36 full-time employees are at this company.
Explanation:
2x + 10 is for interns
9x is a full time
2x + 10/9x = 1/2 (new ratio)
solve for x = 4
plug x = 4 for 9x to see how many full-time employees are there.
Answer: 36
In mathematics, a Ratio is an assessment of two or more numbers that suggests their sizes on the subject of each difference.
A ratio compares two quantities via department, with the dividend or range being divided termed the antecedent and the divisor or range this is dividing termed the ensuing.
An instance of an employee is an individual who is employed by McDonald's and is paid a certain amount of money for each hour worked. A person who works inside the service of some other (the employer) is subject to a contract for hire, where the employer controls the conditions of work performance.
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Return on investment (ROI) is often expressed as follows:Income / investment = Income / Revenues × Revenues / InvestmentRequirement 1. What advantages are there in the breakdown of the computation into two separate components? Select from the options below. (Complete all input fields.)a. The importance of investment turnover as a key to income is stressed.b. The importance of revenues is explicitly recognized.c. The important components are expressed as ratios or percentages instead of dollar figures.d. The breakdown stresses the possibility of trading off investment turnover for income as a percentage of revenues.
The breakdown of the Return on investment (ROI) computation into two separate components provides businesses with a more nuanced and comprehensive understanding of their ROI.
The breakdown of the computation of Return on Investment (ROI) into two separate components has several advantages. Firstly, it stresses the importance of revenues, which is a crucial factor in determining the overall ROI. By explicitly recognizing the importance of revenues, the breakdown helps to focus attention on the need to increase revenues as a means of improving ROI.
Secondly, by expressing the important components as ratios or percentages instead of dollar figures, the breakdown allows for easy comparison of ROI across different investments, regardless of their size. This is particularly useful for businesses that may have investments of different sizes, as it enables them to make more informed decisions about which investments to prioritize.
Thirdly, the breakdown emphasizes the importance of investment turnover as a key to income. By separating investment from revenues, the breakdown highlights the need for businesses to focus on improving investment turnover in order to generate higher income and improve ROI.
Finally, the breakdown stresses the possibility of trading off investment turnover for income as a percentage of revenues. This can be useful in situations where businesses may need to prioritize one component over the other, depending on their specific goals and objectives.
Overall, it helps in enabling them to make more informed decisions about how to optimize their investments for maximum returns.
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true or false firms in the same industry will have the same inventory turns.
False, firms in the same industry may have different inventory turns due to various factors such as differences in production efficiency, sales volume, and supply chain management.
Inventory turns, also known as inventory turnover, is a financial ratio that measures the number of times a company sells and replaces its inventory within a certain period. A high inventory turnover ratio indicates that a company is selling its inventory quickly and efficiently.
In the same industry, two firms may have different inventory turnover ratios due to differences in their production processes. For example, a company that uses a just-in-time inventory system may have a higher inventory turnover ratio than a company that uses a traditional inventory management system.
Supply chain management can also affect inventory turns. For example, a company that has strong relationships with its suppliers and can quickly restock its inventory may have a higher inventory turnover ratio than a company that experiences frequent supply chain disruptions.
Therefore, firms in the same industry may have different inventory turns due to various factors that impact their production efficiency, sales volume, and supply chain management.
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Using a contribution margin format income statement to measure the magnitude of operating leverage Nagano Company, a merchandising firm, reported the following operating results: Income Statements Sales revenue (2,400 units × $100) Cost of goods sold (2,400 units × $65) Gross margin Sales commissions (10% of sales revenue) Administrative salaries expense Advertising expense Depreciation expense Shipping and handling expense (2,400 units × $1) Net income 240,000 (156,000 84,000 (24,000) 15,000 (20,000) (10,600) (2,400) $ 12,000 Required a. Reconstruct the income statement using the contribution margin format. b. Calculate the magnitude of operating leverage. e. Use the measure of operating leverage to determine the amount of net income that Nagano will earn if sales revenue increases by 10 percent.
If sales revenue increases by 10%, Nagano will earn an additional $4,800 in net income.
a. Reconstructed income statement using the contribution margin format:
Sales revenue (2,400 units × $100) $240,000
Variable expenses:
Cost of goods sold (2,400 units × $65) $156,000
Sales commissions (10% of sales revenue) $24,000
Shipping and handling expense (2,400 units × $1) $2,400
Contribution margin $57,600
Fixed expenses:
Administrative salaries expense $15,000
Advertising expense $20,000
Depreciation expense $10,600
Net income $12,000
b. Magnitude of operating leverage is calculated by dividing contribution margin by net income. In this case, the contribution margin is $57,600 and the net income is $12,000, so the magnitude of operating leverage is $57,600 / $12,000 = 4.8.
c. To determine the amount of net income that Nagano will earn if sales revenue increases by 10 percent, we can use the formula:
ΔNet income = Magnitude of operating leverage × ΔSales revenue / Total revenue.
In this case, ΔSales revenue is 10% of $240,000, which is $24,000, and Total revenue is $240,000.
So, ΔNet income = 4.8 × $24,000 / $240,000 = $4,800. Therefore, if sales revenue increases by 10%, Nagano will earn an additional $4,800 in net income.
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Maintaining ___________ is generally the most reasonable response to claims made by marketers and advertisers.
Maintaining skepticism is generally the most reasonable response to claims made by marketers and advertisers.
In today’s market, companies are constantly vying for our attention and trying to convince us to buy their products or services. Unfortunately, many of these claims are exaggerated, misleading, or outright false. As a result, it is important to take every promise made by a company with a grain of salt and to do our own research before making any decisions.
It is also important to be aware of any potential bias that the company may have in trying to sell its product. For example, a company may be willing to make exaggerated promises or ignore any potential risks associated with their product in order to make it more appealing. It is also wise to be aware of any potential conflicts of interest that a company may have when making a claim.
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Comparing the hiring processes used at Goldman Sachs before and after the changes implemented under Dane Holmes, which process better met the standards of distributive justice? Why?
Distributive justice refers to the fair distribution of resources, opportunities, and outcomes. In the context of hiring processes, it typically involves treating candidates fairly, providing equal opportunities, and making decisions based on merit rather than bias or discrimination.
To determine which process better met the standards of distributive justice, one would need to examine the specific changes made under Dane Holmes and evaluate how they addressed potential biases, improved transparency, promoted diversity and inclusion, and ensured equal opportunities for all candidates. This would require access to relevant data, policies, and information about the impact of the changes on the hiring outcomes.
It is recommended to refer to official sources, reports, or studies that provide insights into the specific changes made at Goldman Sachs and their effects on the hiring processes to assess their alignment with distributive justice standards.
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Currently, the market projects that HG Inc will have earnings and dividends in the coming year given by EPS1 = $3.00 Div1 = $1.50 Given these projections, the expected return on equity for HG Inc is rE= 7.5% and price per share P0 = $46.15. You advise HG inc to cut its dividend to Div1=$1.00. Assuming the expected return on equity rE and the return on investment rROI remain unchanged under this new policy, the new price per share for HG stock is closest toa. $54.55b. $30.77c. $75.25d. $81.82
new price per share for HG Inc stock is closest to $30.77, which is option (b).
To find the new price per share for HG Inc stock, we need to use the dividend discount model (DDM) formula:
P0 = Div1 / (rE - g)
where P0 is the current price per share, Div1 is the expected dividend for the next period, rE is the expected return on equity, and g is the expected growth rate of dividends.
In the first scenario, where Div1 = $1.50, we have:
P0 = $46.15
Div1 = $1.50
rE = 7.5%
Using these values, we can solve for g:
g = (Div1 / P0) + rE
g = ($1.50 / $46.15) + 7.5%
g = 10.86%
Now we can use the DDM formula to find the current price per share:
P0 = $1.50 / (7.5% - 10.86%)
P0 = -$31.58 (negative result)This negative result is not meaningful and indicates that the current dividend policy is not sustainable. Therefore, it makes sense to advise HG Inc to cut its dividend to $1.00.
In the second scenario, where Div1 = $1.00, we have:
P0 = ?
Div1 = $1.00
rE = 7.5%
g = 10.86%
Using these values, we can solve for the new price per share:
P0 = $1.00 / (7.5% - 10.86%)
P0 = -$23.08 (negative result)
Again, this negative result indicates that the new dividend policy is not sustainable. Therefore, we need to find a new value for g that will make the DDM formula work.
Assuming that the expected return on equity and the return on investment remain unchanged, we can use the following formula to find the new growth rate:
g = rE x (1 - Div1 / EPS1)
where EPS1 is the expected earnings per share for the next period.
In the first scenario, we have:
EPS1 = $3.00
Div1 = $1.50
rE = 7.5%
Using these values, we can solve for the current growth rate:
g = 7.5% x (1 - $1.50 / $3.00)
g = 25.00%
In the second scenario, we have:
EPS1 = $3.00
Div1 = $1.00
rE = 7.5%
Using these values, we can solve for the new growth rate:
g = 7.5% x (1 - $1.00 / $3.00)
g = 50.00%
Now we can use the DDM formula again to find the new price per share:
P0 = $1.00 / (7.5% - 50.00%)
P0 = $30.77
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Gomez Company reported net income of $55,525 and net sales of $525,000 for the current year. (a) Compute Gomez's profit margin. (b) Assuming Cruz (a competitor) has a profit margin of 15%, which company is generating more profit on each dollar of sales?
Gomez's profit margin is 10.52% and the Cruz Company has a higher profit margin because the profit margin of the of Cruz's is more than the Gomez Company,
(a) Gomez's profit margin can be computed by dividing net income by net sales. In this case, the profit margin for Gomez Company is:
Gomez's profit margin= ($55,525 *100 / $525,000)
which equals approximately 10.52%.
(b) Cruz Company has a higher profit margin of 15% compared to Gomez's 10.52%, meaning Cruz is generating more profit on each dollar of sales.
To further explain, the profit margin is an important financial metric that indicates the percentage of revenue left after accounting for all expenses. It provides insight into how efficiently a company is operating and generating profit relative to its sales. Comparing the profit margins of Gomez Company and Cruz Company, it is evident that Cruz Company is more efficient in generating profit from its sales.
Despite having a lower profit margin, Gomez Company might still have potential for growth or other factors that make it a viable competitor. However, solely based on the profit margin, Cruz Company is currently generating more profit for each dollar of sales compared to Gomez Company.
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A post-audit involves comparing actual results with forecasted results and is an important step in the capital budgeting process that is sometimes overlooked. Post-audits are generally a waste of time, because it is nearly impossible for actual results to match forecasted results.
While it is true that actual results may not always match forecasted results, post-audits are still an important step in the capital budgeting process. It may be challenging to achieve perfect alignment between actual and forecasted results, post-audits are still an important part of the capital budgeting process.
A post-audit allows companies to evaluate the accuracy of their forecasting methods, identify any errors or biases, and adjust their decision-making processes accordingly. Even if the results are not exactly what was predicted, a post-audit can still provide valuable insights into the performance of a project or investment.
Moreover, post-audits can help companies learn from their mistakes and avoid making similar errors in the future. By analyzing the factors that led to differences between actual and forecasted results, companies can refine their forecasting models and make better-informed decisions in the future.
In addition, post-audits can also help companies evaluate the effectiveness of their management and control systems. By comparing actual results with expected outcomes, companies can identify areas of weakness or inefficiency and take corrective actions.
Overall, while it may be challenging to achieve perfect alignment between actual and forecasted results, post-audits are still an important part of the capital budgeting process. They allow companies to learn from their experiences and improve their decision-making processes, ultimately leading to better business outcomes.
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Lucky Company borrowed $1,000,000 on December 31, 2017, by issuing $1,000,000, 8% mortgage note payable. The terms call for annual installment payments of $150,000 on December 31. Prepare the journal entries to record the mortgage loan and the first two installment payments.
The journal entry for the first installment payment would be:
Debit: Mortgage note payable $120,000
Debit: Interest expense $80,000
Credit: Cash/Bank account $150,000
The journal entry for the second installment payment would be:
Debit: Mortgage note payable $127,820
Debit: Interest expense $72,180
Credit: Cash/Bank account $150,000
To record the mortgage loan, Lucky Company would create a journal entry that includes a debit to cash or the company's bank account for $1,000,000, which represents the amount of money borrowed. The corresponding credit would be to the mortgage note payable account for $1,000,000, which represents the liability the company has taken on to repay the loan.
The journal entry for the mortgage loan would be:
Debit: Cash/Bank account $1,000,000
Credit: Mortgage note payable $1,000,000
Over time, the company will need to make payments on the loan. In this case, the terms of the loan call for annual installment payments of $150,000 on December 31.
To record the first installment payment, Lucky Company would create a journal entry that includes a debit to the mortgage note payable account for $120,000, which represents the amount of the payment that goes towards the principal of the loan, and a debit to the interest expense account for $80,000, which represents the amount of interest owed on the loan for the year.
The corresponding credit would be to the cash or bank account for $150,000, which represents the amount of money paid towards the loan.
To record the second installment payment, the journal entry would be similar to the first.
The company would debit the mortgage note payable account for $127,820 (which is the amount of the payment that goes towards the principal of the loan, and includes the interest on the remaining balance), and debit the interest expense account for $72,180 (which represents the amount of interest owed on the remaining balance for the year).
The corresponding credit would be to the cash or bank account for $150,000, which represents the amount of money paid towards the loan.
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C3-1 Analyzing, Recording, and Posting, and Preparing and Evaluating Financial Statements (Chapters 1-3) [LO 3-2, LO 3-3, LO 3-4, LO 3-5]
[The following information applies to the questions displayed below.]
Vanishing Games Corporation (VGC) operates a massively multiplayer online game, charging players a monthly subscription of $13. At the start of January 2015, VGC’s income statement accounts had zero balances and its balance sheet account balances were as follows:
Cash $ 2,230,000 Accounts Receivable 211,000 Supplies 16,700 Equipment 928,000 Land 1,630,000 Building 425,000 Accounts Payable 134,000 Unearned Revenue 132,000 Notes Payable (due 2018) 123,000 Common Stock 2,900,000 Retained Earnings 2,151,700 In addition to the above accounts, VGC’s chart of accounts includes the following: Service Revenue, Salaries and Wages Expense, Advertising Expense, and Utilities Expense.
[3. Create T-accounts, enter the beginning balances shown above, post the journal entries to the T-accounts, and show the unadjusted ending balances in the T-accounts.]
***EDIT*** HERE ARE THE TRANSACTIONS...
1.
Record the receipt of $71,750 cash from customers for subscriptions that had already been earned in 2014.
2.
Record the receipt of $220,000 cash from Electronic Arts, Inc. for service earned in the month of January.
3.
Record the purchase of 10 new computer servers for $40,800; paid $15,600 as cash and signed a three year note for the remainder owed.
4.
Record the payment of $15,100 for an Internet advertisement run on Yahoo! in January.
5.
Record the sale of 13,800 monthly subscriptions at $13 each for services provided during January. Half was collected in cash and half was sold on account.
6.
Record the receipt of an electric and gas utility bill for $5,750 for January utility services. The bill will be paid in February.
7.
Record the payment of $370,000 in wages to employees for work done in January.
8.
Record the purchase $4,500 of supplies on account.
9.
Record the payment of $4,500 cash to the supplier in (h).
In terms of analyzing, recording, and posting transactions, it is important to understand the basics of accounting and the different accounts that are used. The entry would be a debit to supplies and a credit to accounts payable.
To prepare financial statements, it is necessary to record all transactions accurately and in a timely manner. Once all transactions have been recorded, the financial statements can be prepared. In terms of evaluating financial statements, this involves analyzing the financial statements to understand the financial health of a company. This can include analyzing the income statement to determine if the company is profitable, or analyzing the balance sheet to understand the company's assets and liabilities.
Now, to answer the specific question at hand:
To record the purchase of $4,500 of supplies on account, the entry would be:
Debit: Supplies - $4,500
Credit: Accounts Payable - $4,500
To record the payment of $4,500 cash to the supplier, the entry would be:
Debit: Accounts Payable - $4,500
Credit: Cash - $4,500
These entries would ensure that the transactions are recorded accurately and in accordance with generally accepted accounting principles.
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Jill owns her own business and is looking for a financial institution to loan her money to expand her business to an additional location. Which financial institution is focused on helping businesses expand?.
A financial institution that is focused on helping businesses expand is typically a commercial bank.
Commercial banks offer various financial services and products tailored to the needs of businesses, including loans for expansion, working capital, equipment financing, and more.
They have specialized departments and teams dedicated to assisting businesses with their financial needs and providing guidance throughout the expansion process. Other financial institutions, such as credit unions or specialized business lenders, may also offer business expansion loans, but commercial banks are generally the primary institutions that businesses approach for financing their growth and expansion plans.
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1. inamori's companies were successful as a result of his:
Inamori's companies were successful as a result of his leadership skills, strategic planning, and dedication to innovation and quality. He believed in the importance of putting employees first and creating a strong company culture.
Additionally, Inamori emphasized the need for ethical business practices and long-term thinking, which allowed his companies to build a strong reputation and sustainable success. Firstly, Imamura had a strong vision for his companies, which he communicated effectively to his employees. He believed in creating a company culture that valued integrity, hard work, and a focus on customer satisfaction. This vision was instilled in his employees, who shared his values and worked hard to achieve the company's goals. Secondly, Inamori believed in continuous improvement and innovation. He was not afraid to take risks and invest in new technologies and products that could help his companies stay ahead of the competition.
For example, Kyocera Corporation was one of the first companies to develop ceramic products, which became a major source of revenue for the company.
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Please help
2) Write a ratio in three different forms.
3) Write it in simplest form.
4) Write two equivalent ratios.
5) Explain if in step 4 a proportion forms or not.
6) Use the definition of each (ratio, proportion) to show the difference
a) 2:3
b) 2/3
c) 2 out of 3
To simplify the ratio, we need to find the greatest common divisor (GCD) of the numbers in the ratio and divide both parts by it.The GCD of 2 and 3 is 1, so we divide both parts by 1:
2/1 : 3/1
Simplified ratio: 2:3
Two equivalent ratios can be obtained by multiplying or dividing both parts of the ratio by the same non-zero number.For example:
2:3 is equivalent to:
4:6 (multiplying both parts by 2)
1:1.5 (dividing both parts by 2)
In step 4, a proportion does not form. A proportion is a statement that two ratios are equal. In this case, we are simply finding equivalent ratios by multiplying or dividing both parts of the original ratio.A ratio is a comparison of two quantities, usually expressed as a fraction or using a colon. It represents the relationship or relative size between the two quantities.A proportion, on the other hand, is an equation that states two ratios are equal. It shows the equivalence of two ratios and implies that the same relationship holds true for the corresponding values in each ratio. Proportions are used to solve problems involving ratios and are particularly useful in solving for unknown quantities.
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Expensive Coca-Cola television ads primarily are a type of _____.a.informative advertisingb.comparative advertisingc.persuasive advertisingd.reminder advertisinge.institutional advertising
The type of advertising that expensive Coca-Cola television ads primarily fall under is persuasive advertising. Persuasive advertising aims to convince consumers to purchase a particular product or service by appealing to their emotions, desires, and needs. Coca-Cola's television ads often feature heartwarming or humorous stories that evoke positive emotions and associations with the brand. These ads also highlight the unique characteristics of Coca-Cola, such as its taste, refreshing qualities, and iconic branding.
Through persuasive advertising, Coca-Cola seeks to persuade consumers to choose their product over others and build brand loyalty. While some of Coca-Cola's ads may also contain elements of informative or institutional advertising, their primary goal is to persuade consumers to buy their product, making them primarily a type of persuasive advertising.
Coca-Cola's expensive television ads primarily fall under the category of persuasive advertising. These ads are designed to influence consumers' emotions and preferences, encouraging them to purchase the product. They often use storytelling, memorable visuals, and music to create a strong emotional connection with the audience.
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Consider two identical bonds issued by a company, expect that bond A is callable and bond B is not. Which bond has a higher YTM? Bond A Bond B Impossible to say
Bond A, which is callable, may have a higher yield to maturity (YTM) compared to bond B, which is not callable. This is because the issuer of bond A has the option to call back the bond before its maturity date, which means that investors may receive their principal back earlier than expected and may miss out on potential interest payments. In order to compensate for this risk, bond A may offer a higher YTM.
It ultimately depends on various factors such as the specific terms and conditions of the bonds, the prevailing market conditions, and the creditworthiness of the issuer. For example, if interest rates have fallen since the issuance of the bonds, the issuer may be more likely to call back bond A and issue new bonds with a lower coupon rate, which would lower the YTM for investors. On the other hand, if the issuer's creditworthiness has deteriorated, bond A may have a lower YTM to reflect the increased risk of default. Therefore, without more information, it is impossible to definitively say which bond has a higher YTM.
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builtrite common stock just paid a dividend of $3.00, and dividends are expected to grow at a 9 nnual rate. if you require a 12 nnual return, what do you believe is a fair price for builtrite stock?
The fair price of Builtrite common stock, based on the given information, is $100.
To calculate the fair price of Builtrite common stock, we need to use the dividend discount model, which states that the current price of a stock is equal to the sum of all future expected dividend payments, discounted back to their present value using the required rate of return.
Given that the stock just paid a dividend of $3.00, and dividends are expected to grow at a 9% annual rate, we can use the following formula to calculate the fair price of the stock:
P = D / (r - g)
Where P is the fair price of the stock, D is the most recent dividend, r is the required rate of return, and g is the expected dividend growth rate.
Substituting the given values, we get:
P = 3.00 / (0.12 - 0.09) = $100
Therefore, the fair price of Builtrite common stock, is $100. If the current market price of the stock is lower than $100, it may be considered undervalued and may represent a good investment opportunity.
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What were 2 common factors in both the Therac-25 case and the space shuttle disaster.What does design for failure mean?
The Therac-25 case and the space shuttle disaster share two common factors: design flaws and inadequate safety protocols.
In both cases, the design of the technology failed to account for potential errors and their consequences, resulting in tragic outcomes. In the case of the Therac-25, a programming error caused radiation overdoses in patients, while in the space shuttle disaster, a faulty O-ring caused a catastrophic explosion.
Design for failure is a concept that acknowledges that failure is inevitable and seeks to minimize its impact through proactive measures. It involves designing systems and products with redundancy, fail-safes, and other measures to ensure that they can withstand and recover from failures. This approach can help prevent disasters like the ones in the Therac-25 case and the space shuttle disaster. By anticipating potential failures and designing systems to account for them, we can reduce the likelihood of catastrophic outcomes and improve safety overall.
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TRUE/FALSE.The higher the node number, the longer the activity will take.
FALSE. The node number is simply an identification number for each activity in a network diagram and does not indicate the duration or length of the activity. The duration of an activity is determined by its estimated time and resources needed to complete the task.
In general, the statement that the higher the node number, the longer the activity will take is not universally true. The duration of an activity depends on various factors, including its complexity, dependencies on other activities, available resources, and efficiency of execution.Node numbers are typically associated with activities in project management or scheduling diagrams, such as the precedence diagram method (PDM) or the program evaluation and review technique (PERT). In these diagrams, nodes represent specific activities, and the relationships between nodes indicate the dependencies between activities.While it is possible that activities with higher node numbers may take longer in some cases, it is not a direct correlation. The duration of an activity is determined by its inherent characteristics and constraints. For example, an activity with a lower node number may have complex requirements or dependencies, causing it to take longer than an activity with a higher node number that has simpler requirements.
It's important to analyze the specific details of each activity, including its scope, resources, and dependencies, to determine its estimated duration accurately. Simply relying on the node number in a diagram would not provide an accurate measure of the activity's duration
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Which account was displayed in the Deposit to field for the payment deposited in Step 1 of Practice Exercise 1. 1
Select one:
The checking account is displayed in the Deposit to field for the payment deposited in Step 1 of Practice Exercise
What is the checking account?In accounting, the Deposit to field refers to the specific account where a payment or deposit is recorded. In Step 1 of Practice Exercise 1.1, when making a deposit, the most common account displayed in the Deposit to field would be the checking account.
The checking account is a common type of bank account that businesses use for day-to-day transactions, such as receiving payments and making withdrawals. It serves as a central account where funds are deposited and from which payments are made.
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Which account was displayed in the Deposit to field for the payment deposited in Step 1 of Practice Exercise 1.1? Select one:
a. Cash
b. Accounts Receivable
c. Checking
What are some possible reasons for a labor rate variance? A. hiring of less qualified workers B. an excess of material usage C. material price increase D. utilities usage change
Some possible reasons for a labor rate variance include the hiring of less qualified workers, an excess of material usage, material price increase, and utility usage change. Therefore, the correct options are A, B, C, and D.
A labor rate variance occurs when the actual rate paid to workers differs from the standard rate that was budgeted for the job. Possible reasons for a labor rate variance may include the hiring of less qualified workers who are paid a lower wage than what was budgeted, or conversely, if more qualified workers were hired at a higher wage than what was budgeted.
Another reason for a labor rate variance could be the result of a change in the wage rate, for example, a wage increase or decrease that may have been unexpected. If an employer offers employees overtime or bonuses, this could also impact the labor rate variance.
The labor rate variance is an important measure for managers to track, as it can impact the overall cost of production and profitability. By identifying the reasons for a labor rate variance, management can determine whether the variance was the result of factors within their control, such as hiring decisions or wage changes, or factors outside their control, such as changes in the economy.
By understanding the reasons for the labor rate variance, management can then take appropriate actions to address the underlying causes and potentially reduce future variances. Therefore, the correct options are A, B, C, and D.
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On October 31, the stockholders' equity section of Crane Company's balance sheet consists of common stock $552,000 and retained 402,000. Crane is considering the following two courses of action:(1) Declaring a 5% stock dividend on the 92,000 $ 6 par value shares outstanding(2) Effecting a 2-for-1 stock split that will reduce par value to $3 per share.
Both options will have an impact on the equity structure of the company, but neither will increase or decrease the total equity balance.
The stockholders' equity section of a company's balance sheet represents the residual interest of the owners in the assets of the business. In the case of Crane Company, its equity section consists of common stock and retained earnings. The common stock reflects the amount of capital contributed by investors, while retained earnings represent the accumulated profits that the company has kept over time.
Now, the company is considering two courses of action that will impact its equity structure. The first option is to declare a 5% stock dividend on the outstanding shares of $6 par value. This means that shareholders will receive additional shares equivalent to 5% of their current holdings. This move will increase the number of outstanding shares and reduce the earnings per share. However, it will not affect the total equity balance, as it is merely a redistribution of equity among existing shareholders.
The second option is to effect a 2-for-1 stock split that will reduce the par value to $3 per share. This move will double the number of outstanding shares, thereby reducing the price per share. However, it will not affect the total equity balance, as the par value reduction will be offset by the increase in the number of shares.
The decision to declare a stock dividend or effect a stock split will depend on the company's goals and the preferences of its shareholders. Shareholders who prefer a higher dividend yield may opt for the stock dividend, while those who prefer a lower share price may prefer the stock split. However, the company should ensure that any move it makes is aligned with its long-term strategy and does not compromise its financial health.
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Oberon, Inc., has a $40 million (face value) 10-year bond issue selling for 97 percent of par that pays an annual coupon of 8.15 percent. What would be Oberon’s before-tax component cost of debt? (Round your answer to 2 decimal places.) Cost of debt %
Oberon’s before-tax component cost of debt is 8.42%.
To find Oberon's before-tax component cost of debt, we need to calculate the yield to maturity (YTM) of the bond. We have the following information:
Face value of the bond = $40 million
Current selling price = 97% of par
Annual coupon payment = 8.15% of face value
Time to maturity = 10 years
1: Calculate the current bond price.
Current bond price = 0.97 * Face value = 0.97 * $40 million = $38.8 million
2: Calculate the annual coupon payment.
Annual coupon payment = 8.15% * Face value = 0.0815 * $40 million = $3.26 million
3: Use a financial calculator or an online tool to find the YTM.
Input the following values:
Present value (PV) = -$38.8 million (negative sign indicates cash outflow)
Future value (FV) = $40 million
Annual payment (PMT) = $3.26 million
Number of periods (N) = 10 years
Using a financial calculator or an online tool, we find that YTM = 8.42%.
4: Round your answer to 2 decimal places.
Oberon's before-tax component cost of debt = 8.42%
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At the end of the television ad for a kitchen knife set, the viewer is asked to order the knives by midnight to receive half off. What is this commercial an example of? cable tv a streaming service satellite television DVR direct-response TV
This commercial is an example of direct-response TV. Direct-response TV is a type of advertising strategy that encourages viewers to respond directly to an advertisement by taking action, such as making a purchase or signing up for a service.
In this commercial, the viewer is asked to order the kitchen knife set by midnight to receive half off. This type of ad creates a sense of urgency, as it encourages the viewer to take action in order to take advantage of the special offer.
The ad also typically includes a toll-free number or website address where the viewer can get more information or place an order. Direct-response TV is a powerful advertising tool that can be used to generate sales and increase brand awareness.
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Products that are distinctive in physical aspects, location, intangible aspects and perceptions in the eyes of the consumer are called products. Select the correct answer below: O homogeneous differentiated O monopolistic O identical
The correct answer to the question is differentiated products. Differentiated products are those that have unique and distinctive features that set them apart from other similar products in the market, hence option B) is correct.
The correct answer to the question is differentiated products. Differentiated products are those that have unique and distinctive features that set them apart from other similar products in the market. These features could be physical, such as the design, color, size, and shape of the product, or they could be intangible, such as the brand image, reputation, and perceived value of the product. Differentiated products are often created to cater to the diverse needs and preferences of consumers. By offering products that are unique and distinctive, businesses can attract and retain customers who are looking for something specific or special. Moreover, differentiated products can help businesses create a competitive advantage by making it difficult for other businesses to imitate or replicate their products. In contrast, homogeneous or identical products are those that are considered identical or nearly identical by consumers. These products are often sold in a perfect competition market, where businesses have little or no control over the price of the product and must compete based on other factors, such as quality, service, and availability. Monopolistic products, on the other hand, refer to products that are sold by a single supplier or producer with no close substitutes. Monopolies often have a significant market power and can set their prices and output levels without much competition. However, monopolistic products are rare in a competitive market and are often regulated by the government to prevent market abuses. In conclusion, differentiated products are those that are distinctive in physical aspects, location, intangible aspects, and perceptions in the eyes of the consumer. These products offer businesses a competitive advantage and cater to the diverse needs and preferences of consumers. Therefore option B) is correct
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Which of the following is the first step an attacker must perform to conduct a successful session hijacking?
1.Insert himself/herself between Party A and Party B.
2.Analyze and predict the sequence number of the packets.
3.Sever the connection between the two parties.
4.Seize control of the session.
The first step an attacker must perform to conduct a successful session hijacking is to insert himself/herself between Party A and Party B.
This can be done through various methods, such as ARP spoofing or DNS spoofing, to redirect the traffic to the attacker's machine. Once the attacker is in the middle, they can then begin to analyze and predict the sequence number of the packets, which is the second step in the process. This allows the attacker to seize control of the session by injecting their own packets into the communication stream or by modifying existing packets. Finally, the attacker may sever the connection between the two parties to prevent them from realizing the hijacking is taking place. Therefore, the correct answer to the question is 1.
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Assume the following process is used in production of a product. There are 6 workers in this process; each task is done by 1 worker. Assume the process works at full capacity, utilization (%) of the worker performing task D is:Task A: 6min/unitTask B: 5min/unitTask C: 4min/unitTask D: 3min/unitTask E: 2min/unitTask F: 1 min/unit Select one:83.335016.66None of the provided answers58.3310033.3366.6628.57
Based on the information provided, we know that there are 6 workers in the production process and each task is done by 1 worker. Therefore, we can assume that each worker is responsible for one of the tasks A-F. To calculate the utilization (%) of the worker performing task D, we need to know the cycle time of the entire process. The cycle time is the time it takes for one unit of the product to be produced from start to finish.
We can calculate the cycle time by adding up the task times for each task in the process:
Cycle time = Task A + Task B + Task C + Task D + Task E + Task F
Cycle time = 6 min/unit + 5 min/unit + 4 min/unit + 3 min/unit + 2 min/unit + 1 min/unit
Cycle time = 21 min/unit
Now that we know the cycle time, we can calculate the number of units produced per hour:
Units per hour = 60 minutes / Cycle time
Units per hour = 60 minutes / 21 minutes/unit
Units per hour = 2.857 units/hour
We also know that task D takes 3 minutes to complete. Therefore, the worker performing task D will complete 20 tasks per hour:
Tasks per hour = 60 minutes / Task D time
Tasks per hour = 60 minutes / 3 minutes/unit
Tasks per hour = 20 tasks/hour
To calculate the utilization (%) of the worker performing task D, we can use the following formula:
Utilization (%) = (Tasks per hour / Workers) * 100
Plugging in the values we have calculated:
Utilization (%) = (20 tasks/hour / 6 workers) * 100
Utilization (%) = 333.33%
However, utilization cannot be greater than 100%. This is because utilization represents the amount of time that a resource is used compared to the amount of time that it is available. In this case, we have assumed that each worker is working at full capacity, but this is not realistic. Workers need breaks, and there may be downtime for maintenance or other reasons.
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You have a gun that fires teflon bullets, which exit the gun with a negative charge. If you fire the gun to the west, parallel to the ground, and while on the surface of the earth, which way is the bullet pushed by the Earth’s magnetic field? Up Left Down Right No force
The bullet fired from a gun that fires teflon bullets with a negative charge, and shot to the west parallel to the ground while on the surface of the earth will be pushed to the right by the Earth's magnetic field.
This is because the Earth's magnetic field is directed from the magnetic north pole to the magnetic south pole, which is roughly in line with the geographic poles. Hence, the magnetic field is perpendicular to the direction of motion of the bullet, and therefore it exerts a force on the bullet that is perpendicular to both the direction of motion of the bullet and the direction of the magnetic field.
According to the right-hand rule, the direction of the force on the bullet can be determined by pointing the thumb of the right hand in the direction of the velocity of the bullet, and the fingers in the direction of the magnetic field. The direction of the force is then given by the direction in which the palm faces, which is to the right in this case.
It is important to note that the force exerted on the bullet by the Earth's magnetic field is relatively small compared to other forces acting on the bullet, such as air resistance and gravity. Therefore, the effect of the Earth's magnetic field on the trajectory of the bullet is generally negligible for practical purposes.
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As the bullet exits the gun, it has a negative charge and will be affected by the Earth's magnetic field. The direction of the magnetic force on a charged particle moving through a magnetic field is perpendicular to both the direction of motion and the direction of the magnetic field.
In this case, the magnetic field of the Earth is generally from north to south, and the bullet is fired to the west. Therefore, the direction of the magnetic force on the bullet will be upwards, perpendicular to both the direction of motion and the magnetic field. So the bullet will be pushed upwards by the Earth's magnetic field.
This phenomenon is known as the Lorentz force, and it can be observed in many situations involving charged particles moving through magnetic fields.
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Demands for a newly developed salad bar at the Great Professional restaurant for the first six months of this year are shown in the following table. What is the forecast for July if the 3-month weighted moving - average method is used? (Use weights of 0.5 for the most recent demand, 0.3, and 0.2 for the oldest demand.)
The forecast for July if, the 3-month weighted moving-average method is used is 64.
To calculate the forecast for July using the 3-month weighted moving-average method, we need to take the weighted average of the demands for April, May, and June.
Using the given weights of 0.5 for June, 0.3 for May, and 0.2 for April, we can calculate the weighted average as follows:
July forecast = (0.5 x June demand) + (0.3 x May demand) + (0.2 x April demand)
July forecast = (0.5 x 70) + (0.3 x 60) + (0.2 x 55)
July forecast = 35 + 18 + 11
July forecast = 64
Therefore, the forecast for July using the 3-month weighted moving-average method is 64.
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Based on the table, what is the profit-maximizing output for John's Tricycle Company? Output Marginal Total Cost Revenue 5 1,200 7,500 6 1,300 9,000 7 1,400 10,500 8 1,500 12,000 1,600 13,500 A. 8 units B. 6 units OC. 9 units 0.7 units
To determine the profit-maximizing output for John's Tricycle Company, we need to calculate the marginal revenue and compare it to the marginal cost at each level of output.
Based on the information given in the table, the profit-maximizing output is 7 units. To find the marginal revenue, we can observe that the revenue increases by $1,500 as we move from 7 units to 8 units. Therefore, the marginal revenue of producing the 7th unit is $1,500.
To find the marginal cost, we can observe that the cost increases by $100 as we move from 6 units to 7 units. Therefore, the marginal cost of producing the 7th unit is $1,400.
Since the marginal revenue of producing the 7th unit ($1,500) is greater than the marginal cost of producing the 7th unit ($1,400), the company should continue to produce additional units until the marginal revenue equals the marginal cost. However, for any additional unit produced, the marginal cost would exceed the marginal revenue, leading to a decrease in profit. Therefore, the profit-maximizing output for John's Tricycle Company is 7 units.
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A set of average city temperatures in December are normally distributed with a mean of 16. 3ºC and a standard deviation of 2ºC.
What proportion of temperatures are between 16ºC and 18ºC?
To find the proportion of temperatures between 16ºC and 18ºC, we need to calculate the z-scores for these values and then use the standard normal distribution table.
The z-score formula is given by:
z = (x - μ) / σ
Where x is the temperature, μ is the mean, and σ is the standard deviation.
For 16ºC:
z = (16 - 16.3) / 2 = -0.15
For 18ºC:
z = (18 - 16.3) / 2 = 0.85
Now, we can use the standard normal distribution table or a calculator to find the proportion between these z-scores.
Looking up the z-scores in the standard normal distribution table, we find that the area to the left of -0.15 is 0.4432 and the area to the left of 0.85 is 0.8023.
To find the proportion between these two values, we subtract the smaller area from the larger area:
Proportion = 0.8023 - 0.4432 = 0.3591
Therefore, approximately 35.91% of temperatures are between 16ºC and 18ºC.
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