question Question 1 of 2 2.5/5 E View Policies Show Attempt History Current Attempt in Progress Blue Company had the following account balances at year-end Cost of Goods Sold 561.200 Inventory $14.550. Urties Expense $29.960. Sales Revenue $120,310, Sales Discounts $1,080, and Sales Returns and Allowances 51.750. A physical count of inventory determines that merchandise inventory on hand is $12.180 They use the perpetual inventory systom (a) Your answer is correct Prepare the adjusting entry necessary asaresult of the physical count (Listoll debit entries before credit entries. Credit account title are automatically Indented when amount is entered. Do not indent manually. If no entry is required, select "No Entry for the account des and enter for the amounts) Question 1 of 2 < > 2.5/5 : (b) Prepare closing entries. (Ustall debit entries before and entries and account titles are automatically indented when amount entered. Do not indent manually not required. sed "No Entry for the account title and enter for the amount Account Titles and Explanation Debit Credit (To close accounts with credit balances)

Answers

Answer 1

(a)Adjustment  Entry: Adjustment entries are journal entries that are used at the end of an accounting cycle to update the accounts of a company. The adjustment entry that Blue Company must make is to adjust the Merchandise Inventory to the correct balance.

Cost of Goods Sold is also credited as a result of the adjustment entry.Account Title Debit Credit Merchandise Inventory 2370 Cost of Goods Sold 2370(b) Closing Entries: At the end of the accounting cycle, the temporary accounts are closed. Closing entries are used to close these accounts. When closing entries are made, all temporary accounts are closed to the income summary account. Blue Company has four accounts that must be closed: Sales Revenue, Sales Discounts, Sales Returns and Allowances, and Utilities Expense. To make closing entries, we need to use the following accounts:Income Summary Sales Revenue Sales Discounts Sales Returns and Allowances Utilities Expense Account Title Debit Credit income Summary 7710 Sales Revenue 120310 Sales Discounts 1080 Sales Returns and Allowances 51750 Utilities Expense 29960 Income Summary 63480

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Related Questions

Cynthia is the chief financial officer of Digital Corporation. In that capacity, when she is unsure whether a certain business action is legal, she should act
a.
in the short-run interest of Digital.
b.
to maximize profit.
c.
honestly and responsibly.
d.
in her own best interest.

Answers

Option (c), Cynthia is the chief financial officer of Digital Corporation. In that capacity, when she is unsure whether a certain business action is legal, she should act honestly and responsibly

.What should be done by the chief financial officer of Digital Corporation when she is unsure whether a certain business action is legal?

In her position as the CFO of Digital Corporation, Cynthia should act honestly and responsibly when she is unsure whether a particular business activity is legal. This means that when she is in doubt about whether or not an action is legal, she should take the time to investigate the issue thoroughly, seek out expert advice, and make sure that she understands all of the relevant laws and regulations before proceeding. It is her responsibility to ensure that Digital Corporation is operating within the confines of the law at all times

Option c: honestly and responsibly. Cynthia should act honestly and responsibly. The CFO must ensure that the business complies with all relevant regulations, laws, and other legal requirements. If she is unsure whether a particular business activity is legal, it is her responsibility to investigate and understand the issue. She must seek guidance from experts if necessary to ensure that Digital Corporation is not operating outside the legal framework.

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In general costs directly by the level of responsibility are to the responsibility level are while costs that are

Answers

In general, costs directly by the level of responsibility are proportional to the responsibility level, while costs that are indirect are not directly proportional to the level of responsibility. Responsibility level can be defined as the extent of control and decision-making authority an individual has in an organization. When an individual has a higher level of responsibility, he or she is accountable for more tasks, decisions, and resources that are required to complete the tasks. Therefore, the costs that are directly attributable to the individual's level of responsibility will be higher.

In general, costs directly by the level of responsibility are proportional to the responsibility level, while costs that are indirect are not directly proportional to the level of responsibility. Responsibility level can be defined as the extent of control and decision-making authority an individual has in an organization. When an individual has a higher level of responsibility, he or she is accountable for more tasks, decisions, and resources that are required to complete the tasks. Therefore, the costs that are directly attributable to the individual's level of responsibility will be higher. This can include costs related to salaries, bonuses, benefits, training, and other expenses associated with the individual's role. On the other hand, indirect costs are costs that are not directly related to the level of responsibility. These may include expenses such as office rent, utilities, equipment, and other overhead costs that are required to run an organization. While indirect costs are necessary to operate an organization, they are not directly attributable to any one individual's level of responsibility. In conclusion, the costs directly related to a level of responsibility are higher while the indirect costs are not directly proportional to the level of responsibility. The costs incurred by an individual in an organization should be commensurate with the level of responsibility assigned to them.

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What are the properties of Ordinary Least Squares (OLS)
estimators? Discuss.

Answers

Ordinary Least Squares (OLS) is a method used to find out the best possible linear fit for a set of observations that take into account the errors in the observations.

Properties of Ordinary Least Squares (OLS) estimators, Unbiasedness,  The most significant property of OLS estimators is that they are unbiased. The OLS estimators are unbiased when the expected value of the residuals is zero, which means that the average of the residuals is zero. Efficiency, The second most significant property of OLS estimators is that they are efficient. An estimator is said to be efficient if it is the most accurate and precise estimator in the class of estimators. In other words, it means that it has the least variance of all the estimators available.

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(2) You've read in chapter 2 about the various Western European powers - the Spanish, French, Dutch, and English - attempting to establish colonial empires in the Americas.

Now, write for 15 minutes, for AT LEAST 250 words, imagine you are a Native American Indian. From your perspective, which of these European powers would be the best to encounter? Which would be the worst? DESCRIBE the Spanish, French, Dutch, and English encounters on your land. What are your thoughts about how these newly established relationships are unfolding with this particular group of Europeans who are colonizing your area?

Answers

From the perspective of a Native American Indian, the Dutch would be the best European power to encounter due to their relatively peaceful and fair interactions. On the other hand, the Spanish would be the worst due to their aggressive colonization methods and mistreatment of indigenous populations. The French and English encounters fall somewhere in between, with the French showing some respect for Native American culture but still asserting their dominance, while the English exhibit a mix of cooperation and conflict.

As a Native American Indian, the encounter with the Dutch would be the most favorable. The Dutch approach colonization with a focus on trade and cooperation rather than forceful conquest. They establish mutually beneficial relationships with Native American tribes, engaging in fair trade practices and respecting indigenous cultures to some extent.

The Dutch prioritize economic exchange and maintain relatively peaceful interactions with Native Americans.

Conversely, the Spanish encounter would be the worst. The Spanish colonization of the Americas is marked by a history of violence, exploitation, and forced labor.

They bring diseases that devastate Native American populations, and their quest for gold and power leads to the enslavement and mistreatment of indigenous people. The Spanish aim to dominate and control the land, disregarding the rights and well-being of Native Americans.

The French and English encounters fall in between these extremes. The French exhibit some level of respect for Native American cultures and form alliances with certain tribes for economic and military purposes.

However, they still assert their dominance and influence over indigenous lands. The English initially establish cooperative relationships with Native American tribes, engaging in trade and forming alliances. However, conflicts arise as English settlements expand and encroach upon Native American territories, leading to tensions and violence.

Overall, the encounters with European powers bring about complex and varied experiences for Native American Indians. While the Dutch offer more peaceful and fair interactions, the Spanish represent the worst encounter due to their brutal colonization methods.

The French and English fall somewhere in between, exhibiting both cooperation and conflict in their interactions with indigenous populations.

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In Regards To Repatriation Issues And Potential Challenges, Identify And Critically Reflect On At Least FOUR Factors That Can Have Establishing a New Subsidiary in Venezuela You are the HR manager of an Australian Small-Medium Enterprise (SME) in the oil and gas industry, targeting a new market in Venezuela. According to the Organisation of the Petroleum Exporting Countries (OPEC), Venezuela's oil revenues account for about 99 per cent of export earnings. Apart from petroleum, the country's natural resources include natural gas, iron ore, gold, bauxite, diamonds and other minerals. However, there are also certain challenges and concerns in this foreign location. Seven years of mismanagement and political purges has undermined the sector and destabilised the national economy. Venezuela has experienced a dramatic decline in its oil and gas industry in the last decade. Reversing its fortunes will demand a complete overhaul of its legal and institutional framework for the sector, with attracting international investments the key objective. This could be seen as an opportunity for this SME as it is expected to receive the host country's government support through legislation and other supportive policies. Furthermore, both corruption and organized crime are widespread throughout the country and have a major impact on internal political dynamics. The country ranks 173rd out of 180 in Transparency International's Corruption Perception Index. This can create a serious challenge for the new subsidiary of the SME. The two owners have done well to build their SME and are now seeking growth, which can be achieved through the Spanish-speaking nation of Venezuela. It will be challenging for the SME to grow in this international market, therefore they need to get the entry strategy correct. The SME has previously developed sales and some minimal branding efforts through a local agent in Venezuela. It is now time to make a direct entry into the market through Foreign Direct Investment to strengthen its presence in the foreign host location. Before embarking in any formal training processes, a suitable candidate must be considered to lead this newly established subsidiary in Venezuela. At present, your options are as follows: A. Assign one of the SME founders to the role. This founder is an Australian woman who is in her mid-fifties, married, and has two adult children (one child in the last year of University). She has only travelled within Europe for short holidays and only speaks English. She has extensive senior leadership skills in the Australian context. B. Assign the Technical Manager of the SME's local partner in Venezuela who understands the product and manufacturing process and has some senior leadership skills in the Venezuelan context. He is single and a Venezuelan national. C. Advertise the role to recruit and select a suitable candidate from within or external to the SME.

Answers

Answer:

Considering these factors, it is crucial to select a candidate with a deep understanding of the local context, language proficiency, cross-cultural competencies, and experience in managing complex international operations.

Explanation:

Establishing a new subsidiary in Venezuela presents several potential challenges. Four factors to critically reflect on include:

Political instability and economic mismanagement: Venezuela has experienced political purges and economic mismanagement, resulting in a decline in the oil and gas industry. This instability can affect the business environment, including regulatory changes and unpredictable policies, making it challenging to operate and plan for the future.

Corruption and organized crime: Widespread corruption and organized crime in Venezuela can have a significant impact on business operations. The SME may face challenges related to bribery, extortion, and unfair competition. Navigating through these issues while maintaining ethical standards and complying with international regulations can be complex and risky.

Legal and institutional framework: The need for a complete overhaul of Venezuela's legal and institutional framework for the oil and gas sector indicates potential difficulties in understanding and complying with local regulations. The SME will need to invest time and resources in understanding and adapting to the new legal environment to ensure compliance and mitigate legal risks.

Language and cultural barriers: The language barrier, as the founder of the SME only speaks English, can hinder effective communication and relationship building with local stakeholders. Additionally, cultural differences can impact business practices and negotiation strategies. Overcoming these barriers requires language proficiency, cultural sensitivity, and the ability to adapt to the local business culture.

Option B, assigning the Technical Manager of the SME's local partner in Venezuela, may offer the advantage of local knowledge and language skills. However, it is also worth considering Option C, advertising the role to recruit a candidate with relevant experience and cultural adaptability, as this could bring fresh perspectives and diverse skills to navigate the challenges effectively.

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Can you please answer the following question on Assessment and
Evaluation of Learning subject?
Discuss principles of assessment and provide examples where
possible

Answers

The principles of assessment provide guidance for designing and conducting effective assessments of learning. these principles could be a teacher using a combination of quizzes, projects, and class participation to assess students' understanding of a subject.

Some key principles include:

Validity: Assessments should measure what they are intended to measure. For example, if a test aims to assess students' understanding of a specific topic, the questions should be relevant to that topic and accurately capture their knowledge.

Reliability: Assessments should yield consistent results over time and across different evaluators. This can be achieved through standardized scoring criteria and procedures to minimize subjective bias.

Authenticity: Assessments should reflect real-world contexts and tasks that students may encounter in their field of study or future profession.  

Fairness: Assessments should be free from bias and discrimination, ensuring that all students have an equal opportunity to demonstrate their knowledge and skills.  .

Formative and Summative Assessment: Formative assessments are used to provide feedback during the learning process, allowing students to identify areas for improvement. Summative assessments, on the other hand, measure overall achievement at the end of a learning period.

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After reading Chapter 2 and watching the video lecture, discuss
a time at work or home when you employed a scientific management
style to accomplish a task or project. Explain with examples.

Answers

Scientific Management can be defined as the use of scientific methods in the management of work to enhance the output and efficiency of employees. Time and motion studies, and the separation of planning from execution are two of the main principles of scientific management.

A time at work or home when you employed a scientific management style to accomplish a task or project is given below:

Example:

As a manager at a fast-food restaurant, I had to ensure that food is prepared quickly and efficiently while maintaining the quality of the product.

I used scientific management to achieve this goal by breaking down the tasks into smaller components and timing how long each task takes to complete. I assigned each worker a specific task, such as grilling burgers or frying chicken.

I then analyzed each task to determine if there was any wasted motion or time that could be eliminated. By standardizing the best method, each employee was able to work more quickly and efficiently, resulting in a higher output of quality food.

Through the use of scientific management, I was able to create a more streamlined process that was cost-effective and saved time.

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The customer has lost confidence in the contractor and terminated the project early. What is this called?
a. Mutual Agreement
b. Trmination for Default
c. Termination for Convenience of Buyer

Answers

The situation described, where the customer loses confidence in the contractor and terminates the project early, is known as "Termination for Convenience of Buyer."

Termination for the Convenience of the Buyer refers to the situation where the customer, without any default or breach by the contractor, decides to terminate the project early based on their own convenience or preference. This type of termination allows the customer to end the contract without incurring any liability for breach of contract.

Unlike Termination for Default, which occurs when one party fails to meet their contractual obligations, Termination for the Convenience of the Buyer does not require any specific fault or non-performance by the contractor. Instead, it provides the customer with the flexibility to terminate the project based on their own reasons, such as loss of confidence in the contractor's ability to fulfill the project requirements or changes in business priorities.

Termination for the Convenience of the Buyer typically includes provisions for compensating the contractor for work completed or costs incurred up until the termination date. The specific terms and conditions regarding such compensation are usually outlined in the contract or agreed upon during the termination process.

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.The cash account for American Medical Co. at April 30 indicated a balance of $8,835. The bank statement indicated a balance of $10,220 on April 30. Comparing the bank statement and the accompanying canceled checks and memos with the records revealed the following reconciling items:

a. Checks outstanding totaled $3,680.
b. A deposit of $3,830, representing receipts of April 30, had been made too late to appear on the bank statement.
c. The bank collected $1,990 on a $1,890 note, including interest of $100.
d. A check for $440 returned with the statement had been incorrectly recorded by American Medical Co. as $400. The check was for the payment of an obligation to Targhee Supply Co. for a purchase on account.
e, A check drawn for $40 had been erroneously charged by the bank as $400.
f. Bank service charges for April amounted to $55.
Required:

Question Content Area

1. Prepare a bank reconciliation.

American Medical Co.
Bank Reconciliation
April 30
Cash balance according to bank statement $fill in the blank 0e5daefb2047fd5_1
Add bank service chargesAdd deposit of April 30, not recorded by bankAdd error in recording checkAdd outstanding checksAdd note and interest collected by bankAdd deposit of April 30, not recorded by bank

$Add deposit of April 30, not record ed by bank
Add bank error in charging check as $400 instead of $40Add error in recording checkAdd outstanding checksAdd note and interest collected by bankDeduct bank service chargesAdd error in recording check

Add error in recording check Add error in recording check
Deduct bank error in charging check as $400 instead of $40Deduct bank service chargesDeduct error in recording checkDeduct outstanding checksDeduct note and interst collected by bankDeduct outstanding checks

Deduct outstanding

Answers

The balance according to the bank statement is $10,220.

To prepare the bank reconciliation, we need to compare the cash balance according to the bank statement with the cash account balance according to American Medical Co.'s records. The bank statement shows a balance of $10,220 on April 30. The bank reconciliation process involves adjusting the cash account balance for any reconciling items.

In this case, we have several reconciling items, such as outstanding checks, deposits not recorded by the bank, bank errors in recording checks, note and interest collected by the bank, and bank service charges. By considering these items and their impact on the cash account balance, we can determine the adjusted cash balance for American Medical Co. on April 30.

It is important to go through each reconciling item and make the appropriate additions or deductions to arrive at the final reconciled cash balance.

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if+the+reserve+ratio+is+4%,+the+money+multiplier+is:+25.+16.+20.+4.

Answers

The reserve ratio is the ratio of reserves to deposits held by a bank or other financial institution. The money multiplier is determined by dividing 1 by the reserve ratio. Here, the reserve ratio is given as 4%.

The reserve ratio is the proportion of deposits that banks must keep in reserve and not loan out. The money multiplier, on the other hand, is the ratio of the quantity of money in circulation to the quantity of bank deposits that can be used to generate that money.

The reserve ratio is determined by dividing the amount of reserve requirements by total deposits. Thus, if the reserve ratio is 4%, this means that banks are required to keep 4% of their deposits as reserves. This implies that the remaining 96 percent can be lent out.

The formula for calculating the money multiplier is:

Money multiplier = 1 / reserve ratio = 1/0.04 = 25

Therefore, if the reserve ratio is 4%, the money multiplier is 25.

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Which of the following statements is TRUE? GAAP requires that firms show recorded values for acquired intangible assets such as patents and trademarks on their financial statements. GAAP requires that firms show recorded values for intangible assets such as employee and customer loyalty. GAAP requires that financial statements accurately reflects the market value of internally-developed trademarks such as the value of the Coca-Cola brand name. All of the above.

Answers

The statement that is TRUE is: "GAAP requires that firms show recorded values for acquired intangible assets such as patents and trademarks on their financial statements."

The statement that is true is: "GAAP requires that firms show recorded values for acquired intangible assets such as patents and trademarks on their financial statements." Under Generally Accepted Accounting Principles (GAAP), acquired intangible assets, including patents and trademarks, must be recognized and reported on the financial statements. These assets are recorded at their fair value at the time of acquisition and are subject to periodic assessments for impairment. However, GAAP does not require firms to show recorded values for intangible assets such as employee and customer loyalty or to accurately reflect the market value of internally-developed trademarks. The latter may be disclosed in the footnotes but is not typically reflected in the financial statements themselves.

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Common stock value-Variable growth Newman Manufacturing is wondering a sesh purchase of the lack of Grips Tool During the year in completed Orge samt 12.81 per share and path dde of 31.31 per share (0, $1.21) Grip sangs and dividends are expected to grow at 25% per year the the next 3 years after which they are expected to grow 0% per year to infrity What is the maximum pe per share that hemen should pay for Gr hee required of 13%

Answers

The maximum PE per share that Hemen should pay for GR is 44.81.

The maximum PE per share that Hemen should pay for GR is 44.81 given that the common stock value and variable growth are the key terms of the question.

Here's the solution to the given problem:

Given:Price of Share (Po) = $12.81

Price of Share (P1) = $31.31

Growth rate (g) = 25%

Dividend (D0) = $1.21

Required rate of return (r) = 13%

We have to determine the maximum PE per share that Hemen should pay for GR.

Here's how to find the solution:

Step 1: Calculate the expected dividend for the next three years:

Year 1 dividend = D0 (1+g) = $1.21 x (1 + 25%) = $1.51

Year 2 dividend = D1 (1+g) = $1.51 x (1 + 25%) = $1.89

Year 3 dividend = D2 (1+g) = $1.89 x (1 + 25%) = $2.36

Step 2: Calculate the expected price of the share after three years:

P3 = D3/ (r - g) = $2.36 / (0.13 - 0.25) = $18.67

Step 3: Calculate the present value of P3:P0 = P3 / (1 + r) ^ n = $18.67 / (1 + 0.13) ^ 3 = $11.50

Step 4: Calculate the present value of expected dividends:

PV = D1 / (1+r) + D2 / (1+r)^2 + D3 / (1+r)^3= $1.51 / (1 + 0.13) + $1.89 / (1 + 0.13)^2 + $2.36 / (1 + 0.13)^3 = $4.35

Step 5: Calculate the maximum price per share using the dividend discount model:

Maximum price per share = P0 + PV= $11.50 + $4.35 = $15.85

Step 6: Calculate the maximum PE per share using the maximum price per share and expected earnings per share (EPS):

Maximum PE per share = Maximum price per share / EPS= $15.85 / $0.35 = 44.81

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Quicksilver Delivery Service contracts to deliver Pete's Pizza Parlor's products to its customers for $5,000, payable in advance. Pete's pays the money, but Quicksilver fails to perform. Can Pete's rescind the contract? Can Pete's also obtain restitution? What does it mean to "rescind" a contract? How is a contract rescinded? What is restitution? How is restitution accomplished? Explain. Eda

Answers

Rescinding a contract means to cancel or void it as if it never existed. Restitution refers to the return or repayment of the money or property that was given under the contract. Rescission and restitution can be sought through legal proceedings, typically by filing a lawsuit against the non-performing party.

1. In this scenario, since Quicksilver Delivery Service failed to perform its obligation of delivering the pizza products despite receiving payment in advance, Pete's Pizza Parlor may have grounds to rescind the contract. Rescission essentially means canceling the contract as if it never took place. It allows the injured party, Pete's Pizza Parlor in this case, to be released from their obligations under the contract and reclaim any benefits they provided.

2. In addition to rescission, Pete's Pizza Parlor may also seek restitution. Restitution refers to the act of returning or compensating for something that was lost or taken. In this situation, it would involve Pete's Pizza Parlor seeking the return of the $5,000 they paid to Quicksilver Delivery Service. Restitution aims to restore the injured party to the position they would have been in had the contract not been entered into or breached.

3. To pursue rescission and restitution, Pete's Pizza Parlor would typically need to take legal action against Quicksilver Delivery Service. They would file a lawsuit seeking the cancellation of the contract (rescission) and the return of the payment (restitution). The exact process and requirements for rescission and restitution can vary depending on the jurisdiction and applicable laws. It is advisable for Pete's Pizza Parlor to consult with a legal professional familiar with contract law to understand their specific rights and options in this situation.

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Two events are occurring simultaneously in the labor market for laborers who produce sports apparel. First, the government's campaign to increase the activity rate among its citizens is proving successful, and more people are going to the gym on a regular basis. Second, the sports apparel industry is known for its relatively high pay and good benefits, which are attractive to workers. a. Graph the effect of each shift separately. Label the original equilibrium wage and quantity W, and L₁, respectively. b. What needs to be true about the relative size of these shifts if workers in this labor market are to earn higher wages?

Answers

In the labor market for laborers producing sports apparel, two simultaneous events are occurring: an increase in gym activity rates due to a government campaign and the attractiveness of the sports apparel industry with its high pay and good benefits. To analyze the effects, we can graph each shift separately, identifying the original equilibrium wage and quantity as W and L₁, respectively.

a. To graph the effect of each shift separately, we need to understand how each event impacts the labor market. The increase in gym activity rates implies an increased demand for sports apparel, which will shift the demand curve for labor to the right. This shift indicates that more workers are needed, resulting in an increase in the equilibrium wage and quantity of labor (W and L₁, respectively). On the other hand, the attractiveness of the sports apparel industry to workers implies an increase in the supply of labor. This will shift the supply curve to the right, resulting in a decrease in the equilibrium wage and an increase in the equilibrium quantity of labor.

b. For workers in this labor market to earn higher wages, the shift caused by the increase in gym activity rates (demand) must be relatively larger than the shift caused by the attractiveness of the sports apparel industry (supply). If the shift in demand is larger than the shift in supply, the equilibrium wage will increase, leading to higher wages for workers. The relative size of the shifts determines the impact on wages. If the increase in demand outpaces the increase in supply, workers will benefit from higher wages due to the increased demand for labor in the sports apparel industry.

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Savings are realized through reduced ordering cost and lower cost of buying is a result of?

A.
Quantity Discount

B.
Vendor Discount

C.
Inventory Discount

D.
Sales Quantity

Answers

The savings realized through reduced ordering cost and lower cost of buying are the result of quantity discounts. This is the answer to the question: "Savings are realized through reduced ordering cost and lower cost of buying is a result of? A. Quantity Discount".

Explanation:A quantity discount is a price reduction offered to customers who buy goods or services in large amounts. As a result, the cost per unit of the item is reduced. Bulk discounts are available to companies that buy large quantities of products. If a company buys a large quantity of goods, it can receive a discount. If a company purchases in bulk, the unit cost of the item decreases.

When items are purchased in large quantities, vendors offer a discount. This is known as a quantity discount. Lower purchase costs and savings on ordering expenses are the two ways in which quantity discounts result in cost savings. So, the answer is A. Quantity Discount. The savings realized through reduced ordering cost and lower cost of buying are the result of quantity discounts. This is the answer to the question: "Savings are realized through reduced ordering cost and lower cost of buying is a result of? A. Quantity Discount".

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Can’t attach the table
Consider the following inverse demand and inverse supply curves representing the market for apartments where p represents the rental price of an apartment unit, Qd represents the total number of apartment units demanded and Qs the total number of apartment units supplied in 1000s of units. Inverse Demand Curve:
P=810-QD
Inverse Supply Curve:
P = 700 + 25Q.
Question 6. Compute the equilibrium price, p
O p*=668.77
O p 698.63
O p*-805.77
O p*=768.77

Answers

The equilibrium price in the market for apartments is p* = 698.63.

In order to find the equilibrium price, we need to set the quantity demanded equal to the quantity supplied. Using the inverse demand and supply curves provided, we can equate the equations:

810 - Qd = 700 + 25Qs

To solve for the equilibrium price, we need to find the values of Qd and Qs that satisfy this equation. First, we need to convert the inverse demand and supply curves to their respective quantity equations:

Qd = 810 - P

Qs = (P - 700) / 25

Substituting these equations into the equilibrium condition, we get:

810 - (810 - P) = 700 + 25((P - 700) / 25)

Simplifying the equation, we have:= 698.63

Therefore, the equilibrium price in the market for apartments is p* = 698.63.

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To address the eurozone crisis, the European Central Bank (ECB) adopted a negative interest rate policy in 2014. The ECB lowered its deposit rate to -0.1% that year to hold off deflation and move the economic bloc out of a prolonged recession. Today, the ECB deposit rate is - 0.5%, the lowest on record. In theory, negative rates would boost the economy by encouraging consumers and banks to take more risks through borrowing and lending money. Using the IS-LM framework, explain why traditional monetary policy fails in the presence of zero lower bounds, and how the negative interest rate policy may help the ECB to bring the economy out of recession. [20 marks]
MUST USE IS-LM MODEL TO EXPLAIN

Answers

The European Central Bank (ECB) adopted a negative interest rate policy to address the eurozone crisis. The ECB lowered its deposit rate to -0.1% that year to prevent deflation and bring the economic bloc out of a long-term recession.

In theory, negative interest rates would boost the economy by encouraging consumers and banks to take more risks through borrowing and lending money. Traditional monetary policy fails in the presence of zero lower bounds as the interest rates can't go lower. As a result, the central bank is unable to stimulate borrowing and lending in the economy.

When interest rates are already near zero, the effectiveness of monetary policy is severely restricted as it can no longer boost investment and consumption demand through interest rate cuts. Hence, conventional monetary policy becomes ineffective when interest rates hit zero and even quantitative easing (QE) has only limited effects. In this case, the negative interest rate policy may help the ECB bring the economy out of recession by lowering borrowing costs and increasing the availability of credit, thereby increasing investment and consumption.

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Suppose a textbook monopoly can produce any level of output it wishes at a constant MC and AC of $5 per book. Assume that the monopoly sells its books in two different markets that are separated by some distance.

The demand curve in the first market is given by:

Q1=55-P1

and the demand curve in the second market is given by:

Q2=70-2P2

a. If the monopolist can maintain the separation between the two markets, what level of output should be produced in each market and what price will prevail in each market? What are total profits in this situation?

b. How would your answer change if it cost demanders only $3 to mail books between the two markets? What would be the monopolist's new profit level in this situation? How would your answer change if mailing costs were 0?

Answers

a. To determine the level of output and price in each market, we need to equate marginal cost (MC) with marginal revenue (MR) in each market separately. In market 1, MR1 = MC, which gives us 55 - 2P1 = 5. Solving for P1, we find P1 = 25, and substituting this value back into the demand equation Q1 = 55 - P1, we get Q1 = 30. In market 2, MR2 = MC, which gives us 70 - 4P2 = 5. Solving for P2, we find P2 = 16.25, and substituting this value back into the demand equation Q2 = 70 - 2P2, we get Q2 = 37.5.

b. If mailing costs between the markets are $3, it would affect the equilibrium prices and quantities. The monopolist would consider the additional cost of mailing when determining the prices and quantities in each market. The new equilibrium prices and quantities would depend on the specific cost of mailing and the resulting changes in demand. If mailing costs were reduced to zero, it would eliminate the additional cost and potentially affect the equilibrium prices and quantities again, depending on the changes in demand. The monopolist's profit level would be influenced by these adjustments in prices and quantities.

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You expect to receive two cash flows: $44,000 paid in 5 years and $66,000 paid in 10 years. You'll put the money into a savings account with an annual interest rate of 2%.

1) What is the future value of the combined cash flows, in 15 years?

Answers

The future value of the combined cash flows in 15 years is approximately $128,494.29.

For the first cash flow of $44,000 received in 5 years, we can use the future value formula:

FV1 = PV1 * (1 + r)^n1

Where:

FV1 = Future value of the first cash flow

PV1 = Present value of the first cash flow ($44,000)

r = Interest rate per period (2% per year)

n1 = Number of periods for the first cash flow (15 years - 5 years = 10 years)

The future value of the combined cash flows, $44,000 paid in 5 years and $66,000 paid in 10 years, with an annual interest rate of 2% in 15 years, is approximately $124,097.For the first cash flow of $44,000 in 5 years, the future value is calculated as $44,000 × (1 + 0.02)^5 = $48,824.

For the second cash flow of $66,000 in 10 years, the future value is calculated as $66,000 × (1 + 0.02)^10 = $79,580.Adding the future values of both cash flows, we get $48,824 + $79,580 = $128,404.Therefore, the future value of the  combined cash flows in 15 years is approximately $124,097.

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Name three casino games that are pure chance and three that involve an element of skill. And explain.
Please type down 600 -800 words. Thank you!!!

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Casino games have been around for ages and they have evolved throughout the years. There are several types of casino games, some are pure chance and some involve an element of skill. Here are three casino games that are pure chance and three that involve an element of skill.

Pure chance games

1. Slots:

Slots are games of pure chance. Players don't need any special skills to play them. Players simply spin the reels and hope that the symbols align in their favor. Although the outcome of the game is entirely random, the odds of winning are predetermined.

2. Roulette:

Roulette is another game of pure chance. In roulette, players place bets on where the ball will land on the roulette wheel. The outcome is purely determined by luck and the odds of winning are based on the number of slots on the roulette wheel.

3. Keno:

Keno is a lottery-style game of pure chance. Players select numbers and hope that they match the numbers drawn. The more numbers matched, the higher the payout. The outcome of the game is purely determined by luck.

Element of skill games

1. Poker:

Poker is a game of skill. Although luck plays a role in the game, the outcome is determined by the player's skill. Players need to have a solid understanding of the game's rules, strategies, and psychology to be successful.

2. Blackjack:

Blackjack is another game of skill. Players need to have a solid understanding of the game's rules, strategies, and odds to be successful. Players need to know when to hit, stand, split, or double down to maximize their chances of winning.

3. Sports betting:

Sports betting is also a game of skill. Players need to have a solid understanding of the sports they are betting on, as well as the odds and strategies involved. Successful sports bettors use their knowledge and skills to make informed bets that have a higher probability of winning.

In conclusion, there are casino games that are pure chance and others that involve an element of skill. Pure chance games include slots, roulette, and keno, while games that involve an element of skill include poker, blackjack, and sports betting. While chance games rely on luck, skill games require knowledge, understanding, and practice. Players can improve their chances of winning at skill games by learning and implementing the right strategies.

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Under what conditions should organizations "unlear" Select one a. In situations involving organizational change b. Whenever new knowledge is brought into the organization c. Whenever the organization shifts from communities of practice to experimentation in the knowledge acquisition process d. In situations involving rapid technological advancement e. Whenever there is a public disapproval of business practices

Answers

The conditions that necessitate the need for unlearning are as follows: In situations involving organizational change:

Changes like these require an organization to unlearn certain habits and processes and adopt new ones. Whenever new knowledge is brought into the organization: Organizations may acquire new knowledge through mergers and acquisitions, innovation, and the hiring of new staff members. In order to successfully integrate this new knowledge, organizations must unlearn their old ways of doing things and adopt new ones. Whenever the organization shifts from communities of practice to experimentation in the knowledge acquisition process: Community of practice involves learning through practice and reflection on previous experiences, while experimentation involves trial and error.

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QUESTION 48 The level where managers develop overall business strategies and monitor the performance of the organization and the competitive business environment is the level. O Operational Strategic O Managerial O Communications QUESTION 49 Online transaction processing (OLTP) is the capturing of transaction and event information using technology to O Update existing information to reflect the new information O Store the information O Process the information according to defined business rules O All of these QUESTION 50 The primary purpose of a data warehouse is to Combine strategic information O Organize departments O Interface between the computer and employees O All of these

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Question 48: The level where managers develop overall business strategies and monitor the performance of the organization and the competitive business environment is the strategic level.

At the strategic level of management, top-level executives are responsible for formulating the overall direction and goals of the organization. They assess the competitive landscape, evaluate market trends, and make strategic decisions to ensure the long-term success of the organization.

This level of management focuses on setting objectives, allocating resources, and overseeing the implementation of strategies to achieve desired outcomes. Strategic managers also monitor the performance of the organization, evaluate its competitive position, and make adjustments as necessary to stay ahead in the market.

Question 49: Online transaction processing (OLTP) is the capturing of transaction and event information using technology to process the information according to defined business rules.

Online transaction processing (OLTP) refers to the real-time capture and processing of transaction and event information using technology systems. It involves updating existing information to reflect new data, storing the information in databases, and processing it according to defined business rules.

OLTP systems are commonly used in businesses to manage day-to-day transactions such as sales, orders, and inventory management. By processing transactions in real-time, organizations can ensure data accuracy, maintain up-to-date records, and facilitate efficient business operations.

Question 50: The primary purpose of a data warehouse is to combine strategic information, organize departments, and interface between the computer and employees.

A data warehouse serves as a central repository for storing and organizing large volumes of data from various sources within an organization. Its primary purpose is to combine strategic information from different systems and departments, providing a unified and comprehensive view of the organization's data.

This allows for efficient data analysis, reporting, and decision-making. Additionally, a data warehouse facilitates data integration and standardization, ensuring data consistency and quality across the organization. It serves as a valuable tool for business intelligence, enabling users to extract meaningful insights and support strategic decision-making processes.

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Under what market structure does the University of Lethbridge operate. Please explain your answer very carefully.

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The University of Lethbridge operates under an oligopoly market structure where few colleges or universities control the market with homogenous products and have significant entry barriers. An oligopoly market structure is a market in which a few organizations dominate the market and have the power to set prices.

The University of Lethbridge, located in Alberta, Canada, is one of only two publicly funded institutions in the province. As a result, the university operates under an oligopoly market structure, in which it competes with only one other publicly funded university (University of Alberta), and with private universities (e.g., Athabasca University, Trinity Western University, etc.). Market structure is a market environment that identifies the characteristics of an industry or a market and affects how its participants operate. The market structure in which the University of Lethbridge operates is an oligopoly.

An oligopoly is a market in which a few firms or organizations control the market. These firms have the power to influence the price and have significant entry barriers. The Canadian higher education market has a few publicly funded universities, and as a result, the University of Lethbridge operates in a market that is controlled by only two publicly funded universities. The other university is the University of Alberta. The University of Lethbridge, therefore, operates in an oligopoly market structure with another publicly funded university and a few private universities.

In conclusion, the University of Lethbridge operates under an oligopoly market structure in which few colleges or universities control the market with homogenous products/services and have significant entry barriers. This oligopoly market structure allows the university to be in a better position to set prices since it has only a few competitors. As a result, it makes it difficult for new universities to enter the market, making it a challenging market to penetrate.

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the garraty company has two bond issues outstanding. both bonds pay $100 annual interest plus $1,000 at maturity. bond l has a maturity of 15 years, and bond s has a maturity of 1 year.

Answers

Based on the information provided, it seems that the Garraty Company has two bond issues: Bond L and Bond S.

Bond L has a maturity of 15 years, which means it will mature in 15 years from its issuance date. It pays $100 in annual interest and also provides a $1,000 payment at maturity.

Bond S, on the other hand, has a much shorter maturity period of 1 year. It also pays $100 in annual interest and offers a $1,000 payment at maturity.

It is important to note that additional information would be needed to provide a comprehensive analysis of these bond issues, such as the current market price of the bonds, coupon rates, yield rates, and any other relevant details.

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a key part of evidence-based leadership or management is to:

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A key part of evidence-based leadership or management is to make decisions and take actions based on reliable and valid evidence rather than relying solely on intuition or personal opinions.

Evidence-based leadership involves systematically gathering and evaluating relevant data, research findings, and best practices to inform decision-making and drive organizational success. It emphasizes the importance of using objective and verifiable information to support strategic planning, problem-solving, and performance improvement.

By embracing evidence-based practices, leaders and managers can:

1. Enhance Decision-Making: By using evidence, leaders can make more informed and rational decisions, reducing the influence of biases and increasing the likelihood of positive outcomes. They can weigh various s, evaluate potential risks, and select the most effective strategies based on the available evidence.

2. Improve Problem-Solving: Evidence-based management involves analyzing data and research to understand the root causes of problems and identify evidence-supported solutions. This approach allows leaders to address challenges effectively and implement interventions that have a higher probability of success.

3. Drive Innovation and Continuous Improvement: By leveraging evidence, leaders can identify emerging trends, industry best practices, and innovative approaches to enhance organizational performance. They can use evidence to inform the development of new products, services, or processes, fostering a culture of continuous learning and improvement.

4. Foster Accountability and Transparency: Evidence-based leadership promotes transparency and accountability by requiring leaders to justify their decisions and actions based on credible evidence. This approach enhances trust among stakeholders and encourages a culture of openness and data-driven decision-making.

To practice evidence-based leadership, leaders and managers need to develop skills in data analysis, critical thinking, and research literacy. They should encourage a culture that values evidence and invest in resources for data collection, analysis, and research. Collaborating with experts, conducting pilot studies, and engaging in continuous evaluation can further strengthen the evidence-based approach.

Overall, evidence-based leadership empowers leaders and managers to make informed decisions, improve organizational performance, and achieve sustainable results based on a foundation of reliable evidence and research.

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Engr. Johnson puts P50,000 into a 16 % today. He plans to deposit another P 80,000 at the end of the third year and to make a P 100,000 purchase in the next five years. how much money was still in the account two years after the purchase

Answers

To calculate the remaining amount in the account two years after the purchase, we need to consider the interest earned and the subsequent deposits.

Given:

Initial deposit: P50,000

Interest rate: 16%

Second deposit: P80,000

Purchase amount: P100,000

First, let's calculate the interest earned on the initial deposit after two years:

Interest earned = Initial deposit * Interest rate

Interest earned = P50,000 * 0.16 = P8,000

After two years, the initial deposit would have grown to P58,000 (P50,000 + P8,000 in interest).

Next, let's consider the second deposit of P80,000 made at the end of the third year. This deposit will not earn any interest for the two-year period we're interested in.

Therefore, the total amount in the account two years after the purchase would be:

Total amount = P58,000 (initial deposit) + P80,000 (second deposit) - P100,000 (purchase amount)

Total amount = P38,000

So, there would be P38,000 remaining in the account two years after the purchase.

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Spotting the bubble : Generally, it is really hard to spot
bubbles with any confidence before they burst. Here, you need to
make a point why is it so hard to spot bubbles. Your analysis in
this part s

Answers

Spotting bubbles in financial markets is indeed a challenging task that is often fraught with uncertainty. Identifying bubbles before they burst is a complex and challenging task due to the lack of a consensus definition, the intricate nature of financial markets, the bias introduced by hindsight analysis, information asymmetry, herding behavior, and the uncertainty surrounding timing.  

There are several reasons why it is difficult to identify bubbles with confidence before they burst. Here is an analysis of the factors contributing to this difficulty:

1. Lack of Consensus Definition: There is no universally agreed-upon definition of what constitutes a bubble. Bubbles are characterized by rapid and unsustainable asset price increases followed by a sharp decline. However, determining when price increases become excessive and unsustainable is subjective and can vary depending on market conditions and investor sentiment.

2. Complexity of Financial Markets: Financial markets are complex systems influenced by a multitude of factors, including economic fundamentals, investor behavior, market psychology, and policy decisions. These factors interact in intricate ways, making it challenging to isolate and accurately assess the underlying causes of price movements.

3. Hindsight Bias: Bubbles are often recognized in hindsight when it becomes clear that prices were significantly detached from fundamentals. However, this retrospective view can create a bias in our perception of bubbles, as it is easier to identify and analyze historical events than to predict future outcomes.

4. Information Asymmetry: Market participants have access to varying degrees of information, and some may possess more accurate or timely data than others. As a result, it can be challenging to differentiate between genuine price appreciation driven by fundamental factors and speculative excesses fueled by misinformation or incomplete information.

5. Herding Behavior and Feedback Loops: Bubbles are often fueled by herd mentality, where investors follow the crowd and push prices higher based on the belief that others will continue to buy. This collective behavior can create feedback loops, reinforcing price increases and making it difficult to gauge the sustainability of the trend.

6. Timing Uncertainty: Even if one identifies signs of a potential bubble, accurately predicting the timing of its burst is extremely challenging. Bubbles can persist for longer periods than expected, driven by factors such as investor psychology, liquidity, or external events. Attempting to time the market and exit before a bubble bursts carries its own risks and uncertainties.

It requires a comprehensive analysis of multiple factors and continuous monitoring of market conditions. While there may be indicators and warning signs, accurately spotting bubbles with confidence remains a formidable challenge for market participants and analysts alike.

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how does this discussion of minority and enlightenment relate to kant’s morality?

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The discussion of minority and enlightenment can be related to Immanuel Kant's morality through his concept of autonomy and the role of reason in moral decision-making.

Kant argued that human beings possess autonomy, which is the capacity to govern oneself according to rational principles.

believed that individuals should rely on reason rather than external authority or societal norms when determining moral actions. This idea aligns with the concept of enlightenment, which emphasizes the liberation of individuals from self-imposed immaturity and the ability to think independently.

In the context of minority, Kant referred to the state of immaturity in which individuals rely on the guidance of others instead of exercising their own reasoning abilities. He saw enlightenment as the process by which individuals escape this minority and embrace their own autonomy.

From a moral standpoint, Kant's morality is grounded in the principle of categorical imperative, which states that one should act according to principles that could be universally applied. In other words, moral actions are guided by reason and based on principles that hold true for all rational beings.

The connection between the discussion of minority, enlightenment, and Kant's morality lies in the idea that individuals should strive to overcome their minority and engage in moral decision-making based on reason and autonomy. By embracing enlightenment and developing their capacity for rational thinking, individuals can better align their actions with universal moral principles as prescribed by Kant's moral philosophy.

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a perfectly competitive market, market demand is given by and market supply is P = 6Q + 1 Each firm has short run marginal cost MC =120Q+1 and short run average total cost of ATC = 60Q + 3.75 / Q + 1 ATC for each firm is minimized at Q = 0.25 where inATC=$31.00 Assume firms are profit maximizers.

What is true about this market in the long run?

a)The firms will earn positive economic profit .

b) There will be no entry by new firms

c)Exisitng firms will shutdown temporarily

d) Existing firms will exit the industry

Answers

In the long run, existing firms will exit the industry due to the absence of positive economic profit.

In a perfectly competitive market, firms will enter or exit the industry in the long run based on the presence or absence of positive economic profit. Economic profit is calculated by subtracting the average total cost (ATC) from price (P). Since the ATC at the profit-minimizing quantity of 0.25 units is $31.00, and the market price is given by P = 6Q + 1, firms would earn a negative economic profit at this quantity. In the long run, firms aim to maximize profit, so existing firms will find it unprofitable to stay in the industry and will exit. As a result, the market will experience a decrease in the number of firms. Therefore, the correct answer is (d) Existing firms will exit the industry.

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Time left 1:23:43 On 1 April 2019, Lisa borrowed $30322 at an interest rate of 2.37% from her employer, Solarcity Pty Ltd. This was lower than that offered to the public. Lisa uses the entire amount to replace the loan on her main residence. No part of the expense would have been deductible to Lisa under the Tax Acts. Solarcity Pty Ltd is not entitled to claim input tax credit for GST purposes. Required: Calculate the Fringe Benefits Tax that Solarcity Pty Ltd is liable to pay on this loan fringe benefit for the 2020 FBT year. Only enter numbers & round to the nearest dollar Answer:

Answers

The fringe benefit tax that Solarcity Pty Ltd is liable to pay on the loan fringe benefit for the 2020 FBT year can be calculated as shown below .

Loan benefit amount = $30322 Fringe benefit tax rate for the 2020 FBT year = 47%Interest rate = 2.37%Discount rate = 1.88%The taxable value of the loan benefit can be determined using the formula;TV = (1 - R / D) x LWhere;TV = Taxable valueL = Loan benefit amountR = Interest rateD = Discount rate.

Therefore,TV = (1 - 0.0237 / 0.0188) x $30322= 0.189 x $30322= $5737.98 Fringe benefit tax payable = FBT rate x TV= 0.47 x $5737.98= $2695.31Rounding to the nearest dollar, the Fringe Benefits Tax that Solarcity Pty Ltd is liable to pay on this loan fringe benefit for the 2020 FBT year is $2695.

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To calculate the Fringe Benefits Tax (FBT) liability for Solarcity Pty Ltd on the loan fringe benefit provided to Lisa, we need to consider the FBT rate and the taxable value of the benefit. After calculation, the FBT rate for the 2020 FBT year is 47%.

Fringe Benefits Tax (FBT) is a tax imposed on employers for the benefits they provide to their employees or their employees' associates in place of or in addition to their salary or wages. These benefits are provided as part of an employment relationship and are separate from regular salary or wages.

The purpose of FBT is to ensure that the value of fringe benefits provided to employees is included in their overall taxable income and subject to taxation.

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