Answer:
$41,600
Explanation:
Calculation for What amount should be included in the current liabilities section of Lanson's December 31, 2021, balance sheet
Accounts payable $25,200
Add Salaries payable $16,400
December 31, 2021, balance sheet current liabilities $41,600
($25,200+$16,400)
Therefore the amount that should be included in the current liabilities section of Lanson's December 31, 2021, balance sheet will be $41,600
1. Define economics from perspective of wealth, welfare, Scarcity & Growth which, defenation more suits for economics? Why ?
Economics can be defined as the study of the scarce resources that are in a [place and how to use the scarce resources to carry out production of goods and services for the growth of society.
Why is this a great definition of economics?This is due to the fact that it takes into consideration the fact that there a limited resources in a nation.
And despite these the needs are plenty and so it is useful that the scarce resources are well utilized to solve the issues of man.
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A rise in wages could be due to:
Explanation:
Companies can increase wages for a number of reasons. The most common reason for raising wages is an increase in the minimum wage. The federal and state governments have the power to increase the minimum wage. Consumer goods companies are also known for making incremental wage increases for their workers.
Why is the self and social awareness skill important and how can it help to prepare you for automation; remote work or changes in your industry?
Answer:
Explanation:
Self-awareness allows us to see things from the perspective of others, practice self-control, work creatively and productively, and experience pride in ourselves and our work as well as general self-esteem (Silvia & O'Brien, 2004). It leads to better decision making (Ridley, Schutz, Glanz, & Weinstein, 1992).
Self-awareness enables us to practice self-control, work creatively and productively, see things from others' perspectives, feel pride in our work and ourselves, and have a healthy sense of self-worth. It facilitates improved decision-making.
What is Self-awareness?According to psychologists Shelley Duval and Robert Wicklund, the ability to focus on oneself and how your acts, ideas, or emotions do or do not align with your internal standards.
The first thing we may do is deliberately look into who we are by learning more about who and what we are. One useful technique is to evaluate oneself in terms of the four sides or elements of the self: the bodily, emotional, mental, and spiritual self.
When we are conscious of ourselves, we may recognize our virtues and shortcomings. This knowledge enables us to set our own goals.
Thus, Self-awareness enables us to practice self-control.
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PlastiPharm produces a foundational product that sits on a shelf until it is needed and added to another product. In reviewing the process of combining the two products, the production staff realized that the foundational products are sometimes not tested, although the final product is always tested. They determined that all the foundational products will now undergo testing. The additional testing will add time and effort, which translates to additional costs, so why would PlastiPharm want to perform the additional testing?
a.The additional testing helps the company as it strives for perfection in its products and helps avoid future problems by reducing waste (defective parts).
b.Making sure that all parts are tested ensures that the company is ready to respond to last-minute orders.
c.The additional testing will help the company meet customer demands for certification that all their products have been tested 100 percent of the time.
d.Testing all the parts addresses any questions that customers might have about quality or performance of materials.
PlastiPharm would want to perform the additional testing because:
The additional testing helps the company as it strives for perfection in its products and helps avoid future problems by reducing waste (defective parts). (Option C)Testing all the parts addresses any questions that customers might have about quality or performance of materials. (Option D)Why do manufacturers carry out testing?
Rigorous testing is usually carried out by companies to ensure that defects and hazards are detected before the products are sent out into the market.
This way, their liability from product defects is reduced or eliminated completely.
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Upscale hotels in the United States recently cut their prices by 20 percent in an effort to bolster dwindling occupancy rates among business travelers. A survey performed by a major research organization indicated that businesses are wary of current economic conditions and are now resorting to electronic media, such as the Internet and the telephone, to transact business. Assume a company’s budget permits it to spend $5,000 per month on either business travel or electronic media to transact business. Graphically illustrate how a 20 percent decline in the price of business travel would impact this company’s budget set if the price of business travel was initially $1,000 per trip and the price of electronic media was $500 per hour. Suppose that, after the price of business travel drops, the company issues a report indicating that its marginal rate of substitution between electronic media and business travel is 1. Is the company allocating resources efficiently? Explain
The graphical illustration is given in the attachment. It shows how a 20 percent decline in the price of business travel would impact this company’s budget set if the price of business travel was initially $1,000 per trip and the price of electronic media was $500 per hour. This exercise is about budgeting.
Suppose that, after the price of business travel drops, the company issues a report indicating that its marginal rate of substitution between electronic media and business travel is 1. Is the company allocating resources efficiently?
No. The company is not allocating resources efficiently.
What is the explanation for the above?The new price of business travel when the cost of business travel is lowered by 20% is derived as follows:
1000 * 20%
= $200
New price =
1,000 - 200
= $800
Recall that the budget limit is $5,000:
Number of travel units assuming the budget is fully allotted for travel
= 5000/800
= 6.25 journeys
Number of travel units assuming the funding is entirely devoted to media
= 5000/500
= 10 media
From the above, we can create a budget line B2 with media on the y-axis and travel on the x-axis.
When the price is dropped, the budget line shifts to the right, reading the slope and steepness of the budget line.
It is to be noted that the Marginal Rate of Substitution (MRS) is the gradient of the budget line. This line is derived by the change in y-axis and by the change in the x-axis.
Thus:
Budget line = - dy/dx
= - 10/6.25
= -1.6
This indicates that for every unit of business trip, we must sacrifice 1.6 units of media.
Remember that the MRS is -1, which implies that for every unit of business trip, the corporation gives away one unit of media.
In other words, they are paying the same price as for business travel, resulting in an inefficient use of resources.
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from order Technology plays a major role in how warehouses are managed these days processing right through to inventory keeping and shipping. Do some research on what systems are available and specifically the financial benefits it holds for the user and owner. Write a short essay of no longer than 250 words.
The purpose of a WMS is to help provide that goods and materials move through warehouses in the most efficient and cost-effective way. A WMS handles many processes that enable these movements, including inventory tracking, picking, receiving and putaway
How does information technology help with warehousing?The real-time information provides accurate, current information to managers, warehouse workers, and operations personnel – all at the identical time – for better decision-making. Besides real-time information, WMS releases the guesswork of where the event is found.
What's the most significant thing in warehouse management?Goods tracking.Selection and packing.Receiving and stowingShipping.ReportingEnable logistical growth.Parcels are processed and shipped faster.To learn more about warehouses, refer
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20 pts
Why did Frito-Lay air a commercial the night BEFORE the Super Bowl?
OA. more football fans were watching TV that night
OB. they couldn't afford to air it during the Super Bowl
people bought the product to eat during the game
O D. there are more nonsports fans than sports fans
OC.
Answer:
People bought the product to eat during the game
Explanation:
Super Bowl parties are an American staple. People buy snacks in bulk before the Super Bowl to serve at their parties. Therefore, this is the answer that makes the most sense.
Which factor plays the biggest role in motivating economic decisions in a market economy?
A. Corruption in the leadership of powerful groups
B. Competition between different businesses
C. Commitment to maintaining a traditional lifestyle
D. Cooperation between governments and citizens
Competition between different businesses plays the biggest role in motivating economic decisions in a market economy. Thus, option (b) is correct.
What is a market economy?A market economy is an economic system in which the production and distribution of goods and services are determined by the interaction between consumers and businesses in the marketplace. In a market economy, decisions about what to produce, how much to produce, and what price to charge are made by businesses in response to changes in demand from consumers.
The biggest factor that motivates economic decisions in a market economy is competition between different businesses. This competition encourages businesses to be innovative and efficient in order to stay ahead of their rivals. As businesses strive to outcompete one another, they are also incentivized to produce goods and services that are of higher quality and at lower prices.
Therefore, it can be concluded that competition between different businesses plays the biggest role in motivating economic decisions in a market economy. Hence, option (b) is correct.
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should central banks implement expansionary monetary policy to prevent deep recessions with uncertain long-term consequences?
Yes, the bank should use expansionary monetary policy.
When the economy is in recession and the produces less than its potential GDP, then expansionary fiscal policy is most suitable. The contractionary fiscal policy reduces the aggregate demand by either cutting government expenditure or raising the taxes.
During difficult economic circumstances, the central bank may use the expansionary monetary policy to reduce the unemployment and stimulate growth. It normally does so by decreasing its benchmark federal funds rate, or the interest rate at which banks lend to one another to meet reserve requirements.
Therefore, the answer is yes.
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When calculating the quick ratio or "acid test" which current asset or liability is omitted?
Inventory is omitted while computing the quick ratio or "acid test".
The quick ratio is computed as shown below:
= (Current Assets - Inventory) / Current Liabilities
As can be seen in the above formula, inventory is omitted while computing the quick ratio
So, the correct answer is the option of Inventory.
The "acid-taste" ratio is used to indicate an organization's capability to repay its current liabilities without relying on the sale of stock or on obtaining extra financing.
Inventory is not protected in calculating the ratio, as it is not in the essential asset which could result easily and unexpectedly converted into cash.
Your question is incomplete. Please read below for the missing content.
When calculating the quick ratio or "acid test" which current asset or liability is omitted?
A. Account [Payables
B. Inventory
C. Accounts Receivable
D. Cash
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A good theory is hard to understood, while simple enough to capture the key features of the object or situation being studied.
True
False
Events that occur locally, or nationally, impact the rest of the consumers and producers in this country.
True
False
Microeconomics and macroeconomics are not separate subjects, but rather complementary perspectives on the overall subject of the economy.
True
False
Most real-world industries will either be a perfect competition or a monopoly and will not fall in the middle ground of market structures.
True
False
The given statement "A good theory should be sophisticated enough to capture the complexities of the object or situation being studied while also being simple enough for understanding and practical use" is True.
Events that occur locally or nationally can have ripple effects on the entire economy, impacting both consumers and producers in the country is True.
Microeconomics and macroeconomics are indeed complementary perspectives that together form a comprehensive understanding of the economy is True. Microeconomics focuses on individual units like households and firms, while macroeconomics deals with the overall economy's performance.
The statement "Most real-world industries will either be a perfect competition or a monopoly and will not fall in the middle ground of market structures." is false
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Venya and Kari own a flower shop that specializes in custom bouquets. Wanting to expand into selling potted plants, they create a production possibility chart to assess whether the potted plants are a good idea. Study their chart:
Venya and Kari would be able to produce 50 potted plants on Day 3.
What is a production possibility?This curve is an economic tool that illustrates varying amounts of two products that can be produced when both depend on the same finite resource
Based on the given chart, Venya and Kari would be able to produce 50 potted plants on Day 3.
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Answer:
50
Explanation:
If an increase in the price of good x causes a decrease in the demand for good y, we can conclude that:_________
Answer:
the price of good Y will Increase and goods are complimentary
This is like highschool economics,
There should be quizlet flash cards for this
If an increase in the price of good x causes a decrease in the demand for good y, we can conclude that then, both X and Y goods are complementary goods.
What are substitute goods?Similar products that a client may employ for the same purpose are substitute goods. If the product they prefer is offered, your customers might buy it, but they might also look at alternatives if the price, the product's availability, or its quality changes. The demand for an item is frequently affected by these changes as well.
A complementary good or service is one that is utilized in conjunction with another good or service. Typically, the complimentary product has little to no value when ingested by itself. However, when combined with another good or service, it raises the bid's overall worth.
When two goods are complementary, a rise in the price of one good will result in a decline in the demand for the other good. The demand curve is also affected by the costs of related or replacement commodities.
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If you are interested in investing in a stock. Mark which of the following is a way you can PROFIT from your investment? (Check all that apply)
Holding the Stock for at least 5 years
Principal
Dividends
Selling the stock at a higher price than you paid for it
One can profit from stock investment through dividends and selling the stock at a higher price
What is stock investment?
Stock investment means buying shares in a company in expectation of dividends and capital gains, which can be achieved by selling at a higher price than the initial purchase price.
Basically, gains from stocks are through dividend yield and capital gains, which means that principal receipt is not applicable since that applies to bond or debt issuance.
Holding the stock for 5 years does not guarantee a positive return because prices cannot be predicted.
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Vibrant Company had $920,000 of sales in each of Year 1, Year 2, and Year 3, and it purchased merchandise costing $510,000 in each of those years. It also maintained a $220,000 physical inventory from the beginning to the end of that three-year period. In accounting for inventory, it made an error at the end of Year 1 that caused its Year 1 ending inventory to appear on its statements as $200,000 rather than the correct $220,000.
1. The preparation of the correct income statement for Vibrant Company for each of the three years is as follows:
Vibrant Company
Income StatementFor the years ended December 31, Year 1, Year 2, and Year 3
Year 1 Year 2 Year 3 Total
Sales revenue $920,000 $920,000 $920,000 $2,760,000
Cost of goods sold:
Beginning inventory $220,000 $220,000 $220,000 $220,000
Purchases 510,000 510,000 510,000 1,530,000
Goods available for sale $730,000 $730,000 $730,000 $1,750,000
Less Ending inventory $220,000 $220,000 $220,000 $220,000
Cost of goods sold 510,000 510,000 510,000 1,530,000
Gross profit $410,000 $410,000 $410,000 $1,230,000
2. The preparation of the income statements showing the effects of the error for Vibrant Company for each of the three years is as follows:
Vibrant Company
Income StatementFor the years ended December 31, Year 1, Year 2, and Year 3
Year 1 Year 2 Year 3 Total
Sales revenue $920,000 $920,000 $920,000 $2,760,000
Cost of goods sold:
Beginning inventory $220,000 $200,000 $220,000 $220,000
Purchases 510,000 510,000 510,000 1,530,000
Goods available for sale $730,000 $710,000 $730,000 $1,750,000
Less Ending inventory $200,000 $220,000 $220,000 $220,000
Cost of goods sold 530,000 490,000 510,000 1,530,000
Gross profit $390,000 $430,000 $410,000 $1,230,000
Thus, the misstatement of the ending inventory as $200,000 instead of $220,000 caused the gross profit for year 1 and year 2 to be correspondingly misstated by $20,000, respectively.
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What impact does interest have on the cost of the purchases you make when using credit? OA. Interest has no impact because it is separate from the actual purchase prices. B. Interest can cause the overall cost of your purchases to increase. C. Interest can cause the overall cost of your purchases to decrease. O D. Interest has no impact because most credit cards do not charge interest. SUBMIT
Interest has no impact because most credit cards do not charge interest.
What are the effects of interest rates on consumers?The Effect of Interest Rates on Consumer Behavior Interest rates impact the cost of borrowing money as well as the returns that savers can earn on their investments. An interest rate is the amount of interest due per period, as a proportion of the amount lent, deposited, or borrowed. When interest rates are high, some loans become too costly and borrower demand may lessen, which reduces the total consumption of loans. Conversely, when interest rates drop, consumers take advantage of the lower loan rates, which increases demand for loan products.
The correct answer is D.
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Which is one advantage of learning a trade compared to attending a four-year
college?
A. Learning a trade requires more time in an academic setting.
B. Learning a trade often costs more.
C. Learning a trade has a higher lifetime earning potential.
D. Learning a trade typically requires less time in school.
Answer:
C. Learning a trade has a higher lifetime earning potential.
Answer: learning a trade has a higher lifetime earning potential
Explanation:
Beedle issued a 10-year bond to Aeron Company on 1/1/20x6. The bonds have a 6% annual interest rate and pay interest semi-annually on June 30 and December 31. The market rate of interest on 1/1/20x6 for bonds of similar risk was 5% (annual). The face value of the bonds purchased was $200,000.
The fair value of the bonds of the bonds at December 31 was as follows:
$ 213,200 12/31/20X6 $ 213,300 12/31/20X7 $ 212,000 12/31/20x8
Assume Beedle does not make any special elections regarding the reporting of the bonds. Beedle prepares annual financial statements and completes adjusting entries at the end of the year. Beedle has no debt other than this bond.
1. Compute the issue price of the bonds. Show and label any computations or steps (for possible partial credit).
2. Complete an amortization schedule through 20X9 (8 payments) for the bonds in excel. Round (or truncate)
dollar figures to the nearest dollar.
3. Show the journal entry recorded by Beedle on 1/1/20x6.
4. What amount is in each of these accounts after all of the 20x6 entries are completed? (Issuance, 2 payments
and adjusting entries, if any.) Label each balance as debit or credit. You might want to use t-accounts to track these (I would), but just give me the ending balances, please.) A. Bond payable B. Discount or premium C. Fair value adjustment on Bond payable
D. Interest expense
5. Beedle pays Aeron $212,000 on 12/31/20X8 to retire the bonds. Assume all regular entries are recorded before
the retirement transaction. Record the journal entry by Beedle for the bond retirement transaction.
1. The issue price of the bonds is $215,589.16.
2. An amortization schedule through 20x9 is as follows:
Amortization Schedule:Period PV PMT Interest Expense Amortization FV
1 $215,589.16 $6,000 $5,389.73 $610.27 $214,978.89
2 $214,978.89 $6,000 $5,374.47 $625.53 $214,353.36
Year 2
3 $214,353.36 $6,000 $5,358.83 $641.17 $213,712.20
4 $213,712.20 $6,000 $5,342.80 $657.20 $213,055.00
Year 3
5 $213,055.00 $6,000 $5,326.38 $673.62 $212,381.38
6 $212,381.38 $6,000 $5,309.53 $690.47 $211,690.91
Year 4
7 $211,690.91 $6,000 $5,292.27 $707.73 $210,983.18
8 $210,983.18 $6,000 $5,274.58 $725.42 $210,257.76
3. The journal entry recorded by Beedle on January 1, 20x6 is as follows:
Debit Cash $215,589.16
Credit Bonds Payable $200,000
Credit Bond Premium $15,589.16
To record the issuance of $200,000 at 6% interest, semi-annually.4. The amount in the accounts at the end of 20x6 are:
A. Bond payable $200,000
B. Premium $14,353.36 ($15,589.16 - $610.27 = $625.53)
C. Fair value adjustment on Bond payable = $1,235.80 ($610.27 = $625.53)
D. Interest expense = $10,764.20
5. The journal entry to record the bond retirement transaction on 12/31/20X8 is as follows:
Debit Bonds Payable $200,000
Debit Bonds Premium $12,000
Credit Cash $212,000
To record the bond retirement.Data and Calculations:Maturity period = 10 years
Interest rate = 6% semi-annually
Interest payment dates = June 30 and December 31
Market rate = 5%
Face value = $200,000
Semi-annual coupon payment = $6,000 ($200,000 x 3%)
Fair value of the bonds at December 31:
12/31/20X6 $ 213,200
12/31/20X7 $ 213,300
12/31/20x8 $ 212,000
Issue Price Calculations:N (# of periods) = 20 (10 years x 2)
I/Y (Interest per year) = 5%
PMT (Periodic Payment) = $6,000 ($200,000 x 6% x 1/2)
FV (Future Value) = $200,000
Results:
PV = $215,589.16
Sum of all periodic payments = $120,000 ($6,000 x 20)
Total Interest $104,410.84
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Oriole Tools uses the allowance method to account for uncollectible accounts.
May 20 The account of Barack Obama for $1,092 was deemed to be uncollectible and is written off as a bad debt.
Aug. 7 Received a check for $264 from Barack Obama whose account had previously been written off as uncollectible.
Dec. 31 Use the following information for the year-end adjusting entry:
The balances of Accounts Receivable and Allowance for Doubtful Accounts at year- end are $104,800 and $104, respectively, both with debit balances. It is estimated that bad debts will be 1.5% of accounts receivable.
Prepare the appropriate journal entries to record the above transactions during 2014
1. The appropriate journal entries to record the transactions during 2014 for Oriole Tools are as follows:
Journal Entries:May 20 Debit Allowance for Doubtful Accounts $1,092
Credit Accounts Receivable $1,092
To write off as a bad debt.Aug. 7 Debit Accounts Receivable $264
Credit Allowance for Doubtful Accounts $264
To reverse a previously written-off uncollectible.Debit Cash $264
Credit Accounts Receivable $264
To record the receipt of cash on account.2. The appropriate adjusting entries to record the adjustments year-end for Oriole Tools are as follows:
Adjusting Entry:Dec. 31 Debit Bad Debts Expense $1,676
Credit Allowance for Doubtful Accounts $1,676
Transaction Analysis:May 20 Allowance for Doubtful Accounts $1,092 Accounts Receivable $1,092
To write off as a bad debt.
Aug. 7 Accounts Receivable $264 Allowance for Doubtful Accounts $264
To reverse a previously written-off uncollectible.
Cash $264 Accounts Receivable $264
To record the receipt of cash on account.
Dec. 31 Year-end adjusting entry:Dec. 31 Bad Debts Expense $1,676 Allowance for Doubtful Accounts $1,676
Data and Calculations:The balances of at year-end:
Accounts Receivable = $104,800 DR
Allowance for Doubtful Accounts = $104 DR
Estimated bad debts = $1,572 (1.5% x $104,800)
Bad Debts Expense = $1,676 ($104 + $1,572)
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TopKnotch Mfg. Co. has a production cost of $280. It sells its product to a wholesaler for $400. The wholesaler then sells the item to retailers for $500 and the retailers sell the item for $1,000.
A. What is the retailer’s markup percentage on selling price?
•
B. What is the wholesaler’s markup percentage on selling price?
•
C. What is the manufacturer’s markup percentage on cost?
Answer: 50%, 40%
Explanation: A. What is the retailer’s markup percentage on selling price?
Selling price – cost/Selling price X 100 so 1000-500=500/1000 =.5 X 100 = 50%
B. What is the wholesaler’s markup percentage on selling price? 1000-400/1000 X 100 = 40%
A. The retailer's markup percentage on selling price is 100%.
B. The wholesaler's markup percentage on selling price is 25%.
C. The manufacturer's markup percentage on cost is approximately 42.86%.
A. Retailer's Markup Percentage on Selling Price is calculated as follows:
Markup = Selling Price - Purchased Price
Markup = $1,000 - $500
= $500
Markup Percentage = (Markup / Purchased Price) * 100
Markup Percentage = ($500 / $500) * 100
= 100%
B. Wholesaler's Markup Percentage on Selling Price is calculated as follows:
Markup = Selling Price - Purchased Price
Markup = $500 - $400
= $100
Markup Percentage = (Markup / Purchased Price) * 100
Markup Percentage = ($100 / $400) * 100
= 25%
C. Manufacturer's Markup Percentage on Cost is calculated as follows:
Markup = Selling Price - Production Cost
Markup = $400 - $280
= $120
Markup Percentage = (Markup / Production Cost) * 100
Markup Percentage = ($120 / $280) * 100
= 42.86%
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Rights are offset by _____, which are obligations to perform certain tasks and duties.
Which of the following is an example of an adjusting entry?
A. Revenue that has been billed but not yet paid
B. Revenue from a prior accounting period
C. Revenue in the form of products as opposed to cash
D. Revenue that has been billed and paid
The correct answer is option A. An example of an adjusting entry is Revenue that has been billed but not yet paid
What is an adjusting entry?These are entries that share correct amount between income and expenditure in the period they occur, usually at the end of the financial period.
It is to be noted that adjusting entries are alteration made to journal entries that have been previously recorded.
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Two firms Apple and Samsung in the smart phone market have combined demand given by Q = 200 – P. Their total costs are given by TC Apple = 4 Q Apple + Q 2 Apple and TC Samsung = 4 Q Samsung + Q 2 Samsung . If they cannot successfully collude and instead produce where the market price equals marginal cost, their total output will be
The total output of both smart phones company would be 98.
How to solve for outputThe combined demand is
Given, Q = 200 - P
Therefore P = 200 - Q
Q = Qa + Qs
P = 200 - QA - QS
For apple, We have
4 Q Apple + Q² Apple
and
4 Q Samsung + Q² Samsung
4 Q + Q² A
= 4 + 2QA
Then 200 - QA - QS = 4 + 2QA
Take like terms
3QA + QS = 196 --- eqn 1
For samsung we do the same thing till we arrive at
QA + 3QS = 196 --- eqn 2
Solve eqn 1 and 2 simultaneously
We would have QA = 49 and Qs = 49
Total output is the addition of both values
49 + 49 = 98
How to solve for total output
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When there is a positive externality in a free market, too much of the good is produced and consumed. True or false?.
When there is a positive externality in a free market, too much of the good is produced and consumed. This statement is false.
Positive externalities happen when the usage of a good or its production results in a benefit to a third party.
For instance, you receive a private advantage when you consume education. However, there are advantages for the rest of society as well.
For instance, you can educate others, and as a result, they gain from your education. (A positive externality of consumption)
Positive externalities cause market failure and underconsumption.
Among the government initiatives to boost demand for items with favorable externalities
Regulations and guidelines - minimum school ageIn order to boost the stock of high-quality housing, the government is creating more council housing.Price-lowering and consumption-encouraging subsidies, such as those provided by the government for rural train services.Hence, the given statement is false.
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what is e-reputation?
On June 1, Sheridan Company Ltd. borrows $162,000 from Acme Bank on a 6-month, $162,000, 4% note. The note matures on December 1.
(a)Prepare the entry on June 1. (Credit account titles are automatically indented when amount is entered. Do not indent manually.)
(b) Prepare the adjusting entry on June 30. (Credit account titles are automatically indented when amount is entered. Do not indent manually.)
(c) Prepare the entry at maturity (December 1), assuming monthly adjusting entries have been made through November 30. (Credit account titles are automatically indented when amount is entered. Do not indent manually.)
(d) What was the total financing cost (interest expense)?
a) The journal entry on June 1 for Sheridan Company Litd. is as follows:
Journal Entry:June 1:
Debit Cash $162,000
Credit Note Payable (Acme Bank) $162,000
b) The adjusting entry on June 30 is as follows:
Adjusting Journal Entry:June 30:
Debit Interest Expense $540
Credit Interest Payable (Acme Bank) $540
c) The journal entry at maturity on December 1 is as follows:
Journal Entry:December 1:
Debit Note Payable (Acme Bank) $162,000
Debit Interest Payable (Acme Bank) $3,240
Credit Cash $165,240
d) The total financing cost (interest expense) was $3,240.
What does the finance cost mean?The finance cost refers to the interest expense that Sheridan Company Ltd. must pay to Acme Bank for using the credit from the 4% note.
Data and Calculations:Note Payable = $162,000
Interest rate = 4%
Maturity period = 6%
Monthly finance cost = $540 ($162,000 x 4% x 1/12)
Total finance cost = $3,240 ($162,000 x 4% x 6/12)
Thus, the finance cost is computed as the principal multiplied by 4% multiplied by 6/12 months.
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The sales and cost data for two companies in the transportation industry are as follows:
X Company Y Company
Amount Percent Amount Percent
Sales $ 150,000 100.00 $ 150,000 100.00
Variable costs 90,000 60.00 45,000 30.00
Contribution margin 60,000 40.00 105,000 70.00
Fixed costs 34,200 70,250
Operating income (πB) $ 25,800 $ 34,750
X Company's degree of operating leverage (DOL) at the current sales volume level is calculated to be:
Multiple Choice
2.33
3.00
5.00
4.00
1.00
The correct option for X Company's degree of operating leverage (DOL) at the current sales volume level is calculated to be is A. 2.33
For X-Company :
Degree of operating leverage = Contribution ÷ EBIT i.e., operating income
= 60000 ÷ 25800
= 2.33 times
Operating leverage is a fee-accounting method that measures the degree to which a company or assignment can boom operating profits by way of growing revenue. An enterprise that generates sales with an excessive gross margin and occasional variable charges has high operating leverage.
Generally speaking, high operating leverage is better than low operating leverage, because it permits groups to earn large profits on each incremental sale. Having said that, groups with a low degree of operating leverage may also discover it simpler to earn a profit when dealing with a decreased level of income.
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The following Computer output presents the least-squares regression line for predicting the price of a certain commodity from the price of a barrel of oil.
_______________________________________________________________________
Predictor
Coef
SE Coef
T
P
Constant
147.851724
68.827814
2.148139
0.098187
Oil
0.493103
0.691769
0.712815
0.515337
_______________________________________________________________________
Write the equation of the least-squares regression line.
y = 0.098187 + 0.515337x
y = 2.148139 + 0.712815x
y = 147.851724 + 0.493103x
y =0.493103 + 147.851724x
Answer:
y=2.148139 +0.712815x
Computer output presents the least-squares for predicting the price of a certain commodity from the price of a barrel of oil is y=2.148139 +0.712815x
A regression is a statistical approach that relates a based variable to one or extra impartial (explanatory) variables. A regression version is able to expose whether modifications discovered in the structured variable are related to modifications in one or more of the explanatory variables.
A regression analysis is completed for considered one of purposes: so that it will expect the price of the established variable for individuals for whom some statistics concerning the explanatory variables is to be had, or if you want to estimate the effect of some explanatory variable at the structured variable.
COMMODITY = - 43.987621 + 23.368407 OIL
OIL PRICE = $ 114 /per barrel
Commodity = - 43.987621 + 23.3658407*(144)
Commodity = $2620.010777
according to the options B is the answer.
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14. ABC is expected to pay GHS 500 dividend per share next year, and then sell for GHS2, 000 thereafter. If your discount rate is 28%, how much will you pay for a share today? Suppose dividend will increase by 10% per annum and you have a 4-year holding period in mind. How much will you pay, if the price is also expected to increase at 10% pa? (7 Marks)
XYZ Dividend Announcement [8 marks]
Shareholders of XYZ Company will be smiling all the way to the bank following an announcement of a dividend of 8 pesewas per share to all shareholders in respect of the 2014 financial year.
The announcement was made on March 1, 2015 and the dividend is expected to be approved by investors at the company's Annual General Meeting scheduled for March 27, 2015.
In this regard, members registered in the books of XYZ at the close of business on March 23, 2015 will qualify for the payment of the final dividend. The ex-dividend date has however been set as Friday, March 20, 2015. The final dividend will be paid on March 30, 2015. XYZ is presently trading at GHS 3.13 per share on the Ghana Stock Exchange.
a) Given that the GSE rules provide that all transactions on the floor of the exchange must go through the books of the firm by the close of business on the third working day following the transaction, what is the last date on which to buy the shares in other to receive the dividends announced?
b) What is the last day on which to sell your shares if you do not wish to receive these dividends?
c) If the equity of XYZ is worth GHS 313 million, how much will Esi receive if she owns 1% of the shares of XYZ?
d) What is XYZ’s dividend yield?
1a) The price I will pay for a share today in ABC is GHS 1,785.71.
1b) The price I will for a share today in ABC with a dividend growth rate of 10% is GHS 2,777.78.
2) XYZ Company:
2a) The last date on which to buy the shares of XYZ Company in order to receive the dividends announced is March 20, 2015.
2b) The last date on which to sell shares if you do not wish to receive dividends is March 20, 2015.
2c) The dividend received by Esi from XYZ Company is GHS 80,000.
2d) XYZ's dividend yield is 2.56%(GHS 0.08/GHS 3.13)
Data and Calculations:ABC Company:
Expected dividend per share next year = GHS 500
Selling price per share thereafter = GHS 2,000
Discount rate = 28%
1a. Price to pay = GHS 1,785.71 (GHS 500/28%)
1b. Dividend growth rate = 10%
Price to pay = GHS 2,777.78 (GHS 500 (28% -10%)
2) XYZ Company:Dividend per share declared = GHS 0.08
Dividend record date = March 23, 2015
Ex-dividend date = March 20, 2015
Dividend payment date = March 30, 2015
Present share price = GHS 3.13
2a) The last date to buy shares is March 20, 2015.
2b) The last date to sell shares is March 20, 2015.
2c) Equity value of XYZ = GHS 313 million
Outstanding shares = 100 million (GHS313 million/GHS 3.13)
Esi's shareholding = 1 million (100 million x 1%)
Dividend received by Esi = GHS 80,000 (1 million x GHS 0.08)
2d) XYZ's dividend yield is 2.56%(GHS 0.08/GHS 3.13)
= Dividend per share/Share Price
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17. Use the table below to draw a component bar chart and multiple bar chart. Maize (tons) Millet (tons) Rice (tons) 60 20 20 70 30 10 20 45 70 Year 2012 2013 40 80 2014 2015 2016 50 (Note: Use a graph sheet to draw). 35 40 60 Total 100 140 110 120 180 A
See attachment for the component bar chart and the multiple bar chart
How to draw the bar charts?The table of values is given as:
Maize (tons) Millet (tons) Rice (tons) Year
60 20 20 2012
70 30 10 2013
20 45 70 2014
40 80 50 2015
35 40 60 2016
The component bar chart
Here the bars of each year are stacked upon one other for each year
i.e. the bar chart will look as follows
Maize
Millet
Rice
Year
Next, we enter the values on the table of values in a graphing tool
See attachment for the component bar chart
The multiple bar chart
Here the bars of each year are stacked upon one other for each year
i.e. the bar chart will look as follows
Maize Millet Rice
Year
Next, we enter the values on the table of values in a graphing tool
See attachment for the multiple bar chart
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