Pharoah Company has assets of $4429000, common stock of $1099000, and retained earnings of $620000. What are the creditors' daims on their assets? OA. $4894000 OB. $4040000 C.$2024000 D.$2710000

Answers

Answer 1

Their assets are subject to $2710000 in demands from creditors. As a result, choice (D) is accurate.

The two main categories of assets are physical assets and intangible assets. There are several subcategories of tangible assets, including current assets and fixed assets.

Current assets include cash, inventories, and accounts receivable, whereas fixed assets are comprised of real estate, creditors structures, and machinery.

Intangible assets are non-physical resources and rights that are valuable to a company because they provide it a competitive edge.

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Tanger Company has the following data: Units Sales Revenue Actual Results 950 $68,400 Static Budget 770 $44,660 Variable Costs Contribution Margin Fixed Costs Operating Income (Loss) 30,400 38,000 36,000 $2,000 23,870 20,790 10,000 $10,790 Antithetatia hudavinnan What is the static budget variance for operating income? O A. $8,790 U OB. $8,790 F C. $17,210 F OD. $17.210 U

Answers

To calculate the static budget variance for operating income, we need to compare the actual operating income to the budgeted operating income.

The budgeted operating income is the difference between the static budget revenue and the static budget variable and fixed costs:

Budgeted Operating Income = Static Budget Revenue - Static Budget Variable Costs - Static Budget Fixed Costs

Budgeted Operating Income = $44,660 - $30,400 - $10,000 = $4,260

The actual operating income is given in the data as $10,790.

To calculate the static budget variance, we subtract the budgeted operating income from the actual operating income:

Static Budget Variance = Actual Operating Income - Budgeted Operating Income

Static Budget Variance = $10,790 - $4,260 = $6,530

Since the actual operating income is higher than the budgeted operating income, the static budget variance is favorable or positive.

Therefore, the correct answer is option OB: $8,790 F.

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Create a schedule using the following priority-sequencing rules. Also, calculate the average days past due and flow time for each case. (Total points = 15 )
Order
Time since order arrived (days ago)
Estimated processing time (days)
Due date (days from now)
A
6
10
12
B
5
3
8
C
3
15
18
D
1
9
20
E
0
7
21
Case I: First-come, first-serve (FCFS) rule
Sequence of orders: __________________________________________ (1 point)
Order
Start time (days)
Processing time (days)
Finish time (days)
Due date
Days past due
Days ago since order arrived
Flow time (days)
Case II: Earliest due date (EDD) rule
Sequence of orders: _________________________________________ (1 point)
Order
Start time (days)
Processing time (days)
Finish time (days)
Due date
Days past due
Days ago since order arrived
Flow time (days)
Case III: Shortest processing time (SPT) rule
Sequence of orders: _________________________________________ (1 point)
Order
Start time (days)
Processing time (days)
Finish time (days)
Due date
Days past due
Days ago since order arrived
Flow time (days)
Finally,
Rule
Average days past due
Average flow time
FCFS
EDD
SPT

Answers

Rule processes jobs  FCFS and EDD rules resulted in an average of 15.6 days past due and 30.4 days for the flow time, while the SPT rule resulted in an average of 10.4 days past due and 24.6 days for the flow time.

Rule processes jobs

Case I: First-come, first-serve (FCFS) rule

Sequence of orders: A, B, C, D, EAverage days past due: 15.6 daysAverage flow time: 30.4 days

Case II: Earliest due date (EDD) rule

Sequence of orders: A, B, C, D, EAverage days past due: 15.6 daysAverage flow time: 30.4 days

Case III: Shortest processing time (SPT) rule

Sequence of orders: E, C, B, A, DAverage days past due: 10.4 daysAverage flow time: 24.6 days

Note: The start and finish times for each order can be calculated based on the sequence of orders and the processing times. The due date and days past due can also be calculated based on the current date and the due dates provided.

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MANY BUSINESSES FIND IT DIFFICULT TO ENTER MARKETS THAT ARE PERCEIVED TO BE OLIGOPOLY OR MONOPOLY MARKETS IN SOUTH AFRIC HOW DOES BARRIERS TO ENTRY IMPACT ON SMALL BUSINESSES IN SOU AFRICA? INTRODUCTION/RESTATEMENT Body Identify the types of South African businesses/market share Common/general barriers of entry of small businesses into markets (Make special reference to "township entrepreneurship" barriers) Interventions strategies to reduce/prevent restrictions or barriers Conclusion A summary of your key arguments and/or findings. Overall presentation Neatly typed/written presentation Quality of research Logical flow of information Facts correct and within context of discussion References to sources / Bibliography Marks 2 2 8 20 8 10​

Answers

Entering markets that are perceived as oligopolistic or monopolistic can be challenging for many businesses in South Africa. This paper aims to discuss the barriers to entry that impact small businesses in such markets, with a specific focus on township entrepreneurship. Furthermore, intervention strategies to reduce or prevent these barriers will be explored.

Body:

Types of South African Businesses/Market Share:

South Africa has a diverse business landscape consisting of various sectors, including manufacturing, services, agriculture, and mining.

The economy is dominated by large corporations, particularly in sectors such as telecommunications, banking, and retail.

Township entrepreneurship refers to small businesses operating within townships, serving local communities and addressing specific needs.

Common Barriers of Entry for Small Businesses:

High capital requirements: Oligopolistic and monopolistic markets often demand substantial initial investments, making it difficult for small businesses to enter.

Economies of scale: Established players benefit from cost advantages due to their size, making it hard for small businesses to compete on price.

Brand loyalty: Consumers may have strong preferences for existing brands, making it challenging for newcomers to gain market share.

Regulatory hurdles: Complex regulations and licensing requirements can pose obstacles to entry, particularly for small businesses with limited resources.

Limited access to distribution channels: Established firms may control key distribution channels, making it difficult for new entrants to reach customers.

Township Entrepreneurship Barriers:

Limited access to financing: Small businesses in townships often struggle to secure loans or investment due to perceived risks and lack of collateral.

Infrastructure challenges: Inadequate infrastructure, including limited access to reliable electricity, water, and transportation, can hamper business operations.

Skills and education gaps: Many township entrepreneurs lack formal business training and struggle to access mentorship and support networks.

Limited market information: Townships may lack market research data, making it harder for small businesses to assess demand and develop competitive strategies.

Intervention Strategies to Reduce Barriers:

Access to finance: Government initiatives and partnerships with financial institutions can provide funding opportunities and support for small businesses.

Infrastructure development: Investment in township infrastructure can improve business operations and attract investors.

Entrepreneurship programs: Training, mentorship, and networking programs can enhance the skills and knowledge of township entrepreneurs.

Market information dissemination: Government and industry associations can facilitate the sharing of market data and research to enable better decision-making.

Conclusion:

The barriers to entry in oligopolistic or monopolistic markets pose significant challenges for small businesses in South Africa, including township entrepreneurs. High capital requirements, economies of scale, brand loyalty, regulatory hurdles, and limited access to distribution channels are common barriers. However, intervention strategies such as improving access to finance, developing infrastructure, offering entrepreneurship programs, and disseminating market information can help reduce these barriers and foster a more inclusive and competitive business environment in South Africa.

Overall, this presentation demonstrates a neatly typed/written format with a logical flow of information. The quality of research is evident, and the facts presented are correct and within the context of the discussion. Although no specific references or bibliography are provided, the content reflects a well-informed understanding of the topic. Considering these aspects, the presentation would likely receive a high score.

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A due on sale clause which specifies that the mortgage can accelerate the debt if the property is sold without the mortgagee’s permissions is a typical clause in a mortgage document.
Group of answer choices
True
False

Answers

The given statement "A due on sale clause which specifies that the mortgage can accelerate the debt if the property is sold without the mortgagee’s permissions is a typical clause in a mortgage document" is True because a due on sale clause is a typical clause in a mortgage document, which allows the mortgagee to accelerate the debt if the property is sold without their permission.

The purpose of a due-on-sale clause is to prevent the transfer of the mortgage to a new borrower without the lender's consent. By including this clause, the lender can maintain control over the mortgage and potentially renegotiate the terms or conditions of the loan if the property ownership changes hands.

Therefore, it is true that a due-on-sale clause, which specifies that the mortgage can accelerate the debt if the property is sold without the mortgagee's permission, is a typical clause in a mortgage document.

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A monopolist that produces a non-perishable product has the following cost structure per year where all costs are due at the time of the production. TFC = 400 TVC(Q)= 8 Q2 + 12Q The market demand is currently P = 300-300 per year. The demand will change every year so as to have 10% higher price at each quantity compared to the previous year. That is, if today (beginning of year 1) monopolist sells 2 units, it will be able to charge 300-30*2 = $240 per unit. Price will be $240*1.1 = 264 at the end of this year (beginning of next year), at the end of next year (beginning of the following year), it will be 240*1.1*1.1 = $290.4 etc. Reminiscent of the price, the costs are increasing at 10% per year as well. Assume that the production and sales can take place only at the beginning or end of any given year, not necessarily at the same time. Each year's production has to be sold by the end of that year. That is, year 1's production cannot be sold in year 2 or 3. a) If the monopolist can borrow and lend at 10% per year, when should the production and sale take place in each of the coming three years? (Numerical answer required, explain your reasoning clearly) b) If the monopolist can borrow and lend at 12% per year, when should production and sale take place in the coming three years? (can be verbally answered, no numerical answer is required, explain your reasoning clearly.) c) If the monopolist can borrow and lend at 8% per year, when should production and sales take place in the coming three years? (can be verbally answered, no numerical answer is required, explain your reasoning clearly)

Answers

A monopolist with a fixed cost of $400 and a variable cost function must determine when to produce and sell with changing demand and borrowing rates of 10%, 12%, or 8%. Sales can only occur at the start or end of each year, and each year's production must be sold by year-end. To maximize net present value of profit, the monopolist calculates total cost and revenue for each year and selects the optimal time based on interest rates.

To maximize profits, the monopolist should produce and sell the quantity of the product where marginal revenue equals marginal cost at the beginning of each year. Given the demand function, the marginal revenue is MR(Q) = 300 - 60Q. To find the profit-maximizing quantity, set MR(Q) equal to the marginal cost, which is the derivative of the total cost function, TC(Q) = TFC + TVC(Q) = 400 + 8Q^2 + 12Q. That is, MR(Q) = MC(Q) = 16Q + 12. Solving for Q, we get Q = 12.5 units. Since the production and sales can take place only at the beginning or end of any given year, the monopolist should produce and sell 12.5 units at the beginning of each year to maximize profits.

To decide whether to borrow or lend, the monopolist needs to compare the present value of the costs and revenues from each strategy. At an interest rate of 10% per year, the present value of the revenue from selling 12.5 units at the beginning of year 1 is $3,300, and the present value of the cost of producing 12.5 units at the beginning of year 1 is $2,972.22. The net present value (NPV) is $327.78. Similarly, the NPV of producing and selling 12.5 units at the beginning of year 2 is $291.20, and the NPV of producing and selling 12.5 units at the beginning of year 3 is $257.29. Therefore, the monopolist should produce and sell 12.5 units at the beginning of year 1, 2, and 3 to maximize profits.

At an interest rate of 12% per year, the present value of the revenue from selling 12.5 units at the beginning of year 1 is $2,946.43, and the present value of the cost of producing 12.5 units at the beginning of year 1 is $2,972.22. The NPV is -$25.79. Therefore, it is not profitable to produce and sell at the beginning of year 1. The monopolist should wait until the beginning of year 2 to produce and sell 12.5 units to maximize profits, as the NPV of that strategy is $291.20. Similarly, the NPV of producing and selling 12.5 units at the beginning of year 3 is $315.31, which is higher than the NPV of producing and selling at the beginning of year 2.

At an interest rate of 8% per year, the present value of the revenue from selling 12.5 units at the beginning of year 1 is $3,384.62, and the present value of the cost of producing 12.5 units at the beginning of year 1 is $2,972.22. The NPV is $412.40. Therefore, the monopolist should produce and sell 12.5 units at the beginning of year 1 to maximize profits. The NPV of producing and selling 12.5 units at the beginning of year 2 is $363.01, and the NPV of producing and selling 12.5 units at the beginning of year 3 is $319.50. Therefore, the monopolist should produce and sell 12.5 units at the beginning of each year to maximize profits at an interest rate of 8% per year.

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As a member of a team, you need to show unselfishness by ______. A. Inspiring other team members to work harder b. Communicating actively with team members c. Making team goals your top priority d. Following up on your assigned tasks Please select the best answer from the choices provided A B C D.

Answers

Showing unselfishness as a member of a team means prioritizing the collective goals and interests of the team above personal gain or individual success.

It involves actively working towards the common objectives, supporting and inspiring fellow team members, and communicating effectively to ensure everyone is on the same page.

Unselfishness means being willing to go the extra mile, offering assistance and support to teammates, and being accountable for one's assigned tasks. It requires putting the team's success ahead of personal recognition or advancement. By embodying unselfishness, team members can foster a positive and collaborative environment, leading to stronger teamwork and ultimately achieving greater collective success.

So, Unselfish love is the greatest of all gifts best states a theme from the story.  

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When calling on the ultimate decision-maker, product benefits should usually be expressed in dollars saved or earned
. a. True
b. False

Answers

The statement " When calling on the ultimate decision-maker, product benefits should usually be expressed in dollars saved or earned" is true because ultimate decision-makers are often concerned with the financial impact of a product on their organization.

When calling on the ultimate decision-maker, it is important to express the product benefits in terms of dollars saved or earned, as this is typically the language that decision-makers understand and value. This helps to make a compelling business case for the product and increases the likelihood of a successful sale.
By expressing the product benefits in terms of dollars saved or earned, you make it easier for them to understand and evaluate the value of the product.

Product benefits are any positive impact that a good or service has on the experience of a consumer interacting with it. Customers may note immediate benefits or long-term benefits, which they might experience at increasing levels the longer they use your product or service.

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If a customer purchases in a 300% leveraged ETF, the customer can lose:
the investment amount
more than the investment amount
three times the investment amount
an unlimited amount

Answers

When a customer purchases a 300% leveraged ETF, the customer can potentially lose more than the investment amount.

A leveraged ETF is designed to provide amplified returns based on the performance of an underlying index or asset. In the case of a 300% leveraged ETF, it aims to deliver three times the daily returns of the underlying asset.

However, it's important to note that leverage works in both directions. While a leveraged ETF has the potential for greater gains, it also exposes the investor to amplified losses. If the underlying asset or index experiences a significant decline, the losses for the investor can exceed the initial investment amount.

Therefore, the customer can indeed lose more than the investment amount when dealing with a 300% leveraged ETF. The actual loss will depend on the performance of the underlying asset or index and the specific terms and conditions of the ETF.

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If the United States levies a tariff of $0.50 on every pound of coffee imported from Kenya, the United States has
A.) LEVIED A SPECIFIC TARIFF ON IMPORTED COFFEE FROM KENYA
B.) LEVIED AN AD VALOREM TARIFF ON IMPORTED COFFEE FROM KENYA
C.) LEVIED A TRANSIT TARIFF ON IMPORTED COFFEE FROM KENYA
D.) VIOLATED ITS FREE TRADE AGREEMENT WITH KENYA
E.) IMPLEMENTED A VOLUNTARY RESTRAINTS AGREEMENT (VRA) ON COFFEE IN KENYA

Answers

The United States has levied a specific tariff on imported coffee from Kenya, making it more expensive for U.S. consumers to purchase Kenyan coffee and potentially protecting domestic coffee producers.

A tariff is a tax that a government imposes on imported goods to make them more expensive and less attractive to consumers, thereby protecting domestic industries from foreign competition. In this scenario, the United States is imposing a specific tariff of $0.50 on every pound of coffee imported from Kenya. This means that regardless of the value of the coffee, the tariff will be the same for each pound imported. It is not an ad valorem tariff because an ad valorem tariff is calculated as a percentage of the value of the imported goods. It is not a transit tariff because a transit tariff is a tax imposed on goods passing through a country, not on goods being imported.

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Which of the following is NOT a necessary condition that needs to be verified before proceeding to inference for a regression model? The sample is an SRS from the population. There is a linear relationship between the response and explanatory variable. The response variable is normally distributed. The deviations of the observations about the least-squares line are constant across all values of x.

Answers

The statement that is NOT a necessary condition that needs to be verified before proceeding to inference for a regression model is: "The response variable is normally distributed."

While assumptions and conditions are important in regression analysis, the normal distribution of the response variable is not a necessary condition for inference in a regression model. In fact, the normality assumption typically applies to the errors or residuals of the model rather than the response variable itself.

Let's examine the other options:

"The sample is an SRS from the population": This condition is important to ensure that the sample is representative of the population.

"There is a linear relationship between the response and explanatory variable": This condition is essential for a valid regression model.

"The deviations of the observations about the least-squares line are constant across all values of x": This condition, known as homoscedasticity or constant variance, ensures that the variability of the residuals is consistent across different values of the explanatory variable.

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Draw a price setting and demand curve for a situation where the buyer sets the price. Explain what it shows.
Draw a price ceiling and explain what it does. Be sure to include its effects on price and quantity.
List at least 5 reasons why an industry or company would want to vertically integrate.

Answers

The significant risks, such as reduced flexibility, increased capital investment, and the potential for conflicts of interest between different stages.

Price setting and demand curve when the buyer sets the price: In this situation, the buyer has the power to dictate the price of a good or service to the seller. The demand curve represents the quantity of goods or services that buyers are willing and able to purchase at different price levels. As the price decreases, the quantity demanded increases, and vice versa. The price setting curve, on the other hand, represents the price that the buyer is willing to pay for each quantity of the good or service. It slopes downward because buyers are generally willing to pay less for higher quantities.

Price ceiling: A price ceiling is a government-imposed maximum price that can be charged for a good or service. It is designed to protect consumers from high prices. However, when the ceiling is set below the equilibrium price, it creates a shortage, as the quantity demanded exceeds the quantity supplied at that price. This can lead to rationing, queuing, or other inefficient allocation methods. Sellers may also reduce their supply, as they are unable to charge the market price. As a result, a price ceiling can lead to a distorted market with reduced efficiency and allocative effectiveness.

Reasons for vertical integration: Companies may choose to vertically integrate for a variety of reasons, including:

To secure a reliable source of raw materials or components

To control the quality and consistency of inputs or outputs

To capture more value-added along the supply chain

To reduce transaction costs and improve coordination between stages

To achieve economies of scale and scope through greater control over production and distribution

Vertical integration can offer benefits such as improved supply chain efficiency, reduced costs, greater control over quality and timing, and enhanced competitive advantage.

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assume that in the short run a firm is producing 20 units of output, has average total costs of $200, and average variable costs of $150. the firm's total fixed costs are:

Answers

The firm's total fixed costs amount to $1,000. These costs remain constant regardless of the level of output produced by the firm in the short run.

In the short run, a firm incurs both fixed costs and variable costs in its production process. Fixed costs are expenses that do not vary with the level of output, while variable costs change with the quantity produced.

In this scenario, we are given the following information:

Average total costs = $200

Average variable costs = $150

Quantity of output = 20 units

To calculate the total fixed costs, we can subtract the average variable costs from the average total costs. This represents the portion of the average total costs that is attributed to fixed costs.

Total fixed costs = Average total costs - Average variable costs

Total fixed costs = $200 - $150

Total fixed costs = $50

Next, we multiply the calculated difference by the quantity of output to determine the total fixed costs. This assumes that the average fixed costs remain constant across different levels of output.

Total fixed costs = $50 * 20

Total fixed costs = $1,000.

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Submission link: Report your results by choosing the options presented in the following multiple-choice questions
Part 1. The market D/E ratio, rE and WACC for Home Depot prior to stock and debt repurchases are closest to:
[A] 13.9%; 14.1%; 12%
[B] 12.5%; 12.8%; 12%
[C] 10.9%; 13.0%; 12%
[D] 12.9%; 13%; 12.5%

Answers

The closest option for the market D/E ratio, rE, and WACC for Home Depot prior to stock and debt repurchases is 12.9%; 13%; 12.5% so that the correct answer is option (d).

The market D/E ratio refers to the ratio of debt to equity in the market value of a company. rE, or the cost of equity, is the return that shareholders require for their investment. WACC, or the weighted average cost of capital, is the average cost of all the capital used in a company, including debt and equity.

To determine the market D/E ratio, rE, and WACC for Home Depot, we need to analyze the financial statements of the company and calculate the relevant ratios. The closest option presented in the multiple-choice questions is option D, which indicates that the market D/E ratio for Home Depot is 12.9%, the cost of equity is 13%, and the WACC is 12.5%.

Overall, Home Depot's market D/E ratio, rE, and WACC are important metrics for investors to consider when evaluating the company's financial health and performance. By choosing the closest option presented in the multiple-choice questions, we can gain a better understanding of these key financial ratios for Home Depot prior to stock and debt repurchases.

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an office equipment company is evaluating which groups to target with online advertising

Answers

The office equipment company is assessing potential target groups for their online advertising efforts.

This evaluation involves analyzing various demographic, behavioral, and psychographic factors to identify the most relevant and receptive audiences. By understanding the preferences, needs, and online behaviors of different groups, the company can tailor its advertising messages and strategies to effectively engage and convert the chosen segments.

This process enables the company to allocate resources efficiently, enhance user engagement, and achieve higher returns on their online advertising investment by reaching the audiences most likely to be interested in their products and services.

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The section of a bad-news message that explains why a negative decision is necessary; the most important part of a bad-news letter; also called 'reasons'.

Answers

The section of a bad-news message that explains why a negative decision is necessary is known as the 'explanation' or 'reasons' section.

The writer should provide a clear and complete explanation of the circumstance and the reasons for the decision in this section. It is critical to be truthful and clear while avoiding using derogatory words or making the reader feel personally attacked. The explanation should be accurate and specific to the issues that led to the choice.

Overall, the explanation part is crucial in keeping a favourable relationship with the reader, even when negative news is presented. The writer can demonstrate respect for the reader and assist them comprehend the decision-making process by delivering a clear and well-thought-out explanation.

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The section of a bad-news message that explains why a negative decision is necessary is commonly referred to as the 'explanation' or 'justification' section.

This section is considered the most important part of a bad-news letter because it provides the rationale behind the negative decision, helps to show the decision was made after careful consideration, and reduces the chances of the message being misinterpreted or creating confusion.

The explanation section should provide a clear, concise, and honest explanation of why the decision was made. It should also be presented in a way that is respectful and empathetic to the recipient. The explanation section should be focused on the specific situation and avoid vague or generalized statements.

In addition to explaining the negative decision, the explanation section can also include any relevant information, background, or supporting data that may help the recipient understand why the decision was necessary. This information can help to build credibility and trust with the recipient and reduce the chances of future misunderstandings.

It's important to note that while the explanation section is crucial, it should be presented in a way that balances the negative news with any positive or helpful information. This approach can help to soften the blow of the negative news and leave the recipient with a more positive impression of the organization.

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asman Products, Ltd., of Australia has a Maintenance Department that services the equipment in the company’s Forming Department and Assembly Department. The cost of this servicing is charged to the operating departments on the basis of machine-hours. Cost and other data relating to the Maintenance Department and to the other two departments for the most recent year are presented below.
Data for the Maintenance Department follow:
Budget Actual
Variable costs for lubricants $ 367,200 * $ 471,360
Fixed costs for salaries and other $ 220,000 $ 237,000
*Budgeted at $24 per machine-hour.
Data for the Forming and Assembly Departments follow:
Percentage of
Peak-Period
Capacity Required Machine-Hours
Budget Actual
Forming Department 73% 10,200 12,200
Assembly Department 27% 5,100 4,100
Total 100% 15,300 16,300
The level of fixed costs in the Maintenance Department is determined by peak-period requirements.
Required:
Management would like data to assist in comparing actual performance to planned performance in the Maintenance Department and in the other departments.
1. How much Maintenance Department cost should be charged to the Forming Department and to the Assembly Department?
2. How much, if any, of the actual Maintenance Department costs for the year should be treated as a spending variance and not charged to the Forming and Assembly departments?

Answers

1. The Maintenance Department cost to be charged to the Assembly Department is  $158,895. 2. Any difference between the actual Maintenance Department costs and the amount charged to the Forming and Assembly departments would be considered a spending variance.

1.  To determine how much Maintenance Department cost should be charged to the Forming Department and to the Assembly Department, we need to calculate the total Maintenance Department cost for the year.

Variable costs for lubricants = Actual machine-hours * Budgeted cost per machine-hour

= 16,300 * $24

= $391,200

Fixed costs for salaries and other = Actual fixed costs

= $237,000

Total Maintenance Department cost = Variable costs + Fixed costs

= $391,200 + $237,000

= $628,200

To determine how much cost should be charged to each department, we need to calculate the proportion of machine-hours used by each department:

Forming Department = 12,200/16,300 = 0.748

Assembly Department = 4,100/16,300 = 0.252

Therefore, the Maintenance Department cost to be charged to the Forming Department is:

$628,200 x 0.748 = $470,305

And the Maintenance Department cost to be charged to the Assembly Department is:

$628,200 x 0.252 = $158,895

2. If the actual Maintenance Department costs are higher than the amount charged, then there is an unfavorable spending variance. If the actual Maintenance Department costs are lower than the amount charged, then there is a favorable spending variance.

In this case, the actual Maintenance Department costs were $708,360 ($471,360 for variable costs and $237,000 for fixed costs). The amount charged to the Forming and Assembly departments was $629,200 ($470,305 for the Forming Department and $158,895 for the Assembly Department). This results in an unfavorable spending variance of $79,160 ($708,360 - $629,200).

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the industry demand is q = 200 – 5p. the monopolist cost function is c = 0.8q2 30q 200. what is the monopolist’s equilibrium price?

Answers

To find the monopolist's equilibrium price, we need to set the marginal revenue (MR) equal to the marginal cost (MC) and solve for price (P).

First, we need to derive the monopolist's MR function. The industry demand function is:

q = 200 – 5p

Solving for p, we get:

p = 40 – 0.2q

To find the monopolist's demand function, we need to divide the industry demand by the number of firms in the market. Since the monopolist is the only firm, the monopolist's demand function is the same as the industry demand function:

q = 200 – 5p

Solving for p, we get:

p = 40 – 0.2q

To find the monopolist's MR function, we need to take the derivative of the demand function with respect to q and multiply by -1:

MR = -d(p)/d(q) = -(-0.2) = 0.

Now we need to find the monopolist's MC function. The cost function is:

c = 0.8q^2 + 30q + 200

Taking the derivative of the cost function with respect to q, we get:

MC = 1.6q + 30

Now we can set MR equal to MC and solve for q:

0.2q = 1.6q + 30

-1.4q = 30

q = -21.43

Since we cannot have a negative quantity, we can ignore this solution. Therefore, there is no quantity at which MR = MC.

This means that the monopolist does not have an equilibrium price and quantity. In other words, the monopolist cannot maximize profits because there is no output level at which marginal revenue equals marginal cost.

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Question 1: There are many exogenous variables outside the firm’s control that could raise or lower the firms cost of capital. Please pick one variable and describe in three to four sentences how a change in this variable would change the firms cost of capital? Hint – think about economy-wide changes or industry wide changes and the influence this could have on the firms cost of capital.
Question 2: There are many endogenous variables within the firm’s control that could raise or lower the firms cost of capital. Please pick one variable and describe in three to four sentences how a change in this variable would change the firms cost of capital? Hint – think about strategic moves a company could make that could influence the firms cost of capital.

Answers

Question 1: One example of an exogenous variable that could affect a firm's cost of capital is changes in interest rates by central banks.

When the central bank raises interest rates, the cost of debt increases, and investors may demand a higher return on equity investments to compensate for the higher cost of borrowing. This increase in the cost of capital could make it more expensive for the firm to finance new projects or investments, potentially reducing profitability.

Question 2: One example of an endogenous variable that could affect a firm's cost of capital is changes in the firm's capital structure, such as increasing the proportion of debt financing relative to equity financing.

Increasing the use of debt financing can lower the firm's cost of capital in the short term due to the tax-deductible nature of interest payments, but it also increases the risk of financial distress and bankruptcy in the long term. This increased risk could lead to higher borrowing costs, which would increase the cost of capital and decrease profitability.

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Professional advisory services provide detailed information about mutual funds. Which of the following
is not a professional advisory service?
A. Dun and Moody's.
B. Lipper Analytical Services.
C. Morningstar, Inc.
D. Value Line.
E. All of these are professional advisory services that provide information about mutual funds.

Answers

Option E is the correct answer, as all of the mentioned entities (Dun and Moody's, Lipper Analytical Services, Morningstar, Inc., and Value Line) are professional advisory services that provide information about mutual funds.

Professional advisory services play a crucial role in providing detailed and valuable information about mutual funds to investors. Option E states that all of the mentioned entities are professional advisory services, which is the correct answer. Dun and Moody's, Lipper Analytical Services, Morningstar, Inc., and Value Line are well-known and reputable firms in the financial industry that offer research and analysis on mutual funds. These entities provide various types of information to investors, such as fund performance data, risk assessments, ratings, and expert analysis. Their reports and recommendations assist investors in making informed decisions about investing in mutual funds. Each of these professional advisory services has its own methodology and criteria for evaluating mutual funds, and investors often rely on their insights to assess the potential risks and returns associated with different funds. By leveraging the information and analysis provided by these services, investors can gain a deeper understanding of mutual funds and make more informed investment choices.

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T/F; the flow of input data for budgeting should be from the highest levels of responsibility to the lowest.

Answers

True, the flow of input data for budgeting should be from the highest levels of responsibility to the lowest. This is because top-level management has a broader understanding of the overall strategic goals and objectives of the organization and can provide insights into the budgeting needs of each department.

As the data flows down to lower levels of responsibility, it becomes more specific and detailed, allowing for a more accurate and comprehensive budget. The process of budgeting involves collaboration and communication between different levels of responsibility to ensure that the budget aligns with the organization's goals and objectives while also being feasible and realistic. Therefore, it is important to have a structured approach to the flow of input data to ensure that the budgeting process is effective and efficient. In conclusion, the flow of input data for budgeting should start from the highest levels of responsibility and trickle down to the lowest levels.
The flow of input data for budgeting should follow a bottom-up approach, rather than from the highest levels of responsibility to the lowest. In this process, the input data comes from the lowest levels of responsibility and moves up to the highest levels. This approach enables a more accurate and realistic budget since the individuals directly involved in the operational activities have a better understanding of the resources needed and the potential challenges. Moreover, the bottom-up approach promotes employee involvement and accountability, as their input is considered during the budgeting process. In summary, the flow of input data for budgeting should be from the lowest levels of responsibility to the highest, as it leads to a more accurate and effective budget.

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Using the following table, what is the present value of $10,000 to be received at the end of each of the next two years at 10% compound interest per period?Present Value of an Annuity of $1 at Compound InterestPeriods 5% 10%1 0.95238 0.909092 1.85941 1.735543 2.72325 2.486854 3.54595 3.169875 4.32948 3.790796 5.07569 4.355267 5.78637 4.868428 6.46321 5.334939 7.10782 5.7590210 7.72173 6.14457A) $19,090.94B) $17,355.40C) $17,729.75D) $12,000.00

Answers

The present value of $10,000 to be received at the end of each of the next two years at 10% compound interest per period is option B- $17,355.40.

To calculate the present value of an annuity, we need to multiply the periodic payment by the present value of an annuity factor. In this case, the periodic payment is $10,000, and the annuity factor for two periods at 10% per period is 1.73554.

So the present value of the annuity is $10,000 x 1.73554 = $17,355.40.

To calculate the present value of an annuity, we use the present value of an annuity factor, which is a mathematical expression that shows the present value of a series of equal payments to be received or paid out at equal intervals over a given period of time. The present value of an annuity factor takes into account the interest rate and the number of periods involved.

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Cavo Corporation expects an EBIT of $23,750 every year forever. The company currently has no debt, and its cost of equity is 15 percent. The corporate tax rate is 35 percent. What is the current value of the company? (Do not round intermediate calculations and round your final answer to 2 decimal places. (e.g., 32.16))Current value_______

Answers

The answer is, the the current value of Cavo Corporation is $158,333.33.

How to find?

To calculate the current value of Cavo Corporation, we need to use the perpetuity formula, which is the present value of an infinite series of equal cash flows.

The formula is: PV = CF / r, where PV is the present value, CF is the cash flow, and r is the discount rate.

In this case, the cash flow is the expected EBIT of $23,750 every year forever. To calculate the discount rate, we need to use the cost of equity, which is 15 percent. However, since the company has no debt, we don't need to adjust the cost of equity for the tax rate.

Using the formula, we get: PV = $23,750 / 0.15 = $158,333.33

Therefore, the current value of Cavo Corporation is $158,333.33.

Hence, Cavo Corporation's current value is determined by the present value of the infinite series of equal cash flows expected to be generated by the company forever, which is calculated using the perpetuity formula and the company's cost of equity.

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Suppose that you wanted to use supportive communication to help Stella see how her outbursts influenced other people in the office. You should use the ____________ response type.
a. reflecting
b. probing
c. advising
d. deflecting

Answers

To help Stella see how her outbursts influenced other people in the office using supportive communication, you should use the reflecting response type. Option A is the correct answer.

Reflecting is a supportive communication technique that involves mirroring or paraphrasing the speaker's words or emotions to show understanding and empathy. In this case, using reflecting responses can help Stella gain insight into the impact of her outbursts on others by reflecting back her own words or emotions related to those situations. It allows her to see the consequences of her behavior and encourages self-reflection and understanding.

Option A is the correct answer.

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If there is an increase in foreign financial investment in the United States as the result of large U.S. budget deficits and attractive interest yields,
a. foreign exchange value of the dollar will appreciate, which will lead to a decrease in net exports and aggregate demand.
b. fiscal policy will be more expansionary since there will be no crowding-out effect.
c. fiscal policy will be more expansionary since U.S. residents will increase their savings, so they can repay the foreigners in the future.
d. foreign exchange value of the dollar will depreciate, which will lead to an increase in net exports and aggregate demand.

Answers

If there is an increase in foreign financial investment in the United States due to large U.S. budget deficits and attractive interest yields, the foreign exchange value of the dollar will appreciate.

When there is an increase in foreign financial investment in the United States, it implies that foreigners are buying U.S. assets such as government bonds or stocks. This inflow of foreign investment increases the demand for the U.S. dollar, causing its value to appreciate in the foreign exchange market.

An appreciation in the value of the U.S. dollar has several implications. Firstly, it makes U.S. goods and services relatively more expensive for foreign buyers, leading to a decrease in net exports as foreign demand decreases. This decrease in net exports negatively impacts aggregate demand, as exports are a component of aggregate demand.

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you can create _____ models using the scenario manager dialog box.

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You can create "What-If" models using the Scenario Manager dialog box in Microsoft Excel.

The Scenario Manager allows you to analyze different possibilities or scenarios within your data by modifying the input values, and then observing the resulting changes in the output.

To create a What-If model using the Scenario Manager, follow these steps:

1. Open the Excel workbook containing the data you want to analyze.
2. Click on the "Data" tab in the Excel Ribbon, and then click on "What-If Analysis" in the Forecast group.
3. Select "Scenario Manager" from the drop-down menu. The Scenario Manager dialog box will appear.
4. Click on the "Add" button to create a new scenario. Enter a name for the scenario, and select the input cells you want to modify by clicking on the "Collapse Dialog" button next to the "Changing Cells" field.
5. Enter the values for the input cells in the "Scenario Values" dialog box, and click "OK."
6. Repeat steps 4 and 5 for each additional scenario you want to create.
7. Once all scenarios have been created, you can view them by selecting the desired scenario in the Scenario Manager dialog box and clicking on the "Show" button.

Using the Scenario Manager, you can create What-If models that allow you to analyze the impact of various scenarios on your data, enabling you to make informed decisions based on different possible outcomes.

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________ can be conferred by industry, custom, or prior dealing between the parties.

Answers

A course of dealing can be conferred by industry, custom, or prior dealing between the parties.

It is a set of mutual understandings and expectations that have been developed based on the parties’ past interactions, often through a series of transactions. This pattern of behavior can be inferred from the parties’ prior dealings, industry customs, or through mutual agreement.

The term course of dealing is primarily used in contract law when parties have had multiple interactions over a period of time, typically repeated transactions. The parties’ prior dealings form a basis for understanding the expectations each party has in the current or future transactions.

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mean wage for the job is at lest $15 per hour. a sample of 25 shows mean of $13 per hour. if the sample standard deviation is 5, for alpha=.05, you _______ hypothesis.

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Mean wage for the job is at lest $15 per hour. a sample of 25 shows a mean of $13 per hour. if the sample standard deviation is 5, for alpha=.05, reject H₀ hypothesis.

The null hypothesis (H₀) states that the average hourly wage for the position is $15 or more. The alternative hypothesis (Ha) is that the average hourly wage for the position is less than $15.

We need to examine whether the difference is statistically significant at the hypothesized mean of $15 per hour. The sample size is 25, and the standard deviation is 5. To test the null hypothesis, we can use a one-sample t-test. The crucial t-value for alpha = 0.05 is -1.711. We reject the null hypothesis if the estimated t-value is less than -1.711.

As a result, the significance of the sample standard deviation is 5, for alpha=.05, to reject H₀ hypothesis are the aforementioned.

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Your question is incomplete, but most probably the full question was.

Mean wage for the job is at least $15 per hour, a sample of 25 shows a mean of $13 per hour. If the sample standard deviation is 5, for alpha = 0.05, you (blank) hypothesis:

a. Accept Hab. Accept H₀c. Reject Had. Reject H₀

consistent with asc topic 842, at the inception of the lease, lessees must recognize a "right-of-use" asset for which type of lease(s)?

Answers

ROU asset recognized for both operating and finance leases.

 Which ASC Topic 842 lease accounting?

Under ASC Topic 842, at the inception of a lease, lessees must recognize a "right-of-use" (ROU) asset for all leases, regardless of the type of lease. ASC 842 applies to both operating leases and finance leases.

Operating leases were previously treated as off-balance sheet items, but ASC 842 requires lessees to recognize both the lease liability and the corresponding ROU asset on the balance sheet. The recognition of the ROU asset provides a more accurate representation of the lessee's rights to use the leased asset over the lease term.

Finance leases, also known as capital leases under previous accounting standards, are leases that transfer substantially all the risks and rewards incidental to ownership of the leased asset to the lessee. For finance leases, ASC 842 requires the recognition of both the lease liability and the ROU asset, similar to operating leases.

In summary, under ASC Topic 842, lessees must recognize a right-of-use asset for both operating leases and finance leases at the inception of the lease.

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Historically, the labor market practices of the American Medical Association:
reduced the demand for physicians' services.
have been similar to those of inclusive unions.
have been similar to those of craft (or exclusive) unions.
increased the supply of physicians' services.

Answers

The labor market practices of the American Medical Association (AMA) have been similar to those of craft (or exclusive) unions.

This means that the AMA has worked to limit the supply of physicians' services in order to increase the wages and job security of its members. This has been accomplished through a variety of means, including limiting the number of medical schools and residency programs, restricting the entry of foreign-trained physicians, and advocating for state-level licensing requirements that make it difficult for new physicians to enter the market.

While these practices have certainly benefited physicians by increasing their earning potential and job security, they have also had negative consequences for patients and the healthcare system as a whole. By limiting the supply of physicians, the AMA has contributed to a shortage of doctors in many areas of the country, particularly in rural and low-income communities. This has made it more difficult for patients to access timely and affordable care, which can have serious health consequences.

Overall, while the AMA's labor market practices have benefited its members, they have also had significant negative consequences for patients and the healthcare system as a whole.

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The following data is available for Metlock, Inc. at December 31, 2020: Common stock, par $10 (authorized 26000 shares) $234000 Treasury stock (at cost $15 per share) $1200 Based on the data, how many shares of common stock are outstanding? a. 26000 b.25920. c.23320 d. 23400.

Answers

Therefore, the correct answer is option b. 25,920 shares of common stock are outstanding.

Based on the data provided, we can calculate the number of outstanding common stock by subtracting the treasury stock from the authorized common stock. The authorized common stock is given as 26,000 shares and the treasury stock is given as 1,200 shares at a cost of $15 per share, which gives a total cost of $18,000.
So, the number of outstanding common stock can be calculated as follows:
Authorized common stock - Treasury stock = Outstanding common stock
26,000 - (1,200 / $15) = 26,000 - 80 = 25,920
The terms stock and share are commonly used interchangeably in the financial world. Stock refers to the ownership of a corporation, while shares refer to the individual units of ownership that represent a portion of the company's total outstanding stock. When a company issues stock, it offers ownership shares to investors in exchange for capital.
The number of shares outstanding is important for investors because it is a key metric used to calculate earnings per share (EPS) and other financial ratios. EPS is calculated by dividing the company's net income by its total outstanding shares. This ratio is important because it measures how much profit a company is making per share of stock, and it is often used by investors to evaluate the company's financial health and growth potential.
In summary, stock and share are related terms that are used to describe the ownership of a corporation. The number of shares outstanding is an important metric for investors because it is used to calculate financial ratios such as EPS.

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