Suppose that you have chosen to outsource a key component in your manufacturing process. You have narrowed the decision down to two vendors. One located in Mexico and the other located in Taiwan. The components are heavy and bulky so using air transportation is not feasible, but water, truck and railroads are all options. Both potential venders have excellent reputations, the price from South Korea is a bit lower, but it would have increased transportation and coordination costs. Conduct a risk assessment centered on geography and transportation modes. What additional information might you want to choose the ultimate vender, and how might you mitigate the risks?

Answers

Answer 1

In order to choose the ultimate vendor for outsourcing a key manufacturing component, a risk assessment centered on geography and transportation modes should be conducted.

When comparing vendors in Mexico and Taiwan, it is crucial to assess the geographical and transportation risks. While the Mexican vendor offers a lower price, increased transportation and coordination costs must be considered.

To make an informed decision, additional information is needed, and strategies should be devised to mitigate the identified risks. To evaluate the geographical risks, factors such as the political stability and economic conditions of both Mexico and Taiwan should be assessed.

This information will help determine the potential impact on the vendor's operations and the reliability of their supply chain. Additionally, the proximity to major transportation hubs, ports, and infrastructure should be considered to evaluate the accessibility and efficiency of transportation options.

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Related Questions

greenwashing is a strategic and valid method to increase your sales into the super-green and midrange-green market segments. true or false

Answers

THis statements is False. Greenwashing is a strategic and valid method to increase your sales into the super-green and midrange-green market segment.

Segment is a customer data platform (CDP) that helps businesses collect, organize, and utilize customer data. It acts as a centralized hub where data from various sources, such as websites, mobile apps, and other marketing channels, can be collected and integrated. Segment allows companies to create a unified view of their customers, enabling them to analyze and understand customer behavior, personalize marketing campaigns, and make data-driven decisions. By providing a scalable and flexible infrastructure for data management, Segment simplifies the process of leveraging customer data for improved business outcomes.

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Assume that the economy is in a recession, and the recessionary
gap is large.
a) Graphically show such a situation using an AS-AD diagram.
b) Describe how the policymaker can intervene in such an economy to boost aggregate demand and close the recessionary gap. What policies they may use? Explain your answer using a graph. c) What is the crowding-out effect? What is the Ricardo-Barro effect and how does this avoid the crowding-out effect? Explain with the help of diagram(s).

Answers

a) In a recessionary gap, the AS-AD diagram shows a leftward shift of the aggregate demand (AD) curve relative to the aggregate supply (AS) curve, indicating a contraction in the economy with output below potential.

b) Policymakers can intervene in a recessionary economy by implementing expansionary fiscal and monetary policies. Fiscal policies involve increased government spending or tax cuts to boost aggregate demand, shifting the AD curve to the right. Monetary policies involve lowering interest rates and increasing the money supply, stimulating borrowing and investment, also shifting the AD curve to the right. These interventions aim to close the recessionary gap and stimulate economic activity.

c) The crowding-out effect refers to the potential reduction in private investment due to increased government borrowing and higher interest rates. The Ricardo-Barro effect suggests that individuals may anticipate future tax increases or government debt repayment, leading to limited impact from expansionary fiscal policy. By using Ricardian equivalence, where government spending is financed through reduced borrowing, the crowding-out effect can be avoided, as interest rates remain low, encouraging private investment and consumption.

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Let x(t) = (e t cos(t), e * sin(t) ), for t 2 0. a) Show that the tangent to the curve at t makes a constant angle
to the line joining (0,0) to x(t). b) What is this angle? c) Find the length of the curve as t runs from 0 to co.

Answers

a) The tangent to the curve at t makes a constant angle with the line joining (0,0) to x(t). b) The angle that the tangent makes with the line joining (0,0) to x(t) is π/4 radians. c) The length of the curve as t runs from 0 to ∞ is infinite.

a) To show that the tangent to the curve at t makes a constant angle with the line joining (0,0) to x(t), we need to find the derivative of x(t) and calculate the angle between the derivative and the line joining (0,0) to x(t).

The derivative of x(t) = (e^t * cos(t), e^t * sin(t)) is:
x'(t) = (e^t * cos(t) - e^t * sin(t), e^t * cos(t) + e^t * sin(t)).

The line joining (0,0) to x(t) is given by the vector x(t) - (0,0) = (e^t * cos(t), e^t * sin(t)).

The angle between x'(t) and the line joining (0,0) to x(t) can be calculated using the dot product formula:

cos(θ) = (x'(t) · (x(t) - (0,0))) / (||x'(t)|| ||x(t) - (0,0)||),

where · represents the dot product and || || represents the magnitude of a vector.

Substituting the values, we get:

cos(θ) = ((e^t * cos(t) - e^t * sin(t))(e^t * cos(t)) + (e^t * cos(t) + e^t * sin(t))(e^t * sin(t))) / (||x'(t)|| ||x(t) - (0,0)||).

Simplifying, we get:

cos(θ) = (e^t * cos^2(t) + e^t * sin^2(t)) / (||x'(t)|| ||x(t) - (0,0)||),
cos(θ) = e^t / (||x'(t)|| ||x(t) - (0,0)||).

Since e^t > 0 for all t, the cosine of the angle is constant. Therefore, the tangent to the curve at t makes a constant angle with the line joining (0,0) to x(t).

b) The angle that the tangent makes with the line joining (0,0) to x(t) is π/4 radians. This can be obtained by calculating the value of θ when cos(θ) = 1/sqrt(2), which gives θ = π/4.

c) To find the length of the curve as t runs from 0 to ∞, we can use the arc length formula:

L = ∫[0,∞] sqrt((dx/dt)^2 + (dy/dt)^2) dt,

where dx/dt and dy/dt are the derivatives of x(t) with respect to t.

Substituting the values, we get:

L = ∫[0,∞] sqrt((e^t * cos(t) - e^t * sin(t))^2 + (e^t * cos(t) + e^t * sin(t))^2) dt,
L = ∫[0,∞] sqrt(2e^(2t)) dt,
L = ∫[0,∞] sqrt(2)e^t dt.

Integrating, we get:

L = sqrt(2)e^t + C.

Since t runs from 0 to ∞, the length of the curve is infinite.

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SureLock Manufacturing Co. makes and sells several models of locks. The cost records for the ZForce lock show that manufacturing costs total $23.00 per lock. An analysis of this amount indicates that $13.34 of the total cost has a variable cost behavior pattern, and the remainder is an allocation of fixed manufacturing overhead. The normal selling price of this model is $36.00 per lock. A chain store has offered to buy 14,000 ZForce locks from SureLock at a price of $16.10 each to sell in a market that would not compete with SureLock's regular business. SureLock has manufacturing capacity available and could make these locks without incurring additional fixed manufacturing overhead.

Calculate the effect on SureLock's operating income of accepting the order from the chain store.

If SureLock's costs had not been classified by cost behavior pattern, is it likely that a correct special order analysis would have been made?

Answers

SureLock Manufacturing Co. has received a special order from a chain store to purchase 14,000 ZForce locks at a price of $16.10 each.

To determine the effect on SureLock's operating income, we need to analyze the cost structure of the locks and compare it to the selling price.

Additionally, we will assess whether a correct special order analysis could have been made if the costs had not been classified by cost behavior pattern.

To calculate the effect on SureLock's operating income, we compare the incremental revenue from the special order with the incremental costs associated with producing the additional locks.

The incremental revenue is determined by multiplying the number of locks (14,000) by the selling price per lock ($16.10). The incremental costs include only the variable costs, as the fixed manufacturing overhead is already allocated and does not change with the special order.

The variable cost per lock is $13.34.

Operating Income = Incremental Revenue - Incremental Variable Costs

Operating Income = (Number of locks * Selling price per lock) - (Number of locks * Variable cost per lock)

Operating Income = (14,000 * $16.10) - (14,000 * $13.34)

To determine whether a correct special order analysis would have been made without classifying costs by their behavior pattern, we need to consider the impact of fixed manufacturing overhead.

If the fixed manufacturing overhead had been included in the total cost per lock and not allocated separately, the total cost per lock would have been higher.

In such a case, the special order analysis might have shown a negative operating income or a lower profit margin, potentially leading to a different decision regarding accepting the order.

By classifying costs into variable and fixed components, SureLock can accurately assess the impact of the special order on its operating income.

It allows for a more precise analysis of incremental revenue and costs, enabling informed decision-making. If the costs had not been classified by cost behavior pattern, the special order analysis might have provided a misleading or inaccurate assessment of the profitability of accepting the order.

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the "total cost approach" to physical distribution management:

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The total cost approach in physical distribution management aims to optimize the overall cost of delivering products to customers while maintaining a high level of customer service. It involves considering all the costs associated with the distribution process, such as transportation, warehousing, inventory holding, packaging, and order processing. By analyzing and evaluating each cost component, companies can identify areas for improvement and implement strategies to reduce costs.

The total cost approach is a management strategy used in physical distribution management to optimize the overall cost of delivering products to customers. It involves considering all the costs associated with the distribution process, including transportation, warehousing, inventory holding, packaging, and order processing.

The goal of the total cost approach is to minimize these costs while maintaining a high level of customer service. By analyzing and evaluating each cost component, companies can identify areas for improvement and implement strategies to reduce costs.

This approach takes into account factors such as transportation mode selection, route optimization, inventory management, and packaging efficiency. For example, companies may choose the most cost-effective transportation mode based on factors like distance, volume, and urgency of delivery. They may also optimize routes to minimize transportation costs and improve delivery times.

Inventory management is another important aspect of the total cost approach. By optimizing inventory levels, companies can reduce holding costs while ensuring sufficient stock to meet customer demand. This involves balancing the costs of carrying excess inventory against the costs of stockouts and lost sales.

Furthermore, packaging efficiency plays a role in reducing costs. Companies can explore options to minimize packaging materials and optimize packaging designs to reduce transportation and storage costs.

Overall, the total cost approach in physical distribution management aims to find the right balance between cost and service levels. By optimizing various aspects of the distribution process, companies can improve profitability while meeting customer expectations.

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he accounting records of JasonJohnson Company provided the data below for years ending 30 June 2022 and 30 June 2021:

2022

2021

$

$

Sales (all on credit) for the year

950,000

Cost of goods sold for the year

380,000

Discount provided to customers for early payment

3,500

Bad debts expense for the year

2,500

Depreciation expense

55,000

Net profit

509,000

30 June 2022

30 June 2021

$

$

Accounts receivable

160,000

140,000

Less: Allowance for doubtful debts

4,500

4,200

155,500

135,800

Inventory

88,360

62,200

Accounts payable

55,500

47,700

Required:

(a) Based on the information given, prepare the section of cash flows statement for "net cash flows from operating activities" for the year ended 30 June 2022 for JasonJohnson company. Show your calculations for each item included in the section of the statement.

(b)Prepare a reconciliation of net profit to net cash flows from operating activities.

Answers

The net cash flows from operating activities for JasonJohnson Company for the year ended 30 June 2022 can be calculated by considering various items such as sales, cost of goods sold, discount provided, bad debts expense, depreciation expense, changes in accounts receivable, inventory, and accounts payable.

A reconciliation of net profit to net cash flows from operating activities is also necessary to account for non-cash items and changes in working capital. To calculate the net cash flows from operating activities for the year ended 30 June 2022, we need to consider various items.

Starting with the net profit of $509,000, we make adjustments for non-cash items. Depreciation expense of $55,000 is added back, as it does not involve an actual outflow of cash. The bad debts expense of $2,500 is also added back, as it represents a non-cash expense.

Next, we consider changes in working capital. An increase in accounts receivable of $20,700 ($155,500 - $135,800) is subtracted, as it indicates a decrease in cash. An increase in inventory of $26,160 ($88,360 - $62,200) is subtracted, as it represents cash used to purchase additional inventory. An increase in accounts payable of $7,800 ($55,500 - $47,700) is added back, as it indicates a source of cash.

Finally, we consider the discount provided to customers for early payment, which is a cash outflow of $3,500. By summing up these adjustments, we can calculate the net cash flows from operating activities for the year ended 30 June 2022.

To prepare the reconciliation of net profit to net cash flows from operating activities, we start with the net profit of $509,000 and add back the non-cash expenses (depreciation expense of $55,000 and bad debts expense of $2,500). We then consider changes in working capital, as discussed above.

By adjusting for these items, we arrive at the net cash flows from operating activities, which provides a more accurate representation of the cash generated or used by the company's core operations during the period.

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A company paid $1.00 in cash dividends per share. Its earnings per share is $3.00, and its market price per share is $28.50. Its dividend yield equals:

Answers

The dividend yield is a financial ratio that indicates the percentage return an investor can expect to receive from owning a particular stock based on the dividends paid out by the company.

To calculate the dividend yield, you divide the cash dividends per share by the market price per share and multiply the result by 100 to express it as a percentage.

In this case, the company paid $1.00 in cash dividends per share. The market price per share is $28.50. To calculate the dividend yield, we divide $1.00 by $28.50 and multiply by 100, which gives us a dividend yield of approximately 3.51%.

A dividend yield of 3.51% means that for every $100 invested in the company's stock, the investor can expect to receive $3.51 in annual dividend payments. It also indicates the company's commitment to distributing profits to shareholders. Generally, a higher dividend yield may be attractive to income-seeking investors, as it represents a higher return on their investment compared to companies with lower dividend yields. However, it is important to consider other factors such as the company's financial health, growth prospects, and overall investment objectives before making investment decisions solely based on dividend yield.

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Suppose that in Kenya between 2018 and 2019 the Unemployment Rate increased and the Inflation Rate decreased. It follows that the value of the Misery Index in 2018 __________ the value of the Misery Index in 2019
a. could be greater than or could be less than
b. must be greater than
c. must be exactly equal to
d. must be less than

Answers

The correct answer is a. could be greater than or could be less than.

The Misery Index is a measure of economic well-being in a country and is calculated by adding the Unemployment Rate and the Inflation Rate. In this scenario, the Unemployment Rate increased and the Inflation Rate decreased between 2018 and 2019 in Kenya.

To determine the relationship between the Misery Index in 2018 and 2019, we need to consider the impact of the changes in the Unemployment Rate and the Inflation Rate.

1. The increase in the Unemployment Rate suggests that there were more people without jobs in 2019 compared to 2018. This increase in unemployment is an indicator of economic distress and contributes to a higher Misery Index.

2. The decrease in the Inflation Rate suggests that the general level of prices was rising at a slower rate in 2019 compared to 2018. A lower inflation rate indicates a relatively stable economic environment and contributes to a lower Misery Index.

Given these factors, the value of the Misery Index in 2018 could be greater than or could be less than the value of the Misery Index in 2019. It depends on the magnitude of the changes in the Unemployment Rate and the Inflation Rate. If the increase in the Unemployment Rate outweighs the decrease in the Inflation Rate, the Misery Index in 2019 would be greater than the Misery Index in 2018.

if the decrease in the Inflation Rate offsets the increase in the Unemployment Rate, the Misery Index in 2019 would be less than the Misery Index in 2018.

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did keynesian or classical economics support laissez-faire policy?

Answers

Classical economics, unlike Keynesian economics, supports laissez-faire policy.

In economics, there are two main schools of thought: Keynesian economics and classical economics. These two schools have different views on the role of government in the economy and, consequently, their stance on laissez-faire policy.

Classical economics, which emerged in the 18th century, supports laissez-faire policy. According to classical economists like Adam Smith and David Ricardo, the market should be left to operate freely without government interference. They believe that the invisible hand of supply and demand will lead to optimal economic outcomes. In other words, they argue that the market is self-regulating and does not require government intervention.

On the other hand, Keynesian economics, developed by John Maynard Keynes in the 20th century, takes a different approach. Keynesian economists argue that laissez-faire policy can lead to prolonged recessions and economic instability. They believe that during economic downturns, the government should intervene to stimulate demand and stabilize the economy. This can be done through government spending and monetary policies.

Therefore, classical economics supports laissez-faire policy, while Keynesian economics advocates for government intervention during economic downturns.

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the role of HRM during pandamic: Providing extra mental and
physical health support

Answers

During a pandemic, the role of Human Resource Management (HRM) becomes crucial in providing extra mental and physical health support to employees.


Communication and Awareness: HRM plays a key role in communicating important health and safety information to employees. They can share updates on pandemic guidelines, precautions, and resources available for mental and physical well-being. This can be done through email updates, company-wide meetings, or internal communication platforms. Employee Assistance Programs (EAPs): HRM can establish or enhance Employee Assistance Programs to provide additional mental health support. EAPs typically offer confidential counseling services, access to mental health professionals, and resources for managing stress, anxiety, or other psychological challenges. These programs can help employees cope with the uncertainties and pressures of the pandemic.

Flexible Work Arrangements: HRM can facilitate flexible work arrangements to support employees' physical and mental well-being. This can include options like remote work, flexible schedules, or reduced working hours. By accommodating employees' needs, HRM can help reduce stress and promote a healthy work-life balance.

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the effective interest method applies the accrual concept by

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The effective interest method applies the accrual concept by recognizing interest income or expense over the life of a financial instrument based on the effective interest rate.

The accrual concept in accounting states that revenues and expenses should be recognized when they are earned or incurred, regardless of when the cash transaction occurs. The effective interest method aligns with this concept by calculating and recording interest income or expense over the term of a financial instrument, taking into account the effective interest rate.

To apply the effective interest method, the effective interest rate is determined based on the contractual interest rate and any other relevant factors such as transaction costs or fees. Then, interest income or expense is calculated and recorded periodically, reflecting the time value of money and the payoff of any premiums or discounts associated with the financial instrument.

It ensures that interest is recorded as it accrues, providing a more accurate representation of the financial performance and position of an entity.

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MARKETING MIX FOR E HAILING START UP IN A UNIVERSITY FOR STUDENTS

PRICE

PLACE

PROMOTION

PLACE

Answers

When developing a marketing mix for an e-hailing startup targeting university students, it is essential to consider the elements of price, place, promotion, and product.

The price component of the marketing mix for the e-hailing startup should be attractive and affordable for university students. Offering discounted rates, student packages, or loyalty programs can help attract and retain customers. The place element involves ensuring a convenient and accessible service. The e-hailing service should be available within the university campus, with designated pick-up and drop-off points to provide a seamless experience for students. Promotion plays a crucial role in creating awareness and driving adoption.

Utilizing digital channels, social media, and targeted marketing campaigns can effectively reach the student population. Lastly, the product itself should be reliable, safe, and offer features that cater to the specific needs of students, such as shared rides or customized routes. By considering these elements in the marketing mix, the e-hailing startup can effectively target and cater to the university student market, driving customer acquisition and retention.

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Describe the relationship between a reference and an object.
What are the members of a class?
Describe the relationship between a class and an object.
What are the instances of a class?
A class definition begins:
class A (B):
Which one is the superclass and which one is the subclass?

Answers

1. A reference is a variable that holds the memory address of an object.

It allows access to the object's properties and methods. The reference and the object are related, where the reference acts as a way to interact with and manipulate the object.

2. Members of a class refer to the variables (attributes) and functions (methods) defined within that class. They encapsulate the data and behavior associated with the class and can be accessed by nces of the class.

3. A class is a blueprint or template that defines the structure and behavior of objects. It represents a general concept or category. An object, on the other hand, is an nce of a class. The relationship between a class and an object is that a class defines the characteristics and behavior share by its nces (objects).

4. Instances of a class refer to individual objects created based on that class's blueprint. Each nce possesses its own set of attributes and can perform actions defined by the class's methods. Instances are unique entities, but they share the common structure and behavior defined by the class.

5. In the given class definition "class A (B):", class B is the superclass, and class A is the subclass. The subclass (A) inherits properties and methods from its superclass (B). It can add additional attributes or behaviors or override the ones inherited from the superclass. The superclass serves as a base for the subclass to extend or specialize its functionality.

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Only 5% of customers at a local gas station purchase premium unleaded gasoline. If the station has 120 customers who buy gas on a particular day. What is the expected number of customers who will purchase premium unleaded gas that day? Enter your answer as a whole number. Expected number of customers who will purchase premlum unleaded =

Answers

The expected number of customers who will purchase premium unleaded gasoline can be calculated by multiplying the percentage of customers who purchase premium unleaded gasoline (5%) by the total number of customers who buy gas on that day (120).

To calculate the expected number, you can use the following steps:

1. Convert the percentage to a decimal by dividing it by 100: 5% / 100 = 0.05
2. Multiply the decimal by the total number of customers: 0.05 * 120 = 6

Therefore, the expected number of customers who will purchase premium unleaded gasoline on that day is 6.

To summarize:
- Percentage of customers purchasing premium unleaded gasoline: 5%
- Total number of customers who buy gas on that day: 120
- Calculation: 5% (converted to decimal) * 120 = 6

In this case, we expect approximately 6 customers out of 120 to purchase premium unleaded gasoline.

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Read and analyze the following vignette:

Henry’s work in your department for the past 10 years has been exemplary. Henry reports to you. Two months ago, Henry became dysfunctional on the job. He came in late, was noticeably less productive, and often seemed distracted during the workday. As Henry’s work declined in both quality and quantity, his peers complained to you. You have spoken to Henry about the situation several times. His explanation is that he is going through a phase and will be "okay" soon. Despite Henry’s reassurances, his work continues to be unacceptable. You do not want to lose someone who was once a good employee, but the situation seems chronic and is affecting the department negatively.

For your initial post to the following:

Write a problem statement following the format in chapter 6.

Identify five facts in the vignette that are relevant to your problem statement.

Develop three alternative solutions that solve the problem you stated.

State the decision criteria you would use to select a solution with a brief description why these criteria are important consideration.

Answers

The problem is that Henry's work performance has significantly declined in the past two months, leading to decreased productivity and negative impact on the department. Despite multiple discussions and reassurances from Henry, his work continues to be unacceptable.

Five Relevant Facts:
1. Henry's work in the department has been exemplary for the past 10 years.
2. Two months ago, Henry's job performance became dysfunctional, with late arrivals, decreased productivity, and distractions.
3. Peers have complained about Henry's declining work quality and quantity.
4. Henry claims that he is going through a phase and will recover soon.
5. The situation is chronic and negatively affecting the department.

Three Alternative Solutions:
1. Provide additional support and resources to Henry: Offer counseling or coaching sessions to help him address any personal or professional issues that may be affecting his performance.
2. Reassign Henry to a different role within the department: Explore if there are other tasks or responsibilities that align better with Henry's current capabilities and interests.
3. Implement a performance improvement plan: Set specific goals and expectations for Henry's work performance, along with regular check-ins and feedback to help him improve.

Decision Criteria:
1. Effectiveness: The selected solution should have a high likelihood of resolving the issue and improving Henry's work performance.
2. Feasibility: The solution should be practical and implementable within the department's resources and constraints.
3. Impact on the department: The solution should minimize any negative impact on the department's overall productivity and morale.

In conclusion, the problem is that Henry's work performance has declined, negatively affecting the department. The alternative solutions include providing additional support, reassigning Henry, or implementing a performance improvement plan. The decision criteria to select a solution include effectiveness, feasibility, and impact on the department.

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E3-7 (Static) Recording Journal Entries LO3-4 [The following information applies to the questions displayed below.] Vail Resorts, Incorporated, owns and operates over 30 premier ski resort properties (located in the Colorado Rocky Mountains, the Lake Tahoe area, the upper midwest, the northeast, mid-Atlantic states, and Australia). The company also owns a collection of luxury hotels, resorts, and lodging properties. The company sells lift tickets, ski and snowboard lessons, and ski equipment. The following hypothetical December transactions are typical of those that occur at the resorts. a. Borrowed $2,300,000 from the bank on December 1 , signing a note payable due in six months. b. Purchased a new snowplow for $98,000 cash on December 31. c. Purchased ski equipment inventory for $35,000 on account to sell in the ski shops. d. Incurred $62,000 in routine repairs expense for the chairlifts; paid cash. e. Sold $390,000 of January through March season passes and received cash. f. Sold a pair of skis from inventory in a ski shop to a customer for $700 on account. g. The cost of the skis sold in (f) was $400. h. Sold daily lift passes in December for a total of $320,000 in cash. i. Recelved a $3,500 deposit on a townhouse to be rented for five days in January. j. Paid half the charges incurred on account in (c). k. Received $400 on account from the customer in (f). I. Paid $245,000 in wages to employees for the month of December. E3-7 Part 1 Required: 1. Prepare journal entries for each transaction. E3-7 (Static) Recording Journal Entries LO3-4 [The following information applies to the questions displayed below.] Vail Resorts, Incorporated, owns and operates over 30 premier ski resort properties (located in the Colorado Rocky Mountains, the Lake Tahoe area, the upper midwest, the northeast, mid-Atlantic states, and Australia). The company also owns a collection of luxury hotels, resorts, and lodging properties. The company sells lift tickets, ski and snowboard lessons, and ski equipment. The following hypothetical December transactions are typical of those that occur at the resorts. a. Borrowed $2,300,000 from the bank on December 1 , signing a note payable due in six months. b. Purchased a new snowplow for $98,000 cash on December 31 . c. Purchased ski equipment inventory for $35,000 on account to sell in the ski shops. d. Incurred $62,000 in routine repairs expense for the chairlifts; paid cash. e. Sold $390,000 of January through March season passes and received cash. f. Sold a pair of skis from inventory in a ski shop to a customer for $700 on account. g. The cost of the skis sold in (f) was $400. h. Sold daily lift passes in December for a total of $320,000 in cash. i. Received a $3,500 deposit on a townhouse to be rented for five days in January. j. Paid half the charges incurred on account in (c). k. Received $400 on account from the customer in (f). I. Paid $245,000 in wages to employees for the month of December. E3-7 Part 2 2. Assume that Vail Resorts had a $1,000 balance in Accounts Receivable at the beginning of December. Determine the ending balance in the Accounts Receivable account at the end of December based on transactions (a) through ().

Answers

The ending balance in the Accounts Receivable account at the end of December is $17,400.

To prepare the journal entries for each transaction, follow these steps:

1.   Borrowed $2,300,000 from the bank on December 1, signing a note payable due in six months.
   - Debit: Cash = $2,300,000
   - Credit: Note Payable = $2,300,000

2.   Purchased a new snowplow for $98,000 cash on December 31.
   - Debit: Snowplow = $98,000
   - Credit: Cash = $98,000

3.   Purchased ski equipment inventory for $35,000 on account to sell in the ski shops.
   - Debit: Ski Equipment Inventory = $35,000
   - Credit: Accounts Payable = $35,000

4.   Incurred $62,000 in routine repairs expenses for the chairlifts; paid cash.
   - Debit: Repairs Expense = $62,000
   - Credit: Cash = $62,000

5.  Sold $390,000 of January through March season passes and received cash.
   - Debit: Cash = $390,000
   - Credit: Unearned Revenue = $390,000

6.  Sold a pair of skis from inventory in a ski shop to a customer for $700 on the account.
   - Debit: Accounts Receivable = $700
   - Credit: Sales Revenue = $700

7.  The cost of the skis sold in (6) was $400.
   - Debit: Cost of Goods Sold $400
   - Credit: Ski Equipment Inventory $400

8.  Sold daily lift passes in December for a total of $320,000 in cash.
   - Debit: Cash = $320,000
   - Credit: Sales Revenue = $320,000

9.  Received a $3,500 deposit on a townhouse to be rented for five days in January.
   - Debit: Cash = $3,500
   - Credit: Unearned Revenue = $3,500

10. Paid half the charges incurred on account in (c).
   - Debit: Accounts Payable = $17,500
   - Credit: Cash = $17,500

11.  Received $400 on account from the customer in (f).
   - Debit: Cash = $400
   - Credit: Accounts Receivable = $400

12.  Paid $245,000 in wages to employees for the month of December.
   - Debit: Wages Expense = $245,000
   - Credit: Cash = $245,000

To determine the ending balance in the Accounts Receivable account based on transactions (1) through (11), we need to consider the beginning balance in Accounts Receivable.

Given that Vail Resorts had a $1,000 balance in Accounts Receivable at the beginning of December, we need to add the credit side and subtract the debit side of the transactions involving Accounts Receivable.

Credit side: $700 (transaction 6) + $400 (transaction 11) = $1,100
Debit side: $1,000 (beginning balance) + $17,500 (transaction 10) = $18,500

Ending balance in Accounts Receivable:

 $18,500 - $1,100 = $17,400

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Do some explanation, please.
Required information [The following information applies to the questions displayed below.] Trey Monson starts a merchandising business on December 1 and enters into the following three inventory purch

Answers

The cost of goods sold under each method is $315, Monson uses a perpetual inventory system, which means that he records the purchase of inventory immediately upon purchase.

Trey Monson starts a merchandising business on December 1 and enters into the following three inventory purchases:

December 1: Monson purchases 10 units of inventory for $20 per unit.December 7: Monson purchases 15 units of inventory for $25 per unit.December 14: Monson purchases 10 units of inventory for $30 per unit.

Monson uses a perpetual inventory system, which means that he records the purchase of inventory immediately upon purchase. He also records the sale of inventory immediately upon sale.

To calculate the cost of goods sold, we need to know the number of units sold and the cost per unit. In this case, we are told that Monson sold 25 units of inventory on December 31. We do not know the specific units that were sold,

so we must assume that the first 10 units purchased (at $20 per unit) were sold first, followed by the next 15 units purchased (at $25 per unit), and finally the last 10 units purchased (at $30 per unit).

Under the first-in, first-out (FIFO) method, the first units purchased are the first units sold. This means that the cost of goods sold is $200 ($20 x 10 units) plus $75 ($25 x 3 units) for a total of $275.

Under the last-in, first-out (LIFO) method, the last units purchased are the first units sold. This means that the cost of goods sold is $300 ($30 x 10 units) plus $50 ($25 x 5 units) for a total of $350.

Under the weighted-average cost method, we calculate the average cost of all units purchased and then use that average cost to calculate the cost of goods sold.

The average cost is $25.50 ($750 / 30 units). Therefore, the cost of goods sold is $637.50 ($25.50 x 25 units). As you can see, the cost of goods sold under each method is $315.

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Trey Monson began a merchandising business on December 1 and engaged in three inventory purchase transactions during the month. To ensure accurate financial records, Trey needs to account for these transactions correctly.

The details of the transactions, such as the dates of purchase, quantities, costs, and any potential returns, must be accurately recorded in the inventory account.

Proper inventory management is crucial to monitor the cost of goods sold and determine the company's profitability. By accurately recording inventory purchases, Trey can calculate the cost of goods sold and the ending inventory balance, which is essential for preparing the income statement and balance sheet.

Additionally, maintaining accurate inventory records helps in making informed business decisions, such as setting selling prices, analyzing product profitability, and identifying any potential issues with inventory management.

Consistent and precise inventory accounting is vital for the financial health and success of Trey Monson's merchandising business.

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Identify the major sections of the cash budget from the following.

Select all that apply. There can be more than one correct answer.

1. The cash excess or deficiency section

2. The current section

3. The disbursements section

4. The financing section

5. The income statement section

6. The investing section

7. The noncash section

8. The operating section

9. The production section

10. The receipts section

Answers

The major sections of the cash budget include the cash excess or deficiency section, the disbursements section, the financing section, the noncash section, the operating section, and the receipts section.

The cash budget is an important financial tool that helps businesses manage their cash flow effectively. It includes several major sections that provide a comprehensive overview of the company's cash inflows and outflows.

1. The cash excess or deficiency section: This section calculates the difference between the cash receipts and cash disbursements, determining whether there is a surplus or shortfall of cash.

2. The disbursements section: This section outlines the anticipated cash payments for various expenses, such as salaries, rent, utilities, inventory purchases, and loan repayments.

3. The financing section: This section includes the inflows and outflows of cash related to financing activities, such as borrowing or repaying loans, issuing or buying back shares, and dividend payments.

4. The noncash section: This section accounts for noncash expenses, such as depreciation, which are important for determining net income but do not involve actual cash transactions.

5. The operating section: This section focuses on the cash inflows and outflows directly related to the core operations of the business, including sales revenue, cost of goods sold, and operating expenses.

6. The receipts section: This section details the anticipated cash receipts from various sources, such as sales revenue, accounts receivable collections, investments, and other income.

The production section, income statement section, and investing section are not typically considered as major sections of the cash budget. The production section pertains to the planning and execution of the production process, while the income statement section presents the company's revenues, expenses, and net income. The investing section usually refers to cash flows related to the acquisition or sale of long-term assets. While these sections are important in financial analysis, they are not directly part of the cash budget itself.

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Shi Company is going through a Chapter 7 bankruptcy. All assets have been liquidated, and the company retains only $27,000 in free cash. The following debts, totaling $47,050, remain:

Indicate how much money will be paid to the creditor associated with each debt.

Government claims to unpaid taxes $ 7,800
Salary during last month owed to Mr. Key
(not an officer) 19,625
Administrative expenses 4,250
Salary during last month owed to Ms. Rankin
(not an officer) 7,025
Unsecured accounts payable 8,350

Answers

Creditors will be paid in order of priority, starting with government claims for unpaid taxes, followed by administrative expenses, salary owed to employees, and finally, unsecured accounts payable.

The distribution of the available funds will follow a specific order of priority as defined by bankruptcy laws. The priority of debts is generally as follows: secured creditors, administrative expenses, priority unsecured claims, and then general unsecured claims.

Government claims to unpaid taxes of $7,800 will be paid first. These taxes have a higher priority.

Next, administrative expenses of $4,250 will be paid. These expenses are associated with the cost of administering the bankruptcy process.

The remaining funds will be distributed among the remaining creditors based on their priority. In this case, the remaining debts include salary owed to Mr. Key of $19,625 and salary owed to Ms. Rankin of $7,025. Both of these salary debts are owed to non-officer employees.

Finally, the unsecured accounts payable of $8,350 will be paid with the remaining available funds.

It is important to note that the total amount of debts exceeds the available cash, so the creditors may not receive the full amount they are owed. The payment to each creditor will depend on the available funds and the priority of their claims.

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How would the following changes in price affect total revenue? That is would total revenue increase, decrease, or remain unchanged. (a) Price falls and demand is inelastic => THE ANSWER IS TOTAL REVENUE DECREASES. For (b) Price rises and demand is elastic - what is the answer?

A) For a given price increase, since demand is elastic, the percent change in quantity will be more than the percent change in price.

B) We know these changes go in opposite directions and influence total revenue in opposite ways. A price increase will tend to raise total revenue. A quantity decrease will tend to lower total revenue.

C) Both the above are true. The change in quantity beats out the change in price, and since the quantity change was a decrease, total revenue will decrease.

Answers

To summarize, when the price rises and demand is elastic, the quantity decrease outweighs the price increase, resulting in a decrease in total revenue. This is because the decrease in quantity demanded has a larger impact on total revenue than the increase in price.

For (b) Price rises and demand is elastic, the answer is that total revenue

will decrease.

This is because when the price rises and demand is elastic, the percent change in quantity will be more than the percent change in price.

In other words, as the price increases, the quantity demanded decreases significantly.

Let's break it down step by step:

1. When the price rises, it makes the product less attractive to

consumers.

As a result, they reduce their demand for the product.

2. Since demand is elastic, even a small increase in price leads to a larger decrease in quantity demanded.

This means that the percent change in quantity will be greater than the percent change in price.

3. Total revenue is calculated by multiplying the price of a product by the quantity sold.

In this case, as the price increases and the quantity demanded decreases, the total revenue will decrease.

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Bradley's Miniature Golf and Driving Range inc. was opened on March 1 by Bob Dean. These selected events and transactions occurred during March. Mar. 1 Stockholders invested $61,000 cash in the business in exchange for common stock of the corporation. 3 Purchased Snead's Golf Land for $46.400 cash. The price consists of land $23.300, building $8,090, and equipment $15,010. (Record this in a single entry.) 5 Advertised the opening of the driving range and miniature golf course, paying advertising expenses of $2,370cash. 6 Paid cash $3,700 for a 1 -year insurance policy. 10. Purchased golf clubs and other equipment for $5,250 from Tahoe Company, payable in 30 days. 18. Recelved golf fees of $1,750 in cash from customers for golf services performed. 19 Sold 150 coupon books for $30 each in cash. Each book contains 10 coupons that enable the holder to play one round of miniature golf or to hit one bucket of golf balls. (Hint: The revenue should not be recognized until the customers use the coupons.) 25 Paid a $480 cash dividend. 30 Paid salaries of $860. 30 Paid Tahoe Company in full for equipment purchased on March 10. Journalize the March transactions. Bradley's records golf fees as service revenwe. (If no entry is required, select "No Entry" for the account titles and enter 0 for the amounts. Credit account titles are outamotically indented when amount is entered. Do not indent manuolly. Record journal entries in the order presented in the problem.) Date Account Titles and Explanation Debit Credit Mar, 3 (Paid salaries expense) (Paid salaries expense) (Paid creditor on account)

Answers

Cash 61,000

Common Stock 61,000

(To record investment of cash by stockholders)

Mar. 3:

Land 23,300

Building 8,090

Equipment 15,010

Cash 46,400

(To record the purchase of Snead's Golf Land)

Mar. 5:

Advertising Expense 2,370

Cash 2,370

(To record payment for advertising expenses)

Mar. 6:

Prepaid Insurance 3,700

Cash 3,700

(To record the payment for a 1-year insurance policy)

Mar. 10:

Equipment 5,250

Accounts Payable 5,250

(To record the purchase of golf clubs and equipment from Tahoe Company)

Mar. 18:

Cash 1,750

Service Revenue 1,750

(To record the cash received from customers for golf services performed)

Mar. 19:

Cash 4,500

Unearned Revenue 4,500

(To record the sale of 150 coupon books)

Mar. 25:

Dividends 480

Cash 480

(To record the payment of cash dividend)

Mar. 30:

Salaries Expense 860

Cash 860

(To record the payment of salaries)

Mar. 30:

Accounts Payable 5,250

Cash 5,250

(To record the payment to Tahoe Company for equipment purchased)

These journal entries capture the financial transactions and events during March for Bradley's Miniature Golf and Driving Range Inc., including investments, asset purchases, revenue generation, expenses, and payments. They form the basis for accurate record-keeping and financial reporting, ensuring the company's financial activities are properly documented.

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Question 1
An Object Oriented Programming language is a language that:
O implements overloaded functions
O uses compound data types
O provides features that support object oriented programming
O supports function declarations
Question 2
An object is an entity that:
O returns a compound data type
O contains data and code that manipulates that data
O contains functions
O contains data definitions only

Answers

An Object Oriented Programming language is a language that:

Provides features that support object-oriented programming.

An Object Oriented Programming (OOP) language is one that offers features specifically designed to support object-oriented programming principles.

These features include encapsulation, inheritance, polymorphism, and abstraction. OOP languages allow developers to define classes and objects, organize code into reusable modules, and model real-world entities.

Question 2: An object is an entity that:

Answer: Contains data and code that manipulates that data.

An object is a fundamental concept in object-oriented programming. It represents a particular nce of a class and encapsulates both data and the behavior (code) that operates on that data. Objects allow for the organization and manipulation of data by providing methods (functions) to perform operations on the encapsulated data.

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When considering stock compensation plans, the difference between the market price of the stock and the exercise price of the options at the grant date is known as ________ value.
intrinsic

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The difference between the market price of the stock and the exercise price of the options at the grant date is known as the intrinsic value.

In stock compensation plans, employees are often granted stock options as a form of compensation. These stock options give employees the right to purchase company stock at a specified exercise price. The exercise price is typically set at the market price of the stock on the grant date or at a discounted price.

The intrinsic value of the stock options is determined by calculating the difference between the market price of the stock and the exercise price at the grant date. If the market price of the stock is higher than the exercise price, the options have intrinsic value because they can be immediately exercised to purchase the stock at a lower price and then sold at the higher market price, resulting in a profit.

The intrinsic value represents the inherent value of the stock options and indicates the potential gain that can be realized by exercising the options. It is an important factor in evaluating the value of stock compensation plans for employees. Hence, the difference between the market price of the stock and the exercise price of the options at the grant date is known as intrinsic value.

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suppose that we have the following demand and supply functions for petrol cars

united states Qd-14-P (1)
Qs=6+P (2)

when Q,P,D and S denote quantity in millions, price in thousands, demand and supply respectively.

Answers

The demand function for petrol cars in the United States is Qd = 14 - P, while the supply function is Qs = 6 + P. Q, P, D, and S represent quantity, price, demand, and supply respectively.

The demand function Qd = 14 - P represents the quantity of petrol cars consumers are willing to buy at a given price. As the price increases, the quantity demanded decreases. For example, if the price is $10, the quantity demanded would be 4 million cars.

The supply function Qs = 6 + P represents the quantity of petrol cars producers are willing to sell at a given price. As the price increases, the quantity supplied increases. For example, if the price is $10, the quantity supplied would be 16 million cars.

By setting the quantity demanded equal to the quantity supplied (Qd = Qs) and solving for the price, we can find the equilibrium price and quantity in the market.

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Which of the following is not one of the areas brought under global trading rules by the WTO's Marrakesh Agreement? a. Services. b. Competition policy. c. Trade-related investment measures. d. Intellectual property.

Answers

The area not brought under global trading rules by the WTO's Marrakesh Agreement is b) Competition policy.

The Marrakesh Agreement, which established the World Trade Organization (WTO) in 1994, aimed to create a comprehensive framework for global trade rules and liberalization. It covered various areas to promote international trade and establish rules for member countries. Let's evaluate each option:

a) Services:

The Marrakesh Agreement brought services under global trading rules. The General Agreement on Trade in Services (GATS), a part of the WTO agreements, sets out rules and principles for trade in services among member countries.

b) Competition policy:

Competition policy, which focuses on promoting fair competition and preventing anti-competitive practices, was not explicitly brought under global trading rules by the Marrakesh Agreement. The WTO primarily deals with issues related to trade in goods and services, rather than competition policy.

c) Trade-related investment measures:

The Marrakesh Agreement included trade-related investment measures (TRIMs) in its scope. TRIMs refer to policies and regulations that affect foreign investment and can distort trade. The WTO agreements, including the Agreement on Trade-Related Investment Measures (TRIMs Agreement), address such measures.

d) Intellectual property:

The Marrakesh Agreement extensively covered intellectual property rights (IPRs). The Agreement on Trade-Related Aspects of Intellectual Property Rights (TRIPS Agreement) is an integral part of the WTO agreements, setting out minimum standards and rules for protection and enforcement of IPRs.

Based on the evaluation, the area not brought under global trading rules by the Marrakesh Agreement is b) Competition policy. While competition policy is an important aspect of domestic regulation, it is not explicitly addressed in the WTO agreements and falls outside the scope of the Marrakesh Agreement.

Therefore, the correct option is b) Competition policy.


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Friendly’s Quick Loans, Inc., offers you $5.75 today but you must repay $6.75 when you get your paycheck in one week (or else).
Requirement 1:
What is the effective annual return Friendly’s earns on this lending business? (Round your answer as directed, but do not use rounded numbers in intermediate calculations. Enter your answer as a percent rounded to 2 decimal places (e.g., 32.16).)
Effective annual return %
Requirement 2:
If you were brave enough to ask, what APR would Friendly’s say you were paying? (Round answer as directed, but do not use rounded numbers in intermediate calculations. Enter your answer as a percent rounded to 2 decimal places (e.g., 32.16).)
Annual percentage rate %

Answers

The effective annual return Friendly's earns on this lending business can be calculated by finding the difference between the repayment amount and the loan amount, and then dividing it by the loan amount.

In this case, the difference is $6.75 - $5.75 = $1. To find the effective annual return, we need to consider the time period of one week. Since there are 52 weeks in a year, we multiply by 52. Therefore, the effective annual return is ($1 / $5.75) * 52 = 9.043%.

Friendly's would likely say that you were paying an Annual Percentage Rate (APR) of 52%, since they would calculate the interest as ($1 / $5.75) * 100 = 17.39%, and then multiply it by the number of periods in a year, which is 52.

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The entry to record the issuance of 150 shares of $5 par common stock at par to an attorney in payment of legal fees for organizing the corporation includes a debit to

a.

Goodwill

b.

Common Stock

c.

Cash

d.

Organizational Expenses (COSTS)

Answers

The entry to record the issuance of 150 shares of $5 par common stock at par to an attorney in payment of legal fees for organizing the corporation includes a debit to Common Stock (b).

When issuing shares of common stock at par value, the entry requires a debit to the Common Stock account. In this case, the corporation is issuing 150 shares of $5 par common stock, which means each share has a par value of $5. The par value represents the nominal value assigned to each share by the corporation.

To record this transaction, the Common Stock account is debited for the total par value of the shares issued, which is calculated by multiplying the par value per share ($5) by the number of shares issued (150). The resulting amount, $750 (150 shares * $5 par value), is debited to the Common Stock account to reflect the issuance of the shares at par value. Hence, the entry to record the issuance of 150 shares of $5 par common stock at par to an attorney in payment of legal fees for organizing the corporation includes a debit to Common Stock (b) for $750.

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Consider an asset that costs $1,126,113 and is depreciated straight-line to zero over its 14-year tax life. The asset is to be used in a 6-year project; at the end of the project, the asset can be sold for $165,581. If the relevant tax rate is 0.28, what is the aftertax cash flow from the sale of this asset (SVNOT)?

Answers

To calculate the aftertax cash flow from the sale of the asset, we need to consider the initial cost, depreciation, tax rate, and salvage value. By applying the appropriate calculations, we can determine the aftertax cash flow, taking into account the tax implications on the sale of the asset.

To calculate the aftertax cash flow from the sale of the asset, we consider the following factors:

1. Initial cost: The asset costs $1,126,113.

2. Depreciation: The asset is depreciated straight-line to zero over its 14-year tax life. Therefore, the annual depreciation expense is the initial cost divided by the tax life.

Annual depreciation expense = Initial cost / Tax life

Annual depreciation expense = $1,126,113 / 14 = $80,436.64 (rounded to the nearest cent).

3. Salvage value: At the end of the project, the asset can be sold for $165,581.

4. Relevant tax rate: The tax rate is 0.28.

To calculate the aftertax cash flow from the sale of the asset (SVNOT), we need to determine the taxable gain on the sale and then apply the relevant tax rate.

Taxable gain on the sale = Sale price - Book value

Book value = Initial cost - Accumulated depreciation

Book value = $1,126,113 - ($80,436.64 * 6) = $1,126,113 - $482,619.84 = $643,493.16

Taxable gain on the sale = $165,581 - $643,493.16 = -$477,912.16 (rounded to the nearest cent)

Since the taxable gain is negative, there is no taxable gain on the sale. Therefore, the aftertax cash flow from the sale of the asset is equal to the salvage value.

Aftertax cash flow from the sale of the asset (SVNOT) = Salvage value = $165,581.

Therefore, the aftertax cash flow from the sale of this asset is $165,581.

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If nominal GDP was $14 billion, M1 was 2 billion, inflation was 10%, and the federal funds rate was 4%, then the velocity of money would be.

Answers

The velocity of money is calculated by dividing the nominal GDP by the money supply. In this case, with a nominal GDP of $14 billion and M1 of $2 billion, the velocity of money is 7.

The velocity of money can be calculated by dividing the nominal GDP by the money supply. Given that the nominal GDP is $14 billion and M1 is $2 billion, we can determine the velocity of money. The velocity of money is a measure of how quickly money circulates in the economy. It indicates the number of times a unit of currency is used for transactions within a specific time period. To calculate the velocity of money, we divide the nominal GDP by the money supply.

In this case, the nominal GDP is given as $14 billion, and the M1 money supply is $2 billion. To calculate the velocity of money, we use the formula:

Velocity of Money = Nominal GDP / Money Supply

Velocity of Money = $14 billion / $2 billion = 7

Hence, the velocity of money in this scenario would be 7. This means that, on average, each dollar in the money supply is used seven times within a given time period, indicating a relatively high rate of economic activity and transactions.

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"What are subsequent events?
A. subsequent to the end of the financial year
B. subsequent to the start of the financial year
C. subsequent to the completion stage of the audit
"

Answers

Subsequent events refer to events or transactions that occur after the end of the financial year but before the financial statements are issued. These events can provide important information about the financial position and performance of an entity and may require adjustments or disclosures in the financial statements. The correct option for subsequent events is: A. Subsequent to the end of the financial year

This means that subsequent events occur after the reporting period, which is typically the end of the financial year. These events can include significant transactions, changes in the economic or legal environment, or other events that could impact the financial statements. It is the responsibility of management and auditors to assess the impact of subsequent events and determine if any adjustments or disclosures are necessary to ensure the financial statements are accurate and reliable.

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The intent is that people self-select to work on projects that they want to work on and that they have the skills for. Tony also removed all previous titles. The role of manager went away and was replaced with three roles: "lead links" would focus on guiding the work in the circles; "mentors" would work on employee growth and development; and "compensation appraisers" would work on determining employees salaries. In 2015, he decided to further break down the divisions between many of the functions, changing them all to business-centric circles. There were changes to almost every human resource management structure that you can think of, and there were quite a few growing pains within the organization. Zappos began to look at employee pay, and Holacracy seemed to have a steep learning curve for many people, even though a "constitution" was created to provide guidance. Zappos was also facing 14% attrition, as some of the rapid and excessive changes were wearing on employees. Tony was a visionary, but for a lot of people it was hard to catch up and see the same vision. From a human resource management perspective, there could be some positive attributes of a Holacracy if it were to succeedsuch as building engagement and helping to build talent and skill sets. There were also a few risks that needed to be dealt with carefully. When you create an organization in which people dont have set teams or projects but instead determine what they want to work on, one of the big challenges is going to be determining the level and nature of their role, as well as the compensation for that role. If Holacracy is compared to a consulting organization, in which consultants are brought into different projects with different requirements, it is critical to first determine the level of their consultant role (based on their education, skills, experience, etc.) so that they can properly move from project to project yet maintain a role of a certain level. That level is then tied to a specific pay scale, so the same consultant will receive the same salary no matter which project he is on. If that consultant is "on the bench," or not placed on a project (or self-placed, in the case of Holacracy), then after a certain defined period that consultant may be at risk of termination. Holacracy is in some ways a challenging concept to think about, and self-management may not be able to work in all environments. A company that is implementing a Holacracy may find that they are able to master the process of selfselection of work in the "circles." The "task" part of the equation may not be much of an issue once people figure out how to navigate the circles. However, the "people" part of the equation may need some work. The greatest challenge may lie in the structures and processes of human resource management that ultimately define the employeremployee relationship. Critical Thinking Questions 1. What are some of the human resource management processes that might be enhanced by a Holacracy? What processes will be challenged?2. Do you think that a Holacracy can be compared to a consulting company? How are they similar,s and how are they different? Can you think of work areas or industries in which Holacracy would be very difficult to implement? A rectangular circuit of wire in free space connects the points A(0,1,1), B(0,3,1), C(0,3,4)and D(0,1,4) to A. The wire carries a current of 6 mA flowing in the ^ direction from B to C.A 15 A filamentary current flows along the z-axis in the ^-direction. a) find theforce on side BC. b) Find the force on side AB. c) Find the total force in the loop. how did economic reform introduce new political ideas to china? [10] Consider a three-country world: China, Colombia, and the U.S. China has 540 million unskilled and 300 million skilled workers; Colombia has 90 million unskilled and 60 million skilled workers; the U.S. has 72 million unskilled and 60 million skilled workers.a. Suppose that Colombia opens up to trade with the U.S., but China trades with neither the U.S. nor Colombia. What will happen to wages for skilled and unskilled workers and the distribution of income in Colombia as a result? Explain, with the help of two diagrams (relative supply and the Lerner Diagram).b. Suppose instead that when Colombia opens up to trade with the U.S., the U.S. already trades freely with China. Would your answer be different than in part a? Why or why not? Why will the set of landscape metrics you have selected inQuestion 2 best meet the needs of the AMLC; that is, justify yourchoices based on what the set will accomplish. Summarize the GE Bets on the Internet of Thinfs and Big DataAnalytics CASE STUDY from Management Information Systems managingthe Digital Firm 16th editionby Kenneth C Laudon Q2. Electric heater wires are installed in a solid wall having a thickness of 8 cm and k=2.5 W/mK. Both faces are exposed to an environment with h=50 W/m2 K and T[infinity]=30C. What is the maximum allowable heat-generation rate such that the maximum temperature in the solid does not exceed 300C. how many significant figures should be retained in the result of the following calculation?12.00000 x 0.9893 +13.00335 x 0.0107a. 2b. 3c. 4d. 5e. 6 Determine which of the four levels of measurement (nominal, ordinal, interval, ratio) is most appropriate for the databelon Car lengths measured in feet Choose the correct answer below A. The ratio level of measurement is most appropriate because the data can be ordered, aftorences can be found and are meaning, and there is a nature starting zoo port OB. The ordinal level of measurement is most appropriate because the data can be ordered, but differences (obtained by subtraction cannot be found or are meaning OC. The interval level of measurement is most appropriate because the data can be ordered, differences (obtained by subtraction can be found and are meaning and there is no natural starting point OD. The nominal level of measurement is most appropriate because the data cannot be ordered FILL THE BLANK.__________ is a technical safeguard that ensures that if stored or transmitted data is stolen it cannot be understood. (b) Give the complexity in \( \Theta() \) of \( n \) for the following pseudo-code: int \( k=0 \) for int \( i=1 \) to \( n \) for int \( j=i \) to \( n \) \( k=k+j \) endfor Just incase Corporation has issued a bond that has a 10% coupon rate, payable quarterly. The bonds mature in 5 years, have a face value of $1,000 and a yield to maturity of 8%. What is the price of the bond? How does the electric potential energy between two positively charged particles change if the distance between them is reduced by a factor of 3? A. It is reduced by a factor of 3. B. It is reduced by a factor of 9. c. It is increased by a factor of 9. D. It is increased by a factor of 3. rhythm and blues was also known as _______________ music until the end of the 40s. Explain 3 ways in which a lack of leadership allowed for the French Revolution to continue without a final solution, and provide examples from the Revolution that support your answer