad 6. wrote consolation of philosophy islam 7. claimed to be a messenger from god ulfila The Dominance Battery Company produces alkaline batteries and claims that their useful life follows a normal distribution with a mean life of 17 hours and a standard deviation of 1.7 hours. For a group of 4,200 batteries use the Empirical Rule to determine how many of them are expected to last between 15.3 hours and 20.4 hours? Find decimal notation. 42.3 % Find decimal notation. 42.3 % 42.3 %= (Simplify your answer. Type an integer or a decimaFind the numerical value, if x=2 and y=1 . \ There is a road consisting of N segments, numbered from 0 to N-1, represented by a string S. Segment S[K] of the road may contain a pothole, denoted by a single uppercase "x" character, or may be a good segment without any potholes, denoted by a single dot, ". ". For example, string '. X. X" means that there are two potholes in total in the road: one is located in segment S[1] and one in segment S[4). All other segments are good. The road fixing machine can patch over three consecutive segments at once with asphalt and repair all the potholes located within each of these segments. Good or already repaired segments remain good after patching them. Your task is to compute the minimum number of patches required to repair all the potholes in the road. Write a function: class Solution { public int solution(String S); } that, given a string S of length N, returns the minimum number of patches required to repair all the potholes. Examples: 1. Given S=". X. X", your function should return 2. The road fixing machine could patch, for example, segments 0-2 and 2-4. 2. Given S = "x. Xxxxx. X", your function should return 3The road fixing machine could patch, for example, segments 0-2, 3-5 and 6-8. 3. Given S = "xx. Xxx", your function should return 2. The road fixing machine could patch, for example, segments 0-2 and 3-5. 4. Given S = "xxxx", your function should return 2. The road fixing machine could patch, for example, segments 0-2 and 1-3. Write an efficient algorithm for the following assumptions: N is an integer within the range [3. 100,000); string S consists only of the characters". " and/or "X" below you are presented with sets of quantum numbers: (n, l, ml , ms). only one is a valid set. which is it? atoms with approximately what number of nucleons have the greatest binding energy per nucleon? "Now that you've analyzed the effect of each of the transactions on the Accounting Equation, show the journal entry for each of the 10 transactions." How do you write an equation for proportional relationships?; What equation shows proportional relationships?; How do you describe a proportional relationship?; What is the formula of proportionality? create a cv.php file for this task. The output of this file is similar to the index.html, but the content in the two sections Experience and Education is dynamic. More specifically, you need to read data from the file cv.csv to construct the content of the two sections Experience and Education. The content of the file cv.csv was created by calling the fputcsv() function (Links to an external site.) with the default parameter values (the preceding sentence lets you know how the cv.csv was constructed, but you don't need to construct it). Each line consists of five fields:The first field is either "edu" or "exp", which denotes whether this line represents a degree or a jobThe second field is either the name of the degree (if the first field is "edu") or the job title (if the first field is "exp")The third field is either the school/university name (if the first field is "edu") or the company name (if the first field is "exp")The 4th and 5th fields are the start year and end year of the degree or the job (depending on whether the first field is "edu" or "exp")For Education, you can be sure that there are no two degrees with the same start year. Similarly, for Experience, you can be sure that there are no two jobs with the same start year. However, the degree lines and job lines are positioned in any order. They are also mixed. For each section, Education or Experience, of the cv.php file, you need to display the read items in descending order of start year. In other words, the latest degree (or latest job) should be displayed first in the Education (or Experience) section.Hint: can you maintain two arrays, one for Education items, and one for Experience items? Recommend potential enhancements and investigate what functionalities would allow the networked system to support device growth and the addition of communication devicesplease don't copy-paste answer from other answered Build each of the atoms below in the simulation. What is the name of each of the following atoms? An atom with 2 protons and 4 neutrons: An atom with 4 protons and 4 neutrons: An atom with protons and 7 neutrons; An atom with 8 protons and 6 neutrons: Consider this C\# class: public class Thing \{ Stacks; bool someBool; public Thing(bool b) someBool = b; s = new Stack>(); public void Foo(int x){ Console. Writeline (x); \} and this Main method: static void Main(string[] args Thing t= new Thing(true); int i=5; t.Foo(i); static void Main(string[] args) ( Assume all necessary using declarations exist. When the program is running, where do each of the below pieces of data reside? Hint: remember the difference between a reference variable and an object. the Thing object: s: the Stack object: someBool: i: x : Consider the previous question. What is the maximum number of frames on the stack during execution of this program? Assume Console.WriteLine does not call any other methods. Hint: remember that frames are pushed when a method is invoked, and popped when it returns. Question 5 Consider question 3. If Thing was a struct instead of a class, the space allocated for Main's stack frame would: get larger get smaller not change in size draw the major product obtained when the following alkyl halide undergoes an e2 reaction. if you expect no reaction to occur, submit the starting material as your answer. mobility training for students who are visually impaired can involve all of the following devices except? The student council is hosting a drawing to raise money for scholarships. They are selling tickets for $7 each and will sell 700 tickets. There is one $2,000 grand prize, four $200 second prizes, and sixteen $10 third prizes. You just bought a ticket. Find the expected value for your profit. Round to the nearest cent. Jrite regular expressions for the following languages using Go's regular expression yntax (using Go to test your answers would be a good idea). Use and $ to get exact latches - Biological pronunciation for plants at Monrovia.com. On the Hot Blooded Lantana, Lantana camara, Monrovia Plant page, the pronunciation is: lan-TAY-na ca-MA-ra. For Blue Arrow Juniper, Juniperus scopulorum, Monrovia Plant, the pronunciation is: ju-NIP-er-us skop-u-LO-rum - Each syllable is one or more letters, - Each syllable uses all upper case if the syllable should be stressed, all lower case if not - Syllables are separated by a dash - There are exactly two words (Scientific Plant Names Landscape Plants Oregon State University explains that the first word is the genus, the second word is the "specific epithet") - Plant prices at Monrovia.com. Plants may be offered in different sizes, so if you click on the Container Size link on a page like: Hot Blooded Lantana, Lantana camara, Monrovia Plant, you find strings like: "#1-.75 Gallon $16.99 " or "\#2 1.6 Gallon $36.99 ". For purposes of this assignment, you will just match the pattern rather than worry about the correctness. A few notes: - The container size (1 or 2 above) is just a single digit - The Gallon size is always less than 10, and just 1 or 2 digits after the decimal point - Prices are less than $1000 and have exactly 2 digits after the decimal point (for cents) which kind of risk occurs when the real estate market is slow with not many buyers, sellers or transactions?