Anthony Delivery Service has a weekly payroll of $32,000. December 31 falls on Tuesday and Anthony will pay its employees the following Monday (January 6) for the previous full week. Assume that Anthony has a five-day workweek and has an unadjusted balance in Salaries Expense of $925,000. What is the December 31 balance of Salaries Expense after adjusting entries are recorded and posted?

Answers

Answer 1

Answer:

$937,800

Explanation:

The adjusting entry would be

Salaries expense A/c $12,800

      To Salaries payable A/c $12,800

(Being salary is adjusted)

The salaries expense is computed below:

= Total five days × number of days ÷ total number of days

= $32,000 × (2 ÷ 5)

= $12,800

Now the ending balance of salaries expense would be

= Unadjusting balance + adjusting balance

= $925,000 + $12,800

= $937,800

Answer 2

The correcrt option is B. The December 31 balance of Salaries Expense after adjusting entries are recorded and posted is B. $937,800

To determine the December 31 balance of Salaries Expense after adjusting entries are recorded and posted, we need to account for the accrued salaries for the days worked up to December 31.

Steps to Calculate the Adjusted Salaries Expense:

1. Calculate the Daily Payroll:

  Since the weekly payroll is $32,000 and Anthony Delivery Service has a five-day workweek, the daily payroll can be calculated as:

[tex]\[ \text{Daily Payroll} = \frac{32,000}{5} = 6,400 \][/tex]

2. Calculate the Payroll for the Days Worked up to December 31:

  December 31 is a Tuesday, which means employees have worked for two days in that week (Monday and Tuesday).

Therefore, the payroll for these two days is:

[tex]\[ \text{Accrued Payroll} = 6,400 \times 2 = 12,800 \][/tex]

3. Record the Adjusting Entry:

  To record the accrued payroll for December 30 and 31, we need to debit Salaries Expense and credit Salaries Payable:

[tex]\[ \text{Adjusting Entry:} \\ \text{Debit: Salaries Expense} = 12,800 \\ \text{Credit: Salaries Payable} = 12,800 \][/tex]

4. Calculate the Adjusted Balance of Salaries Expense:

  The unadjusted balance in Salaries Expense is $925,000. After posting the adjusting entry, the new balance will be:

[tex]\[ \text{Adjusted Salaries Expense} = 925,000 + 12,800 = 937,800 \][/tex]

The December 31 balance of Salaries Expense after adjusting entries are recorded and posted is $937,800.

Therefore the correct option is B. $937,800.

The complete question is:

Anthony Delivery Service has a weekly payroll of $32,000. December 31 falls on Tuesday and Anthony will pay its employees the following Monday (January 6 ) for the previous full week. Assume that Anthony has a five - day workweek and has an unadjusted balance in Salaries Expense of $925,000 at December 31 . What is the December 31 balance of Salaries Expense after adjusting entries are recorded and posted?

A. $953,000

B. $937,800

C. $920,000

D. $933,200


Related Questions

Reuben Rubino is a Tax Professional working during the Emerald Advance offer period before tax season starts. He has taken and passed the financial product compliance course. He wants to apply for an Emerald Advance. What should he do?

a. Reuben can complete his own product application.
b. Reuben needs to have another associate complete his application because self-preparation of product applications is prohibited.
c. Reuben is ineligible to apply for H&R Block Emerald Advance.
d. None of the above.

Answers

Answer and Explanation:

b. Reuben needs to have another associate complete his application because self-preparation of product applications is prohibited.

The _______________ and the _____________________ along with the Funding Plan should be established early on in the Joint Capabilities Technology Demonstration (JCTD) to ensure that preparations are developed to facilitate movement of the JCTD into the acquisition process. Please choose from below to fill in the blanks.

A. Program Management Office and an Acquisition Strategy
B. Technical Support IPT and a Technical Integration Plan
C. Management Plan and Transition Plan
D. Contracting Officer and an Acquisition Plan

Answers

Answer:

The correct answer is A

Explanation:

Program Management Office is a function within a firm or organization, it is defined as the standards of the project management . And its main motive is to make sure that the project and the programs run in a standardized and in repeatable manner.

Acquisition strategy is the strategy or a plan which is comprehensive and integrated plan that is developed as a part of activities of the acquisition planning. It sates the technical, support and business strategies in order to manage the program risks and also to meet the objectives or goals of the program.

Therefore, the Program Management Office and the acquisition strategies with the Funding plan need to be created on the JCTD.

The negotiation process involves several steps such as: preparing for negotiation; knowing your walk-away point; and working towards a common goal.

a. True
b. False

Answers

Answer:

(A) True.

Explanation:

In the negotiation process, there are two parties with different goals that can be incompatible. If the expected outcome is not satisfactory that will be the walk-away point. If it is satisfactory they can adjust theirs positions to achieve a common goal.

The negotiation process can be said to be in four stages, which are:

preparation

opening

bargaining

closure.

Jackson foundry uses a predetermined overhead allocation rate to allocate overhead to individual jobs, based on the machine hours required.

1. Compute Jackson's predetermined overhead allocation rate (Formula needed)
2. Prepare the journal entry to allocate manufacturing overhead. (Debits first then credits)
3. Is manufacturing overhead under-allocated or over-allocated? By how much?
4. Prepare the journal entry to adjust for the under-allocated or over-allocated manufacturing overhead. (debits first, then credits). Does your entry increase or decrease cost of goods sold?

At the beginning of the month, the company expected to incur the following:

- Mfg. overhead costs $880,000
- Direct labor costs 1,540,000
- Machine hours 80,000 hours

At the end, these are actual results:

- Direct labor $1,210,000
- Depreciation on mfg. plant and equip. 530,000
- Property taxes on plant 36,500
- Sales salaries 29,500
- Delivery wages 20,500
- Plant janitor's wages 24,000
- Machine hours 60,000 hours

Answers

Answer:

1) $ 11 per hour

2) Work in Process (Debit)                                      660,000

   Manufacturing overhead clearing (credit)         660,000

3) Manufacturing overhead is over-allocated by $ 69,500

4) Manufacturing overhead clearing (debit)         69,500

   Cost of good sold                                               69,500

Yes, the entry decreases the cost of goods sold as the actual overhead expenses are less than the applied over head cots.

Explanation:

1) Overhead rate = Expected manufacturing overhead / Estimated number of machine hours

Overhead rate: 880,000 / 80,000 = $ 11 / machine hour

2) Journal entry is recorded based on every hour worked during the period. Since 60,000 hours are worked so total of 660,000 manufacturing overheads are recorded using following entry.

Work in Process (Debit)                                      660,000

Manufacturing overhead clearing (credit)         660,000

3) Under-application results when actual manufacturing overheads are higher than expectation and vice versa. In question provided total hours were 60,000 instead of 80,000 budgeted hours, further actual cost amounted to $590,500 (530,000 for depreciation, 36,500 for property taxes, 24,000 plant janitor), thus there is over application by 660,000 - 590,500 = 69,500.

Note: Sales salaries and delivery wages are not included in overhead expenses as they are not part of manufacturing overheads.

4) Manufacturing overhead clearing (debit)         69,500

   Cost of good sold                                               69,500

As there is over application of overhead expenses so there is a credit in manufacturing overhead account, so in order to clear the clearing account balance is transferred to cost of goods sold resulting in net profit to bottom line.

Final answer:

Jackson's predetermined overhead allocation rate would be $11 per machine hour. The company over-allocated manufacturing overhead by $69,500. The adjustment journal entry decreases the cost of goods sold by the same amount.

Explanation:

To compute Jackson's predetermined overhead allocation rate, we use the formula:
Overhead Rate = Estimated Manufacturing Overhead Costs / Estimated Total Units in the Allocation Base
In this case, the allocation base is machine hours.
Thus, the overhead rate = $880,000 / 80,000 hours = $11 per machine hour.

The journal entry to allocate manufacturing overhead when the overhead is applied to a job would be:
Debit: Work in Process
Credit: Manufacturing Overhead
Assuming the company uses all the estimated machine hours, if 60,000 machine hours were actually used:
Debit Work in Process $660,000 (60,000 hours x $11)
Credit Manufacturing Overhead $660,000

To determine if manufacturing overhead is under-allocated or over-allocated, we compare the estimated overhead costs with the actual overhead costs. We sum up the actual overhead costs: depreciation on manufacturing plant and equipment $530,000, property taxes on the plant $36,500, and plant janitor's wages $24,000, which equals $590,500. Since this is less than the applied overhead of $660,000, there is an over-allocation of $69,500 ($660,000 - $590,500).

The journal entry to adjust for the over-allocated manufacturing overhead would be:
Debit: Manufacturing Overhead $69,500
Credit: Cost of Goods Sold $69,500
This entry would decrease the cost of goods sold, as it corrects the over-applied overhead.

Compute the takt time for a service system that intended to perform a standardized service. The system will have a total work time of 358 minutes per day, two 19-minute breaks, and an hour for lunch. The service system must process 88 jobs a day. (Round your answer to 2 decimal places.) Takt time minutes per cycle

Answers

Answer:

2.95 minutes

Explanation:

For computing the takt time minutes per cycle, first we have to determine the available time which is shown below:

= Total work time - break time

= 358 minutes - 98 minutes

= 260 minutes

The 98 minutes is come from

2 × 19 minutes = 38 minutes

1 hour lunch = 60 minutes

Total break time = 98 minutes

Now the takt time minutes per cycle would be

= Total available time ÷ number of jobs in a day

= 260 minutes ÷ 88 jobs

= 2.95 minutes

SAP Inc. received a $1.5 million grant under its Small Business Innovation program. SAP invested the grant money and developed a system to remove metal contaminants from storm water in shipyards. The firm estimates that each shipyard spends $500,000 a year on storm water clean-up efforts. If SAP is able to sign up and retain four shipyards in the first year onwards, what is the present value (PV) of the project (net of investment) if the cost of capital for SAP is 14% per year? Assume a cost of operations and other costs for SAP equal 50% of revenue.A) $4.80 million
B) $5.64 million
C) $4.51 millionD) $5.93 million

Answers

Answer:

B) $5.64 million

Explanation:

SAP inc can receive $500,000/ shipyard and 4 shipyards a year yields gross cash flows of  500*4 = $2,000,000. Half of these are costs that give us a Net cash flow of $1,000,000/ year.

Since there is no maturity of the project we calculate present value of cash flow with the following formula

PV of cash flow = 1,000,000/0.14 = $7.14 million rounded off

NPV = 7.14-1.5 = 5.64 million

Hope that helps.

Diversification works because:I. unsystematic risk exists.II. combining stocks into a portfolio reduces the standard deviation of each stock in the portfolio.III. firm-specific risk can be dramatically reduced if not eliminated.A) I onlyB) III onlyC) I and II onlyD) I and III onlyE) I, II, and III

Answers

Answer:

D) I and III only.

Explanation:

II is false because the standard deviation of each stock is an inner characteristic of the stock and cannot be affected by combining it with other stocks in an investment portfolio. I. is true because each stock risk answer to the sector risk and company risk essentially, and by having stock of different sectors and companies is expected that unsystematic risks as these are off-setted. By having a portfolio with wide not-correlated stocks is expected that the risk can be reduced dramatically.

The five steps in the process of conversation, in sequential order, are __________. ​

(A) closing, feedback, business, feedforward, opening ​
(B) opening, closing, middle, business, transitions ​
(C) feedforward, feedback, business, transitions, closing ​
(D) opening, feedforward, business, feedback, closing

Answers

Answer:

Letter D is correct. Opening, feedforward, business, feedback, closing.

Explanation:

Every conversation goes through certain stages, regardless of whether the relationship is formal or personal between the interlocutors.

There are 5 stages that determine a conversation process, they are:

Opening, feedforward, business, feedback, closing.

Opening begins with a greeting, which can be verbal or nonverbal.Some basic and trivial considerations such as asking how a person is are also part of opening.

Feedforward is the transition to the focal point of the conversation. It is the visualization of what you will say next.

Business already sets up as the stage where the main focus of the conversation is said. This is the central stage of a conversation, where interlocutors discuss ideas and opinions.

Feedback is the stage in which there is a retroactive effect, ie the information or response that the sender has from the receiver and serves as an evaluation parameter of the result of a message.

Closing is the final stage of a conversation, occurs when all the other stages of the conversation have already been developed and satisfied, and can end with a greeting.

Final answer:

The five steps in the process of conversation, in sequential order, are opening, feedforward, business, feedback, closing.

Explanation:

The correct order of the five steps in the process of conversation is (D) opening, feedforward, business, feedback, closing.  

Opening: The first step is to establish a conversation by greeting the participants and setting the tone. Feedforward: This step involves providing any necessary background information or context to guide the conversation. Business: The main part of the conversation where the topic is discussed, questions are asked, and information is exchanged. Feedback: The step where participants reflect on the conversation, summarize the main points, and address any concerns or questions. Closing: The final step is to bring the conversation to a close, express gratitude, and confirm any next steps or follow-up actions.

Learn more about Conversation process here:

https://brainly.com/question/37283672

#SPJ3

Assume the firms in a monopolistically competitive industry initially are earning positive economic profits. Which of the following will not occur over time?
A. The firms' economic profits will be reduced
B. New firms will enter
C. Demand for the existing firms' output will become more inelastic
D. The number of substitutes available in the industry will increase

Answers

Answer:

C. Demand for the existing firms' output will become more inelastic

Suppose a banking system has a required reserve ratio of 0.15. How much can the money supply increase in response to a $1 billion increase in excess reserves for the whole banking system?

Answers

Answer:

the money supply increase in response to a $1 billion increase in excess reserves for the whole banking system is $6.67billion.

Explanation:

Increase in money supply = 1/0.15

Increase in money supply = $6.67 billion

Therefore, the money supply increase in response to a $1 billion increase in excess reserves for the whole banking system is $6.67billion.

The financial manager for Eastern Bay Brewery is working with the firm's marketing department to bring out a new line of pumpkin ale. The new product development and subsequent production will require a long-term investment of funds by the company. Which of the following sources of financing would be representative of such a long-term funding requirement?
a. Commercial paper
b. Issuance of bonds
c. Line of credit
d. Factoring

Answers

Answer:

The correct answer is letter "B": Issuance of bonds.

Explanation:

Firms tend to issue bonds when they need to raise funds to continue with their operations or to start the massive production of a new good. Bonds work like a loan between financial institutions and the companies. Financial institutions, typically banks, agree with the firms in providing an amount of money so that the firm will pay back within a specific time in the long term.

At the end of 2011​, the government of China​'s debt was yen12.2 trillion. ​(yen is yuan​, the currency of China​). In 2012​, the government spent yen12.7 trillion and ended the year with a debt of yen11.6 trillion. How much did the government receive in tax revenue in 2012​? The government received ¥61 trillion in tax revenue in 2012.

Answers

Answer:. Y 13.6 trillion

Explanation:. Y

Total debt 2011 12.2 trillion

Expenditures 2012. 12.7

Total. 24.9

Less debts 2012. (11.6)

Balance. 13.6

The goverments spending if not from tax is supposed to increase the debts to Y24.9 trillion it's reduction to Y11.6 trillion means Y13.6 which is the difference was earned from tax to make expenditures.

Final answer:

The government received ¥61 trillion in tax revenue in 2012.

Explanation:

The government received ¥61 trillion in tax revenue in 2012.

To calculate the tax revenue, we need to find the difference between the beginning and the end of the government's debt for that year: ¥12.2 trillion - ¥11.6 trillion = ¥0.6 trillion. This means that the government's debt decreased by ¥0.6 trillion in 2012. The amount of tax revenue received is equal to the decrease in debt, which is ¥0.6 trillion. Therefore, the government received ¥0.6 trillion or ¥61 trillion in tax revenue in 2012.

nn wants to rent an apartment and she finds that apartments in her town are renting at a price lower than she is willing to pay. However, she finds it very difficult to find an apartment to rent. Finally, after six months of searching, she finds an apartment but she has to pay an additional $1,000 to have the locks changed. The best way to describe Ann's experience is that she has just experienced the effects an inelastic demand apartments bad luck with no market explanation a price ceiling an elastic demand for apartments O a price floor

Answers

Answer: an elastic demand for apartment

Explanation:

Elasticity of demand is the degree of responsiveness of demand to changes in price of goods and services. It's said to be elastic when a change in price leads to a more proportionate change in demand that is the consumer is willing to purchase more goods as a result of fall in price and less goods as a result of increase in price.

In the above scenario the Consumers are willing to rent all the apartments available at a low price and that is why Nn could not get an apartment even though the prices are lower than her budget.

It's not an inelastic demand because there is always little or no change in demand in an inelastic and it's not a market ceiling nor a price floor because the prices are not fixed by non market forces like the goverments and it's a situation that is economically explanable.

Calculator Atlas Company provided the following information for last year: Operating income $ 92,000 Sales 235,000 Beginning operating assets 410,000 Ending operating assets 440,000 Which of the following is Atlas's return on investment (ROI) for last year? (Note: Round answer to two decimal places.)
a.0.50
b.0.22
c.0.15
d.0.32
e.0.41

Answers

Answer:

b.0.22

Explanation:

Return on investment (ROI) = Operating income/ Beginning Operating Asset = $ 92,000/ $440,000 = 0.22

An investor is analyzing the risk of a possible investment by producing three different scenarios. Under a pessimistic scenario, the property would produce a BTIRRp of 8%; a most-likely scenario would produce a BTIRRp of 12%; and an optimistic scenario would produce a BTIRRp of 16%. The investor assigns the pessimistic scenario a 25% chance of occurring, the most-likely case a 60% chance of occurring, and the optimistic scenario a 15% chance of occurring. What is the standard deviation of the returns?

Answers

Answer:

Scenario    R(%)   P      ER       R - ER    (R - ER)2    (R - ER)2.P

Optimistic   16    0.15   24.0    -17.2      295.84       44.376

Most-likely  12    0.60  7.2       -21,2     449.44        269.664

Pessimistic   8    0.25  2.0      -25.2     635.04        158.760

                                ER 33.2                    Variance    472.80

Standard deviation of the return

= √472.80

= 21.74%

Explanation:

The expected return is the product of return and probability. The total expected return is the aggregate of individual expected return. R - ER is the difference between individual return and total expected return. Variance is (R - ER) raised to power 2 multiplied by probability.

Final answer:

The standard deviation of the investment's returns is calculated using the weighted average of the possible returns to determine the expected return, then calculating the variance for each scenario, and finally, taking the square root of the total variance to get the standard deviation.

Explanation:

The student is asking how to calculate the standard deviation of the returns for an investment under three different scenarios with different probabilities. To find the standard deviation, we first calculate the expected return, which is the weighted average of the possible returns, and then use this to calculate the variance and the standard deviation. The expected return E(R) can be calculated as follows:

E(R) = (0.25 × 8%) + (0.60 × 12%) + (0.15 × 16%)

Once we have the expected return, we calculate the variance σ1(R) using the formula:

σ1(R) = Σ[probability × (return - expected return)^2]

For each scenario:

Variance for pessimistic scenario = 0.25 × (8% - E(R))^2Variance for most-likely scenario = 0.60 × (12% - E(R))^2Variance for optimistic scenario = 0.15 × (16% - E(R))^2

Summing these gives the total variance, from which the standard deviation is the square root.

This process is a measure of risk and represents the volatility or uncertainty of returns from an investment. It's important for the investor to understand this concept, as higher standard deviation indicates greater risk and potential for variance in actual returns.

Economies and companies could improve their "wealth" by:
allowing specialization of tasks.

Answers

Answer:

Economies of scale

Explanation:

Economies of scale is a situation where there is a reduction in cost as more output is produced. Continuous production of output ultimately leads to specialization of task.  

When using the IDRC to assess the external environment the company will look at which of the following?

A. Rules
B. Leadership
C. Knowledge
D. Economy

Answers

Answer: Knowledge

 

Explanation: IDRC engages in expertise, creativity, and strategies to increase the quality of life in developing countries as a segment of Canada's international affairs and development activities. IDRC aims to address realistic development issues with the brilliant minds in Canada and across the globe.

In addition to promoting global stability and development, partnering with local academic institutions and financing agencies effectively decreases reliance on assistance while establishing political leadership.

Thus, from the above we can conclude that the primary focus in the program is on knowledge.

Answer:

Geography

Explanation:

Choices were:

Leadership

Technology

Geography

Knowledge

Developing a new automobile requires the services of many types of experts such as design and electronics engineers, procurers, metallurgists–the list is extensive. Rather than employ these individuals directly, the automaker will outsource the work. The specialists then work at facilities owned by the automaker rather than at their own employers' places. This demonstrates a type of _____.

Answers

Answer: Boundaryless organization

Explanation:

Boundaryless organization is an organization that is not hindered or limited by boundaries created through established structures.

It could also mean an organization whose operation is not confined to a particular location or the confine of their office complex.

The idea of boundaryless organization was first conceptualized by Jack Welch who wanted to eliminate any form of barrier (both internally and externally) in the way General Electrics carried out its operations.

•Note that in order to achieved the concept of a boundaryless organization, flexibility and adaptability must be considered.

•Latest technology for getting work done must also be adopted over traditional mode of operation

Which of the following individuals would NOT be considered part of the labor force? a. Aileen, who is a full-time student working part-time b. Lisa, who is working part-time but wants to be working full-time c. Kimberly, who has retired from the military and now works at the post office d. Charles, who is in the Marines and is currently deployed to Iraq e. Thomas, who is unemployed but has given up searching for a job

Answers

Answer:

e. Thomas, who is unemployed but has given up searching for a job

Explanation:

The term "labor force" refers to people in an economy that are either employed or unemployed and searching for employment.

From the options provided, Thomas is the only one who is not employed and not looking for a job hence, he should not be considered as part of the labor force.

Final answer:

The labor force includes individuals who are either employed or actively seeking employment. Therefore, out of the individuals listed, Thomas is the one not considered part of the labor force as he is unemployed and has given up searching for a job.

Explanation:

In the context of labor economics, the labor force consists of persons who are either employed or unemployed (actively seeking work). This highlights a crucial aspect of the labor force definition; it's not just about whether a person is working, but also includes whether they're actively seeking employment. In the given options:

Aileen, Lisa, Kimberly, and Charles all fall into the labor force because they are either working or willing to work.However, Thomas is not considered part of the labor force. Although he is unemployed, he has given up searching for a job, therefore placing him outside of the labor force.

It's essential to differentiate between types of unemployment and those who constitute the 'out of labor force' group. For example, a person out of work but actively seeking is still considered part of the labor force as opposed to someone who is also out of work but has stopped looking for employment.

Learn more about Labor Force here:

https://brainly.com/question/13962639

#SPJ3

Digby's balance sheet has $85,185,000 in equity. Further, the company is expecting net income of 3,000,000 next year, and also expecting to issue $4,000,000 in new stock. If there are no dividends paid what will beDigby's book value?

Answers

Answer:

Digby's Book Value:                       $        

Book value of existing equity    85,185,000

Book value of additional equity 4,000,000

Net income                                  3,000,000

Digby's total book value             92,185,000

Explanation:

The book value of Digby is the aggregate of book value of existing equity, book value of additional equity issued and net income.

Suppose the reserve requirement is currently 20%. Instructions: Enter your answers as a whole number. a. Assume Second Bank has deposits of $300 million. Calculate the required reserves for Second Bank. $ million b. At the end of the day, Second Bank has $65 million of reserves. Will Second Bank be a borrower or lender in the federal funds market? Second Bank will reserves of $ million in the federal funds market.

Answers

Final answer:

To calculate the required reserves for Second Bank, multiply the deposits by the reserve requirement. If Second Bank has $65 million of reserves, it will be a lender in the federal funds market.

Explanation:

To calculate the required reserves for Second Bank, we need to multiply the deposits by the reserve requirement.

a. Required reserves = Deposits x Reserve Requirement

Deposits = $300 million

Reserve Requirement = 20%

Required reserves = $300 million x 20% = $60 million

Therefore, the required reserves for Second Bank are $60 million.

b. If Second Bank has $65 million of reserves, which is greater than the required reserves of $60 million, it will be a lender in the federal funds market. Second Bank can lend the excess reserves of $5 million.

Suppose France can produce 9,000 potatoes or 3,000 lemons per day, and that Italy can produce 3,000 potatoes or 3,000 lemons per day. Which of the following statements in this context is true?a.Italy has a comparative advantage in producing potatoes.b.Italy would be willing to trade one lemon for anything greater than one potato.c.Both countries would be willing to trade at a rate of one lemon for one potato.d.France has a comparative advantage in producing lemons.e.France has an absolute advantage in producing lemons

Answers

Answer:

a. Italy has a comparative advantage in producing potatoes

Explanation:

Let us compute opportunity costs (OC).

In France,

OC of potato = 3000/9000

                      = 0.33 lemon

OC of lemon = 9000/3000

                      = 3 potato

In Italy,

OC of potato = 3000/3000

                      = 1 lemon

OC of lemon = 3000/3000

                     = 1 potato

France can produce potato at a lower OC than Italy, so France has comparative advantage in potato. Italy has a comparative advantage in producing lemons.

Trade is mutually beneficial if terms of trade (relative price) lies between the OC.

0.33 < Relative price of potato < 1 lemon, Or

1 potato < Relative price of lemon < 3 potato

Therefore, Italy has a comparative advantage in producing potatoes.

A company purchased a weaving machine for $264,970. The machine has a useful life of 8 years and a residual value of $14,500. It is estimated that the machine could produce 759,000 bolts of woven fabric over its useful life. In the first year, 109,500 bolts were produced. In the second year, production increased to 113,500 units. Using the units-of-production method, what is the amount of depreciation expense that should be recorded for the second year?a. $36,135b. $38,227c. $39,623

Answers

Answer:

$37,455

Explanation:

The computation of the depreciation per units or bolts under the units-of-production method is shown below:

= (Original cost - residual value) ÷ (estimated production bolts)

= ($264,970 - $14,500) ÷ (759,000 bolts)

= ($250,470) ÷ (759,000 bolts)

= $0.33 per bolt

Now for the second year, it would be

= Production units in second year × depreciation per bolts

= 113,500 units × 0.33

= $37,455

This is the answer and the same is not provided in the given options

If your dog normally lives outside your home, which of the following preparedness activities offers the most practical protection when winter storms threaten?
a) Expand the dog house to a larger size so it can hold more heat.
b) Heat dog houses with electric blankets and space-heaters.
c) Insulate dog houses and put straw inside.
d) Allow the dog to sleep on the floor in the garage.

Answers

The most practical protection you can do to your dog is: C. Insulate dog houses and put straw inside.

Insulation is the easiest and fastest way among the choices that would really help to keep your dog warm inspite that he lives outside your home.  

But if you really want to ensure for the safety of your dog, you let him sleep inside your home until the cold season is over. Dogs are family and they should be kept safe.

Final answer:

The most practical protection for a dog normally living outside in winter storms is to insulate the dog house and add straw, as it traps air to reduce heat loss and allows the dog to maintain body heat safely and steadily.

Explanation:

When preparing for winter storms to protect a dog that normally lives outside, it's important to consider the best methods for retaining heat and providing insulation. The most practical protection in this scenario would be to insulate dog houses and put straw inside (option c). Insulation helps to reduce heat loss and straw is a good material for maintaining warmth. Increasing the size of the dog house (option a) may actually make it harder to keep warm, and heating with electric blankets or space heaters (option b) can present fire hazards and may not be practical for outdoor settings. Allowing the dog to sleep in the garage (option d) could be an alternative, however, insulating the dog house and using straw provides consistent, safe warmth for the animal directly in its usual environment.

Insulation works by trapping air, which is a good insulator, reducing heat transfer through conduction. Similarly, straw also traps air and provides a warm bedding that can help the dog increase its body temperature through natural means such as the dog's own body heat. Thinking of examples where animals seek shelter to maintain body heat can help understand this concept. For instance, on cold nights, animals like horses will sleep under large trees to minimize heat loss. The method of insulation used for a dog house is akin to how well-designed homes maintain warmth with thick insulation.

____ leaders cause changes in individuals and social systems.

a. Transactional
b. Transformational
c. Transnational
d. Transregional

Answers

Answer:

b. Transformational leader

Explanation:

Transformational leadership in itself is an inspiring leadership style in which the leader  encourages teams to identify areas and  processes  that need change. This enhances  innovation and helps to create a vision to guide the change. This type of leader also ensures that the employees are thoroughly trained and gives them autonomy and room to be creative. It is most likely to result in company growth as it discourages complacency.

A $100 million interest rate swap has a remaining life of 10 months. Under the terms of the swap, the six-month LIBOR is exchanged semi-annually for 12% per annum. The six-month LIBOR rate in swaps of all maturities is currently 10% per annum with continuous compounding. The six-month LIBOR rate was 9.6% per annum two months ago. What is the current value of the swap to the party paying floating? What is it's value to the party paying fixed?

Answers

Answer:

Explanation:

Fixed = 12% (exchanged for = receive)

Floating = LIBOR = 9.6% two months ago

Remaining life of swap = 10 months

6 month LIBOR rate for all maturities = 10% (used for discounting)

Receive:

Fixed = [(100)(0.12)(6/12) * e - 0.10 * (4/12)] + 106e - 0.10 * (10/12)= $103,328,005

Pay:

Floating = {100 + [(100)(.096)(.5)]} * e - .10 * (4/12)= $101,364,247

Value of swap to party paying floating: $103,328,004.6 - $101,364,247.3 = $1,963,757

Value of swap to party paying fixed =

- $1,963,757

Suppose Amazon.com has offered you free shipping on your next purchase of more than $35. This offer is an example of ________.
A) sales promotionB) personal sellingC) a public relations strategyD) horizontal diversificationE) a pull strategy

Answers

Answer: Option A

                                               

Explanation: Sales promotion is the method of convincing a prospective consumer to buy the commodity. Sales promotion is intended to be used as a brief-term tool to boost sales – it is seldom appropriate as a way to develop long-term customer retention.

Giving discount, rebates and other such special offers are some of the many examples of sales promotion. In simple words,it is done to boost the sales for the current period.

In the given case, Amazon is also offering money saving offers to attract customers. Hence we can conclude that this is an example of sales promotion.

Baggage fees. An airline charges the following baggage fees: $25 for the first bag and $35 for the second. Suppose 54% of passengers have no checked luggage, 34% have one piece of checked luggage and 12% have two pieces. We suppose a negligible portion of people check more than two bags. (a) Build a probability model, compute the average revenue per passenger, and compute the corresponding standard deviation. (b) About how much revenue should the airline expect for a flight of 120 passengers

Answers

Answer:

a) on average 15.70 dollar per person on baggage fees

b) a 120 passangers flight will generate 1,884 dollars on baggage fees

Explanation:

We multiply the probability by the outcome withthe bjective to create a weighted average based on probability of success:

P(x)                      revenue

no bag: 54%      $   0            0

a bag:    34%      $ 25           8.50

two bag: 12%     $  60          7.2    

   average revenue            15.70

Now, for the fligh of 120 passangers we use this estimation:

120 x 15.70 = $ 1,884

Final answer:

A probability model was constructed for baggage fee revenues, calculating an average revenue per passenger of $15.70 and a corresponding standard deviation of approximately $32.92. For a flight of 120 passengers, the expected revenue is $1,884.00.

Explanation:

To answer the student's question about building a probability model, calculating the average revenue per passenger and its corresponding standard deviation, and estimating the expected revenue for a flight with 120 passengers based on the given baggage fees, we will start by defining the random variable X, which represents the revenue in dollars from a single passenger.

No checked luggage (54% of passengers): $0

One piece of checked luggage (34% of passengers): $25

Two pieces of checked luggage (12% of passengers): $25 + $35 = $60

The probability model for X can be expressed as:

P(X = $0) = 0.54

P(X = $25) = 0.34

P(X = $60) = 0.12

To compute the average revenue per passenger, we use the expectation of X:
E(X) = (0 × 0.54) + ($25 × 0.34) + ($60 × 0.12) = $0 + $8.50 + $7.20 = $15.70

To calculate the standard deviation, we need to find the variance of X, and then take the square root:

E(X²) = (0² × 0.54) + ($25² × 0.34) + ($60² × 0.12) = $1331.50

Variance = E(X²) - [E(X)]² = $1331.50 - ($15.70)² = $1331.50 - $246.49 = $1085.01

Standard Deviation = √Variance = √$1085.01 ≈ $32.92

To estimate the expected revenue for a flight with 120 passengers, we multiply the average revenue per passenger by the number of passengers:

120 passengers × $15.70 = $1,884.00

Last year, Buckner & Jones Company incurred the following costs: Direct materials $42,000 Direct labor 63,000 Manufacturing overhead 94,500 Selling expenses 25,200 Administrative expenses 23,100 Buckner & Jones produced and sold 2,060 units at a sales price of $131.25 each. Assume that beginning and ending inventories of materials, work in process, and finished goods were zero. The total period expense was: a.$250,000. b.$24,000. c.$190,000. d.$48,300.

Answers

Answer:

Option (D) is correct.

Explanation:

Given that,

Direct materials = $42,000

Direct labor = 63,000

Manufacturing overhead = 94,500

Selling expenses = 25,200

Administrative expenses = 23,100

Buckner & Jones produced and sold 2,060 units at a sales price of $131.25 each.

Total period expense:

= Selling expenses + Administrative expenses

= $25,200 + $23,100

= $48,300

Therefore, the total period expense was $48,300.

The total period expense for Buckner & Jones Company is the sum of selling expenses and administrative expenses, which equals $48,300.

To calculate the total period expense for Buckner & Jones Company, we need to identify which costs are considered period expenses. Period expenses include selling expenses and administrative expenses. According to the given data, the selling expenses are $25,200 and the administrative expenses are $23,100. By adding these two together, we get the total period expense.

Total period expense = Selling expenses + Administrative expenses
Total period expense = $25,200 + $23,100
Total period expense = $48,300.

Therefore, the correct answer is d. $48,300.

Andrews Corporation uses a process costing system for manufacturing. The following information is available for the February in its Polishing Department:Equivalent units of production—direct materials 110,000 EUPEquivalent units of production—conversion 95,000 EUPCosts in beginning Work in Process—direct materials $49,000Costs in beginning Work in Process—conversion $36,000Costs incurred in February—direct materials $414,000Costs incurred in February—conversion

The cost per equivalent unit of production for conversion is:A. $9.26B. $4.21C. $5.85D. $5.05E. $4.97

Answers

Answer:

C. $5.85

Explanation:

The computation of the conversion cost per equivalent unit is shown below:

= (Costs in beginning Work in Process - conversion + Costs in beginning Work in Process—conversion) ÷ (Equivalent units of production -conversion)

= ($36,000 + $520,000) ÷ (95,000 units)

= ($556,000) ÷ (95,000 units)

= $5.85

Simply we divide the total conversion cost by the conversion equivalent units

Other Questions
Erik has $50 in a savings account that earns5% annually. The interest is not compounded. How much will he have in 1 year? To increase Internet transmission speeds and decrease latency (delays), intermediate Internet servers are placed between users and the cloud servers. Portions of the cloud service are downloaded onto the intermediate servers. This is known as ___ computing. Sydney is playing a game on a map with a marked grid. To start, she places a game piece at (1, 4). She moves 3 units east and 2 units north and places a second game piece at (4, 6). She continues playing game pieces so that each piece is 3 units east and 2 units north in relation to the previous piece. What is the location of the third game piece she places? how does republicanism relate to our government today Why did people move to cities?Check all the boxes that apply.There was a better chance of getting manufacturing and service jobs.There was more land for farming.People had a desire to find cultural opportunities. Tanenhaus and coworkers' eye movement study presented participants with different pictures for interpreting the sentence, "Put the apple on the towel in the box." Their results showed the importance of _____ in how we understand sentences in real-life situations.A. the cooperative principleB. environmental contextC. instrumental inferencesD. local connections A string is 9.00 m long with a mass of 7.00 g. The string is held taut with a tension of 200.00 N applied to the string. A pulse is sent down the string. How long (in ms) does it take the pulse to travel the 9.00 m of the string? If a rectangular region has perimeter P inches and area A square inches, is the region square?(1) P = 4/3*A(2) P = 4A Mrs Cain coleslaw recipe calls for 1/3 cup of oil, 1/2 cup of vinegar, 1/4 cup of sugar. If she has 1 cup of vinegar, how much oil and sugar does she need to make 1 batch Determine the point estimate of the population mean and margin of error for the confidence interval.Lower bound is 22, upper bound is 28The point estimate of the population mean is ___The margin of error for the confidence interval is ___ 1" on a map peen = a mile in real life or on the surface of the Earth is an example of what you might find on the maps The huntsman was just passing the house, and thought to himself: How the old woman is snoring! I must just see if she wants anything. So he went into the room, and when he came to the bed, he saw that the wolf was lying in it. Do I find you here, you old sinner! said he. I have long sought you! Then just as he was going to fire at him, it occurred to him that the wolf might have devoured the grandmother, and that she might still be saved, so he did not fire.Little Red Riding Hood,The Brothers GrimmWhich statement is thebestanalysis of the huntsman, based on his words and actions?The huntsman acts heroic because of true love.The huntsman is brash and selfish, with little care for others.The huntsman is a true hero who inspires those around him.The huntsman is a considerate hero, because he saves the grandmother. Which of the following best describes an advantage that eukaryote organisms have over prokaryote organisms?A) Prokaryotes lack a cell membrane and therefore are unable to control what enters or exits the cell.B) Eukaryotes have a nuclear envelope separating their DNA from the rest of the cell, which increases the likelihood of advantageous mutations.C) Eukaryotes have mitochondria and chloroplasts that contain their own genome, which allows the cells to reproduce more rapidly.D) Eukaryotes have organelles that allow for compartmentalization of cellular processes, which increases the efficiency of those processes. can you answer this passage?on her first snorkel trip . lois was amazed by what she saw beneath the surface . the coral reef was full of underwater life. -3(v - 3) - 6 is greater than or equal to 12 Select the four choices below that are equal to 2 3 4. ________ is a nonprofit agency sets up a website to channel investments from all over the globe into microloans to support local farms. Draw a picture to show the division. Express your answer as a fraction. 35= true or false; many leaders of the second continental congress were hoping to reconcile with Britain The two electrolytes most important in enabling nerves to respond to stimuli are sodium and_______. a.phosphorus b.iron c.chloride d.potassium Steam Workshop Downloader