After my salary was increased by $16\%,$ it was $\$52{,}200$. What was my salary before the increase?.

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Answer 1

Your salary before the increase was $45,172.41. Salary is a the value that you will get after your hard work.

Salary is the total amount that you will get after you done your job. Salary can be paid monthly or depends on the rules your company. Salary is often paid with the money.

To find out your salary before the increase, you can use the formula:

original salary = new salary / (1 + (percent increase / 100))

Plugging in the given information, you get:

original salary = $52,200 / (1 + (16 / 100))

original salary = $52,200 / 1.16

original salary = $45,172.41

So your salary before the increase was $45,172.41.

Here is the clear question.

After my salary was increased by 16%, it was $52,200. What was my salary before the increase?

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Related Questions

Small businesses and​ not-for-profit organizations can obtain good marketing insights through​

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Small businesses and not-for-profit organizations can obtain good marketing insights through market research.

Market research is a valuable tool that small businesses and not-for-profit organizations can utilize to gain valuable marketing insights. By conducting market research, these entities can gather information about their target audience, consumer preferences, market trends, and competitive landscape. This data helps them make informed decisions regarding their marketing strategies, product development, pricing, and promotional activities.

Market research methods include surveys, focus groups, interviews, observations, and data analysis. It provides valuable insights into customer behavior, market demand, and opportunities for growth. By leveraging market research, small businesses and not-for-profit organizations can better understand their customers and make informed decisions to effectively reach their target audience and achieve their marketing objectives.

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strategy formulation is the sum total of the activities and choices required for the execution of a strategic plan. T/F?

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False. Strategy formulation refers to the process of developing a strategy or strategic plan. It involves analyzing the organization's internal and external environments, setting goals and objectives, and determining the best course of action to achieve them.

Strategy formulation focuses on making decisions about what the organization should do to achieve its desired outcomes. On the other hand, strategy execution or implementation refers to the activities and choices required to put the strategic plan into action. It involves translating the strategy into specific actions, allocating resources, aligning the organization's structure and processes, and managing the implementation process effectively. While strategy formulation is an important part of the strategic management process, it is distinct from strategy execution. Both components are necessary for successful strategic management, but they involve different activities and occur at different stages of the process.

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Each site has to have a router to route between subnets in an enterprise network, and if using a leased line, each site will also need this device to connect to the leased line. O IP System O Gateway O CSU/DSU o Bridge

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In an enterprise network, each site will require a router to facilitate the routing of traffic between subnets.

Why is this necessary?

This is necessary for ensuring that communication is possible between devices across different networks. In addition, if the enterprise network uses leased lines to connect its different sites, then each site will also require a CSU/DSU device to connect to the leased line. This device ensures that the signal transmitted over the leased line is in the correct format and meets the necessary standards.

Additionally, a gateway may also be necessary to allow communication between devices on different networks, while a bridge may be used to connect two similar network segments.

Overall, these devices are critical components of a robust and reliable enterprise network infrastructure.

Hence, the answer is CSU/DSU device.

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an income statement which shows the excess of sales over variable costs is referred to as a income statement. listen to the complete question need help? review these concept resources.

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An income statement that shows the excess of sales over variable costs is referred to as a "contribution margin income statement." This type of income statement highlights the contribution margin, which is the difference between sales revenue and variable costs. The contribution margin is important for businesses as it helps them understand how much money is available to cover fixed costs and contribute to profits.

To calculate a contribution margin income statement:

1. Start by listing your total sales revenue at the top of the income statement.
2. Subtract the variable costs associated with producing and selling the products or services (such as direct materials, direct labor, and variable overhead) from the sales revenue.
3. The resulting value is the contribution margin, which represents the amount of money available to cover fixed costs and generate profit.
4. Next, subtract the fixed costs (such as rent, salaries, and insurance) from the contribution margin.
5. The final value represents the net income or net loss for the period.

An income statement which shows the excess of sales over variable costs is referred to as a contribution margin income statement. This type of income statement is useful in determining the profitability of a business, as it separates the costs that are directly related to producing the goods or services sold (variable costs) from the other expenses such as rent, salaries, and marketing (fixed costs). By subtracting the variable costs from sales, the contribution margin can be calculated, which represents the amount of revenue that is available to cover fixed costs and contribute to profit.

Remember that a contribution margin income statement emphasizes the separation of variable and fixed costs, which is useful for decision-making and understanding a company's break-even point.

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when using group pricing, each group’s price should be set by what two-steps?

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When using group pricing, the pricing for each group should be determined through two steps: market segmentation and pricing strategy.

The first step in setting prices for different groups using group pricing is market segmentation. This process involves analyzing the target market and identifying distinct groups or segments with similar characteristics, needs, and preferences. Market segmentation helps businesses understand their customers better and tailor their marketing strategies and pricing approaches accordingly.

Once the market segments are identified, the second step is to develop a pricing strategy for each group. This strategy entails determining the price that each segment is willing to pay based on the perceived value of the product or service being offered. Factors to consider when setting prices include competition within each segment, demand elasticity, the unique benefits or features that appeal to each group, and the costs associated with delivering the product or service.

The goal of group pricing is to optimize revenue and profitability by maximizing the perceived value of the offering to each segment while remaining competitive in the market. This approach recognizes that different customer groups may have varying price sensitivities and willingness to pay, allowing businesses to capture the most value from each segment without alienating potential customers.

Overall, the two steps involved in setting prices for different groups using group pricing are market segmentation and pricing strategy. By effectively segmenting the target market and understanding the unique preferences and needs of each group, businesses can develop tailored pricing strategies that enhance customer satisfaction and drive financial success.

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the jobs argument, opponents of free trade often argue that trade with other countries destroys domestic jobs. true false

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The statement "Opponents of free trade often argue that trade with other countries destroys domestic jobs" is true because it reflects the argument made by those who are critical of free trade policies.

When countries engage in trade with each other, it can lead to job losses in certain domestic industries, particularly in sectors where the domestic country is not as competitive as its trading partners. Opponents of free trade often prioritize protecting domestic industries and jobs over opening up trade with other countries.

While there is debate about the overall impact of free trade on domestic jobs and industries, the argument that trade with other countries can destroy domestic jobs is commonly made by opponents of free trade.

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Consider these transactions: (Credit account titles are automatically indented when amount is entered. Do not indent manually.) (a) Sheridan Company accepted a Visa card in payment of a $225 lunch bill. The bank charges a 4% fee. What entry should Sheridan make? (b) Skysong, Inc. sold its accounts receivable of $69,700. What entry should Skysong make, given a service charge of 4% on the amount of receivables sold?

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(a) Sheridan should debit Cash for $216, debit Service Charge Expense for $9, and credit Sales Revenue for $225.

(b) Skysong should debit Cash for $66,912, debit Service Charge Expense for $2,788, and credit Accounts Receivable for $69,700.


(a) To record Sheridan's transaction:
1. Calculate the bank fee: $225 * 4% = $9
2. Calculate the cash received: $225 - $9 = $216
3. Make the journal entry:
  Debit Cash: $216
  Debit Service Charge Expense: $9
  Credit Sales Revenue: $225

(b) To record Skysong's transaction:
1. Calculate the service charge: $69,700 * 4% = $2,788
2. Calculate the cash received: $69,700 - $2,788 = $66,912
3. Make the journal entry:
  Debit Cash: $66,912
  Debit Service Charge Expense: $2,788
  Credit Accounts Receivable: $69,700

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With a deferred tax liability of 200 as of the end of the period palm tree identifies future tacable amounts of 880

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With a deferred tax liability of 200 as of the end of the period, Palm Tree has identified future taxable amounts of 880.

A deferred tax liability represents the amount of taxes that a company will have to pay in the future due to temporary differences between its financial accounting and tax accounting methods. In this case, Palm Tree has a deferred tax liability of 200 as of the end of the period, indicating that it has recognized an obligation to pay taxes in the future.

The identification of future taxable amounts of 880 suggests that Palm Tree has identified events or transactions that will result in taxable income in future periods. These future taxable amounts are likely related to temporary differences between the company's financial accounting income and its taxable income. Temporary differences arise when there is a timing discrepancy between when an item is recognized for financial accounting purposes and when it is recognized for tax purposes.

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Bouvous Corporation had the following information for 2015: Revenue $400,000 Operating expenses 350,000 Total assets 530,000 What is the return on investment? a. 75.5% b. 8.6% c. 9.4% d. 10.4%

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The return on investment is  9.4%. when Bouvous Corporation had the following information for 2015: Revenue $400,000 Operating expenses 350,000 Total assets 530,000 .

To calculate the return on investment (ROI), we need to divide the net income by the total assets. However, we are not given the net income directly, so we need to calculate it first by subtracting the operating expenses from the revenue.

Net income = Revenue - Operating expenses
Net income = $400,000 - $350,000
Net income = $50,000

Now that we have the net income, we can calculate the ROI:

ROI = Net income / Total assets
ROI = $50,000 / $530,000

Using a calculator, we get ROI = 9.43%. Therefore, the correct answer is c. 9.4%.

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when determining whether to invest in a taxable or nontaxable security, which of the following statements is correct?

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When determining whether to invest in a taxable or nontaxable security, the decision depends on an individual's tax situation and the potential tax implications of the investment.

Factors such as the individual's tax bracket, the expected rate of return on the investment, and the tax treatment of the specific security should be considered. Each option has its own advantages and disadvantages in terms of tax liabilities. It is important to evaluate the after-tax returns of both types of securities to make an informed investment decision. In the case of taxable securities, the income generated from these investments is subject to taxes. This means that the investor must consider the impact of taxes on their overall returns.

On the other hand, nontaxable securities, such as municipal bonds, are exempt from federal income taxes and may also be exempt from state and local taxes depending on the specific bond. This can make nontaxable securities attractive for investors in higher tax brackets.

Ultimately, the choice between taxable and nontaxable securities should be based on an individual's specific tax circumstances and financial goals. Consulting with a financial advisor or tax professional can provide personalized guidance on which option is most advantageous for a particular investor. It is important to carefully assess the tax implications and potential returns of each investment to make an informed decision.

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if we live in an m&m world with no taxes, but rd increases with leverage, will wacc also increase with leverage?

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In a world without taxes and perfect capital markets, the WACC is not influenced by a company's capital structure according to the M&M theory. This is because the theory assumes that capital structure does not affect a company's value.

However, the cost of debt (rd) does increase with leverage, as lenders demand a higher rate of return to compensate for the increased risk associated with higher levels of debt.

This increase in rd will result in a lower cost of equity (re), as investors will demand a lower rate of return in response to the lower risk of investing in a leveraged company.

As a result, while the WACC will remain constant in an M&M world with no taxes, the cost of debt and equity will move in opposite directions with changes in leverage.

Therefore, companies may choose to adjust their capital structure to achieve an optimal balance between the cost of debt and equity, based on their specific circumstances and financial goals.

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What is the preferred distance when speaking in a professional group setting

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The preferred distance when speaking in a professional group setting can vary depending on cultural norms and personal preferences. However, a general guideline is to maintain a distance of approximately 3 to 4 feet (about 1 to 1.2 meters) between individuals in order to strike a balance between being close enough to engage in conversation and maintaining a respectful personal space.

In a professional group setting, it is important to consider personal space boundaries and cultural norms to ensure effective communication and avoid making others feel uncomfortable. While there is no universally defined preferred distance, maintaining a distance of approximately 3 to 4 feet (about 1 to 1.2 meters) is commonly accepted. This distance allows for a comfortable conversation without invading personal space.

However, it is essential to be aware of cultural differences, as preferred distances may vary among different cultures. Some cultures may prefer a closer distance, while others may prefer a greater distance. It is always best to observe and adjust accordingly to the norms of the specific professional group setting and the individuals involved.

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1. like most economists, keynes studied the great depression by studying markets. True or false?

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The given statement "like most economists, keynes studied the great depression by studying markets "is True because  like most economists, Keynes studied the Great Depression by studying markets.

Keynes was a renowned economist who made significant contributions to the field of economics. He believed that the Great Depression was caused by a lack of demand in the market, and that the government should intervene to stimulate demand and boost economic growth.

Keynes conducted extensive research on the market and the economic conditions that led to the Great Depression, and he developed theories and policies aimed at addressing the root causes of the economic downturn. He also studied the impact of government policies on the market and the economy, and he argued that the government should play an active role in regulating the market and promoting economic stability.

Overall, Keynes' work on the Great Depression has had a significant impact on the field of economics, and his ideas and theories continue to be studied and debated by economists today.

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True. Like most economists, Keynes studied the great depression by studying markets.

During the 1930s, Keynes observed the unprecedented levels of unemployment and economic turmoil that had engulfed the United States and Europe. He realized that the classical economic theory, which stated that markets would naturally return to equilibrium and full employment, was failing to explain the current situation. Keynes believed that there was a need for government intervention in the economy to stimulate economic activity and employment.

Keynesian economics, which is the macroeconomic theory developed by Keynes, is based on the belief that governments can use fiscal and monetary policies to stabilize the economy and promote full employment. Keynes advocated for government spending during periods of economic downturns to stimulate aggregate demand and promote economic growth. He believed that if the government invested in public works projects and created jobs, it would stimulate consumer spending and revive the economy.

Therefore, Keynes and many other economists of his time studied the Great Depression by analyzing market trends, which led to the development of Keynesian economics and a new understanding of the role of government in the economy.

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Clariton Corporation has two divisions, Kissimmee and Grant, and evaluates management on the basis of return on investment. Kissimmee currently makes a part that it sells to both Grant and outsiders. Selected data follow.



Selling price to Grant $25


Variable cost 18


Fixed costs 80,000



Kissimmee is seeking an increase in its selling price to $28 per unit because of rising costs. Grant can obtain comparable units from an outside supplier for $26; however, if Grant uses the supplier, Kissimmee will have idle capacity because of an inability to increase sales to outsiders. From the perspective of Clariton Corporation:



a. Kissimmee should continue to do business with Grant and charge $28 per unit.


b. Kissimmee should continue to do business with Grant and charge $25 per unit.


c. Kissimmee should continue to do business with Grant because Kissimmeeâs variable cost per unit is only $18.


d. Grant should do business with the outside supplier.


e. Grant should split its business between Kissimmee and the outside supplier

Answers

From the perspective of Clariton Corporation, Grant should do business with the outside supplier, as it offers a lower price per unit compared to Kissimmee's proposed increase.

To determine the best course of action, we need to analyze the financial impact on Clariton Corporation.

If Kissimmee continues to do business with Grant and charges $28 per unit, Grant may choose to obtain comparable units from the outside supplier, priced at $26 per unit. In this case, Kissimmee would have idle capacity since it would be unable to increase sales to outsiders. This would result in a loss for Kissimmee, as it would not be able to cover its fixed costs of $80,000. Therefore, option a. Kissimmee should continue to do business with Grant and charge $28 per unit is not the best choice.

If Kissimmee continues to do business with Grant and charges $25 per unit, it would still be profitable as its variable cost per unit is only $18. However, Grant has the opportunity to save $1 per unit by choosing the outside supplier. From the perspective of Clariton Corporation, it would be more beneficial for Grant to do business with the outside supplier. This would result in cost savings for Grant, and although Kissimmee may have idle capacity, the overall profitability and return on investment for Clariton Corporation would be maximized. Therefore, option d. Grant should do business with the outside supplier is the most favorable choice.

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Expansionary phases of the business cycle do not last indefinitely because over time "wages will fall, returning the economy to LR equiblibrium" "wages will rise, returning the economy to LR equiblibrium "interest rates will fall, returning the economy to LR equibilirium" "exchange rates will fall, returning the economy to LR equibilirium"

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Expansionary phases of the business cycle are characterized by increasing economic activity and growth in the economy.

During an expansionary phase, wages tend to rise as demand for labor increases due to higher economic activity. However, this increase in wages eventually leads to higher costs for businesses, which can result in decreased profits and reduced demand for goods and services. As a result, businesses may begin to cut back on hiring and wages may begin to fall, eventually leading to a return to LR equilibrium.

Another factor that can lead to a return to LR equilibrium is rising interest rates. During an expansionary phase, central banks may lower interest rates to stimulate economic growth. However, as the economy grows and inflationary pressures increase, central banks may raise interest rates to curb inflation.

Higher interest rates can lead to decreased demand for loans and investment, which can slow down economic activity and return the economy to LR equilibrium.

Exchange rates can also play a role in returning the economy to LR equilibrium. During an expansionary phase, a country's currency may appreciate as investors flock to invest in the economy. However, as the currency appreciates, exports become more expensive and demand may decrease, leading to decreased economic activity. Eventually, the exchange rate may fall, leading to a return to LR equilibrium.

In summary, expansionary phases of the business cycle do not last indefinitely because various factors, including wages, interest rates, and exchange rates, can lead to a return to long-run equilibrium. Understanding these factors is important for businesses and policymakers to effectively manage the economy and promote sustainable growth.

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Explain what future and present value computations enable us to do by selecting all of the correct statements below. (Check all that apply). a. They enable us to measure or estimate the interest component of holding assets or debt over time. b. Present and future value computations allow us to better budget our finances so that liquidity is reduced. c. The future value computation is important when we want to know the value of present-day assets at a future date. d. The present value computation is important when we want to know the value of future-day assets today

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Future and present value computations enable us to measure or estimate the interest component of holding assets or debt over time, and they are important tools for understanding the value of assets at different points in time.

Both future and present value computations are financial calculations that help us understand the value of assets or debt at different time periods. The interest component of holding assets or debt over time can be measured or estimated using these computations. This allows us to assess the impact of interest rates and the time value of money on our financial decisions.

Future value computations are used when we want to determine the value of present-day assets at a future date. By applying appropriate interest rates and compounding periods, we can project the future worth of an investment or asset.

Present value computations, on the other hand, are important when we want to know the value of future-day assets today. They help us evaluate the current worth of future cash flows or determine the amount we should invest today to achieve a desired future value.

Both computations are essential for financial planning and decision-making. They assist in budgeting finances, evaluating investment opportunities, assessing loan terms, and making informed choices based on the time value of money.

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The risk-free rate of return is 2.5 percent, the inflation rate is 2.8 percent, and the market risk premium is 5.7 percent. What is the expected rate of return on a stock with a beta of 1.12?
A:9.12 %
B: 8.94 %
C: 8.88%
D: 8.76 %
E: 9.06 %

Answers

The expected rate of return on a stock with a beta of 1.12 is 9.06%.

The expected rate of return on a stock with a beta of 1.12 can be calculated using the capital asset pricing model (CAPM). The CAPM formula is:

Expected Return = Risk-Free Rate + Beta x (Market Risk Premium)

Plugging in the given values, we get:

Expected Return = 2.5% + 1.12 x 5.7% = 8.944%

However, we need to adjust for inflation using the Fisher effect, which is:

Expected Real Return = (1 + Expected Nominal Return) / (1 + Inflation Rate) - 1

Plugging in the values, we get:

Expected Real Return = (1 + 8.944%) / (1 + 2.8%) - 1 = 5.985%

Finally, we add the inflation rate back to the real return to get the nominal expected return:

Expected Nominal Return = Expected Real Return + Inflation Rate

Expected Nominal Return = 5.985% + 2.8% = 8.885%, which rounds up to 8.88%.

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3. which video, assignment, reading, concept, or activity had the greatest impact on you? explain why and how this will affect how you view the world and economics’ impact.

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The video that had the greatest impact on me was "The Story of Stuff" by Annie Leonard.

This video helped me understand the negative impact of consumerism on the environment and how our constant pursuit of material possessions is leading to the depletion of natural resources.

It made me realize that the economic system we live in prioritizes growth and profit over sustainability and the well-being of the planet.

This will affect how I view the world by making me more conscious of my own consumption habits and encouraging me to make more environmentally friendly choices.

It also made me realize the importance of advocating for policies that prioritize the environment and sustainable practices, even if it means sacrificing short-term economic gains.

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The exchange rate is .7639 U.S. dollars per Brazilian real. How many U.S. dollars are needed to purchase 7,000 Brazilian reals?a. $8,330.46 b. $9.163.50 c. $7,255.40 d. $5,347.30 e. $5,617.30

Answers

The answer is (d) $5,347.30. option d.
It's important to note that exchange rates are constantly fluctuating, so it's always a good idea to check the current rate before making any international transactions.

Additionally, there may be fees or other charges associated with currency exchange that should also be taken into account. To solve this problem, we need to multiply the amount of Brazilian reals by the exchange rate to find out how many U.S. dollars are needed to purchase them.
So, if the exchange rate is .7639 U.S. dollars per Brazilian real, we can set up the equation:
7,000 Brazilian reals x .7639 U.S. dollars/Brazilian real = X U.S. dollars
Simplifying this equation, we get:
5,347.30 U.S. dollars = X. option d.

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How can the management team at an organization uncover and prevent the fraud triangle component of pressure from influencing how employees behave within an organization?
A:The only way to prevent the pressure component of the fraud triangle from influencing business decisions is to pay employees above‐market rate salaries.
B: Making sure that employees do not succumb to pressure requires that employers reduce organizational pressures, such as the requirement to hit quarterly profit targets, and monitor employee spending habits.
C: Since there is a differentiation between employer issues and employee‐related issues, there is no reason why employers should realize the pressure component of the fraud triangle.
D: Pressure is inevitably a part of how business operates and is managed, so it is not worth management time to attempt to rectify this situation.

Answers

The option B is the correct approach to uncover and prevent the pressure component of the fraud triangle from influencing employee behavior within an organization.

Paying above-market rate salaries alone cannot guarantee ethical behavior from employees, and it is not a sustainable solution for the long term. Instead, employers should reduce organizational pressures that may push employees to engage in unethical behavior, such as unrealistic profit targets, excessive workloads, and inadequate resources.

Additionally, employers should also monitor employee spending habits and create a culture of transparency and ethical behavior within the organization. This can be achieved by providing training and support to employees on ethical decision-making, establishing reporting mechanisms for unethical behavior, and implementing strong controls and checks to prevent fraud.

Ignoring the pressure component of the fraud triangle can lead to severe consequences for the organization, including reputational damage, financial losses, and legal implications. Therefore, it is essential for management to prioritize uncovering and preventing the pressure component of the fraud triangle from influencing employee behavior through a comprehensive approach that addresses the root causes of unethical behavior in the organization.

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An unfavorable direct labor rate variance may be caused by all of the following except
a. None of these choices are correct. b. improper use of employees. c. improper scheduling of employees. d. shortage of skilled employees.

Answers

The correct answer is that an unfavorable direct labor rate variance may be caused by all of the following except "a. None of these choices are correct."

An unfavorable direct labor rate variance occurs when the actual labor rate paid to employees is higher than the standard labor rate expected for the given level of production. This variance reflects inefficiencies or deviations from the planned labor costs.

Among the provided choices, options b, c, and d - improper use of employees, improper scheduling of employees, and a shortage of skilled employees - can all contribute to an unfavorable direct labor rate variance.

Improper use of employees refers to situations where employees are not utilized effectively or efficiently, such as idle time, excessive breaks, or working on tasks unrelated to production. Improper scheduling of employees occurs when the allocation of work hours or shifts is not optimized, leading to overtime costs or inefficient labor utilization.

A shortage of skilled employees can also result in higher labor rates if temporary or less skilled workers are hired, requiring higher wages or training expenses.

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a fixed budget for 63,000 units of production shows $104,580 of sales, $77,490 of variable costs, and $29,030 of fixed costs. compute the flexible budget income if the company actually produces and sells 73,000 units

Answers

By evaluating this expression, you can determine the flexible budget income for the given scenario.
Flexible Budget Income = [($104,580 / 63,000) * 73,000] - [($77,490 / 63,000) * 73,000 + $29,030]

To compute the flexible budget income, we need to calculate the flexible budget sales and flexible budget costs for the actual level of production (73,000 units) and then subtract the total flexible budget costs from the flexible budget sales.

First, let's calculate the flexible budget sales:

Flexible Budget Sales = (Fixed Budget Sales / Fixed Budget Units) * Actual Units

Flexible Budget Sales = ($104,580 / 63,000) * 73,000

Next, we'll calculate the flexible budget costs:

Flexible Budget Variable Costs = (Fixed Budget Variable Costs / Fixed Budget Units) * Actual Units

Flexible Budget Variable Costs = ($77,490 / 63,000) * 73,000

Flexible Budget Fixed Costs remain the same as the fixed costs do not change with the level of production.

Now, we can calculate the Flexible Budget Income:

Flexible Budget Income = Flexible Budget Sales - (Flexible Budget Variable Costs + Flexible Budget Fixed Costs)

Substituting the values calculated above:

Flexible Budget Income = [($104,580 / 63,000) * 73,000] - [($77,490 / 63,000) * 73,000 + $29,030]

By evaluating this expression, you can determine the flexible budget income for the given scenario.


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What to do when pua unemployment benefits are exhausted?

Answers

PUA is the abbreviation of Pandemic Unemployment Assistance. These benefits are extended to individuals who are not eligible for regular unemployment benefits such as self-employed individuals, gig workers, and independent contractors.In some cases, PUA unemployment benefits can get exhausted before the individual secures another job.

Below are the things that can be done in such a scenario:Apply for the Extended Benefits (EB) Program.The Extended Benefits program provides unemployment insurance for eligible claimants who have exhausted both the regular and Pandemic Emergency Unemployment Compensation (PEUC) programs.

Individuals who have not returned to work after exhausting their Pandemic Unemployment Assistance and PEUC benefits should be automatically transitioned into the Extended Benefits program. However, if the claimant is not automatically transitioned into this program, they should contact their local unemployment office and submit an application for the Extended Benefits program. You may check your state’s unemployment office website for more information on the Extended Benefits program.

Apply for State-Extended Benefits (SEB)If you have exhausted your PUA and PEUC benefits and have been unable to secure employment, you may be eligible for the State-Extended Benefits program. The State-Extended Benefits program offers additional weeks of benefits to eligible claimants who have exhausted their regular unemployment benefits, PEUC, and Extended Benefits.

Apply for other assistance programs. If you have exhausted your PUA benefits and cannot find employment, you can apply for other government assistance programs such as food stamps (SNAP), Medicaid, and housing assistance. Contact your state’s human services department for more information on these programs.Apply for jobsIn some cases, the individual may have to consider changing their career path or taking on a temporary job while searching for a permanent job. Check job boards and local employment offices for job opportunities and apply for them.

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The gain from a project is equally likely to have any value between -$0.15 million and +$0.85 million. What is the 99% value at risk?

Answers

99% value at risk (VaR) is a measure of the potential loss that could occur in the worst 1% of scenarios.

To calculate the 99% VaR for the gain from this project, we need to find the value that is exceeded with only a 1% chance. We can use the formula VaR = -mean + Z * standard deviation, where mean is the expected value of the gain, Z is the standard normal distribution value corresponding to the desired confidence level (in this case, 99%), and standard deviation is the standard deviation of the gain.

First, we need to find the mean and standard deviation of the gain. Since the gain is equally likely to have any value between -$0.15 million and +$0.85 million, the mean is the midpoint of this range, which is $0.35 million. The range of the gain is $1.00 million ($0.85 million - -$0.15 million), so the standard deviation is $1.00 million / 4, which is $0.25 million.

Next, we need to find the Z-value for the 99% confidence level. This is the number of standard deviations away from the mean that corresponds to the 99th percentile of the standard normal distribution. Using a standard normal distribution table or calculator, we find that the Z-value for a 99% confidence level is 2.33.

Finally, we can plug in the values into the VaR formula:

VaR = -mean + Z * standard deviation
VaR = -$0.35 million + 2.33 * $0.25 million
VaR = -$0.35 million + $0.5825 million
VaR = $0.2325 million

Therefore, the 99% VaR for the gain from this project is $0.2325 million. This means that there is only a 1% chance that the gain will be less than this amount, and a 99% chance that it will be higher.

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Clint is a director of Barton, Inc. As a director, with respect to the corporation, Clint isa. a fiduciary.b. a forum.c. a proxy.d. a quorum.

Answers

Clint, as a director of Barton, Inc., is considered a fiduciary. Option A

This means that he has a legal and ethical duty to act in the best interests of the corporation and its shareholders. This duty requires Clint to exercise a high degree of care, loyalty, and good faith when making decisions on behalf of the corporation.

As a fiduciary, Clint is expected to act with integrity and avoid conflicts of interest. He must put the interests of the corporation and its shareholders ahead of his own personal interests. Additionally, he must ensure that the corporation complies with all relevant laws and regulations.

Clint is not a forum, which is a platform for discussing issues and sharing information. He is also not a proxy, which is a person authorized to act on behalf of another person or entity. Finally, Clint is not a quorum, which refers to the minimum number of members required to be present at a meeting in order to conduct business.

In summary, as a director of Barton, Inc., Clint is a fiduciary who has a legal and ethical duty to act in the best interests of the corporation and its shareholders. Option A is correct.

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a firm's implicit cost is defined as the ___________ cost of nonpurchased inputs, such as the entrepreneur's time and personal funds.

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A firm's implicit cost is defined as the opportunity cost of nonpurchase inputs, such as the entrepreneur's time and personal funds. Opportunity cost refers to the value of the next best alternative that is forgone in order to pursue a certain action or decision. In the case of a firm's implicit cost, it is the value of the resources used for the business that could have been used for other purposes, such as leisure or investing in a different venture.

Implicit costs are not recorded in the accounting books of the firm because they are not actual out-of-pocket expenses. However, they are important to consider when assessing the true cost of running a business. For example, if an entrepreneur decides to start a business and devotes their time to it instead of pursuing a full-time job, the implicit cost of their time would be the salary they could have earned from the job they didn't take. Similarly, if the entrepreneur invests their personal funds into the business instead of other investment opportunities, the implicit cost would be the potential returns they could have earned from those other investments.

Overall, implicit costs represent the opportunity cost of resources used in a business that could have been used in other ways. While they may not be immediately visible in a firm's accounting statements, they play a significant role in determining the true cost of running a business.

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Parents may not disinherit their minor children without good reason. a. True b. False

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The statement that Parents may not disinherit their minor children without good reason is true. In most jurisdictions, parents are not allowed to disinherit their minor children without a valid reason. This is because minors are considered vulnerable and dependent on their parents for their well-being and future financial security.

Disinheriting a minor child can have serious consequences for their future, such as depriving them of their inheritance, reducing their opportunities for education, and limiting their ability to build wealth.

However, there are circumstances where a parent may have a valid reason for disinheriting a minor child, such as if the child has committed a serious crime or engaged in conduct that is harmful to the family. In such cases, the parent may need to provide evidence of the child's misconduct to justify the disinheritance.

It is important for parents to understand the laws in their jurisdiction regarding disinheriting minor children and seek legal advice if they have any doubts. Disinheriting a minor child without a valid reason may not only have legal consequences but also strain family relationships and cause emotional harm to the child.

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In general, this statement is true. Most jurisdictions have laws that protect the rights of minor children to receive inheritance from their parents' estates, unless there is a valid legal reason to disinherit them.

These legal reasons may vary depending on the jurisdiction, but generally include cases of abandonment, neglect, or abuse of the child by the parent. Additionally, parents may also have the right to disinherit a child through a valid will or other estate planning documents, but this process typically requires the parent to provide a clear and specific reason for doing so.

However, it's important to note that inheritance laws and regulations may differ between jurisdictions, so it's always a good idea to consult with a legal expert in your specific area for guidance on this issue.

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A company is considering a $161,000 investment in machinery with the following net cash flows. the company requires a 10% return on its investments.

year 1 year 2 year 3 year 4 year 5
net cash flow $10,000 $27,000 $53,000 $40,000 $108,000

required:
a. compute the net present value of this investment.
b. should the machinery be purchased?

Answers

The net present value (NPV) of the investment in machinery is positive, indicating that the project is financially favorable. Therefore, the machinery should be purchased.

To compute the net present value (NPV) of the investment, we need to discount the net cash flows at the company's required rate of return, which is 10%. Using the formula for calculating NPV:

NPV = Cash Flow Year 1 / (1 + r)^1 + Cash Flow Year 2 / (1 + r)^2 + ... + Cash Flow Year 5 / (1 + r)^5 - Initial Investment

Where r is the required rate of return, and the initial investment is $161,000.

Calculating the NPV:

NPV = $10,000 / (1 + 0.10) ^1 + $27,000 / (1 + 0.10)^2 + $53,000 / (1 + 0.10) ^3 + $40,000 / (1 + 0.10)^4 + $108,000 / (1 + 0.10) ^5 - $161,000

Simplifying the calculation, we find:

NPV = $10,000 / 1.10 + $27,000 / 1.10^2 + $53,000 / 1.10^3 + $40,000 / 1.10^4 + $108,000 / 1.10^5 - $161,000

After performing the calculations, if the resulting NPV is positive, it means that the investment is expected to generate a return higher than the required rate of return, and therefore, it is financially favorable. In this case, if the NPV is positive, the machinery should be purchased. Conversely, if the NPV is negative, it would indicate that the investment is not expected to meet the required rate of return, and purchasing the machinery would not be advisable.

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Which of the following concentration strategies involves entering a new retail chain to sell an existing product?
a. Vertical integration
b. Related diversification
c. Product development
d. Market penetration
e. Market development

Answers

The correct option is Option e: Market development. Market development is a concentration strategy that involves entering new markets with existing products.

In this case, entering a new retail chain to sell an existing product aligns with the market development strategy. The goal is to expand the reach of the product by entering new retail channels and capturing additional customer segments.

This strategy focuses on finding new distribution channels or geographic markets to increase sales and market share. By leveraging existing products in new markets, companies can capitalize on their brand reputation and product expertise to generate growth opportunities.

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A. the check provides a record of the payment
B. before signing the check, the purchasing agent reviews the invoice or other evidence supporting the payment
C. the check must be signed by an authorized official
D. all of the above statements are correct

Answers

The correct answer is D - all of the above statements are correct. The check provides a record of the payment and the rest are true.

A check serves as a record of payment, providing documentation of the transaction. It includes information such as the payee's name, the payment amount, and the date. This record is useful for both the payer and the recipient to track and reconcile their financial transactions. Before signing a check, it is standard practice for the purchasing agent or authorized personnel to review the supporting documentation, such as an invoice or other evidence of the payment. This review ensures that the payment aligns with the goods or services received, verifying the accuracy of the transaction and preventing unauthorized or fraudulent payments. Additionally, the check must be signed by an authorized official, typically someone designated by the organization to approve and authorize payments. The authorized signature validates the legitimacy of the payment and ensures that it has been properly authorized by the appropriate personnel.

By combining these practices, organizations establish internal controls to safeguard their financial transactions and maintain accurate records. The check serves as both proof of payment and a tool for financial accountability. The review of supporting documentation and the requirement of an authorized signature provide checks and balances to prevent errors, fraud, or unauthorized payments. These practices contribute to sound financial management and help maintain the integrity of the organization's financial transactions.

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