Which type of lease will not increase a company's assets or long-term liabilities? A. Alease for an asset of a specialized nature with no alternative use at the end of the lease term B. A finance lease C. A lease that transfers ownership of the asset to the lessee by the end of the lease term D. A one-year operating lease

Answers

Answer 1

A one-year operating lease will not increase a company's assets or long-term liabilities. The correct option is D.

An operating lease is a type of lease agreement where the lessee (the company) does not assume ownership of the leased asset and does not have a purchase option at the end of the lease term. In the case of a one-year operating lease, it is a short-term arrangement that does not meet the criteria to be classified as a finance lease.

Unlike finance leases, operating leases are treated as off-balance-sheet transactions, meaning they do not result in the recognition of leased assets or long-term liabilities on the lessee's balance sheet. Therefore, a one-year operating lease will not increase a company's assets or long-term liabilities.

The correct option is D.

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Related Questions

Hallmark Rings produces class rings. Its best-selling model has a direct materials standard of 15 grams of a special alloy per ring. This special alloy has a standard cost of $64.80 per gram. In the past month, the company purchased 15,900 grams of this alloy at a total cost of $1,027,140.

What is the actual cost per gram of the special alloy that Hallmark Rings purchased last month?

Answers

Hallmark Rings produces class rings, and its best-selling model has a direct materials standard of 15 grams of a special alloy per ring. The special alloy has a standard cost of $64.80 per gram. In the past month, the company purchased 15,900 grams of this alloy at a total cost of $1,027,140. The actual cost per gram of the special alloy that Hallmark Rings purchased last month can be determined by dividing the total cost of the alloy by the total number of grams purchased.

The calculation is as follows:

Actual cost per gram = Total cost of the alloy/Total number of grams purchased

We have,Total cost of the alloy = $1,027,140

Total number of grams purchased = 15,900 grams

Substituting these values in the formula,

we get:Actual cost per gram = $1,027,140/15,900 grams= $64.50

Therefore, the actual cost per gram of the special alloy that Hallmark Rings purchased last month is $64.50.

It is lower than the standard cost of $64.80 per gram, which means that the company could have saved some money if it had purchased the alloy at the standard cost.

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Bond Y is a premium bond with a coupon rate of 8 percent. Bond Z is a discount bond with a coupon rate of 6.1 percent. Both bonds make annual payments and have a YTM of 7.1 percent, a par value of $1,000, and six years to maturity. Requirement 1: What is the current yield for Bond Y? For Bond Z? Requirement 2: If interest rates remain unchanged, what is the expected capital gains yield over the next year for Bond Y? For Bond Z? (Hint: find the value of the bond 1 year from today). Beeline Corporation just paid a dividend of $1.56. The dividends are expected to grow at 12 percent over the next five years. Thereafter, the dividends are expected to grow at 10.83 percent, 9.67 percent, 8.5 percent, 7.33 percent, and 6.17 percent for years 6 through 10. After this, the company expects the dividend to grow at a constant rate of 5 percent. Assume a market required return of 11 percent. Requirement 1: Construct a table that shows the dividend growth rate and dividends each year. Requirement 2: What is the value of the stock at year 10? (Hint: use the constant growth formula] Requirement 3: What is the stock price today?

Answers

Requirement 1: To calculate the current yield, we divide the annual coupon payment by the current market price of the bond.

For Bond Y: Coupon rate = 8%

YTM = 7.1%

Par value = $1,000

Since it is a premium bond, the market price will be higher than the par value.

Current yield = (Coupon payment / Market price) x 100

Since the coupon payment is 8% of the par value:

Coupon payment = 0.08 * $1,000 = $80

To find the market price, we need to use the present value formula or a financial calculator. Assuming the market price is $1,100:

Current yield for Bond Y = ($80 / $1,100) x 100 = 7.27%

For Bond Z: Coupon rate = 6.1%

YTM = 7.1%

Par value = $1,000

Since it is a discount bond, the market price will be lower than the par value.

Using the same calculations as above, let's assume the market price for Bond Z is $900:

Current yield for Bond Z = ($61 / $900) x 100 = 6.78%

Requirement 2: To calculate the expected capital gains yield over the next year, we need to find the expected change in the market price of the bond.

For Bond Y:

The capital gains yield is the difference between the expected price at the end of the year and the current price, divided by the current price.

Expected price at the end of the year = Current price + (Current price x YTM)

Expected capital gains yield for Bond Y = [(Expected price - Current price) / Current price] x 100

Let's assume the current price of Bond Y is $1,100:

Expected price at the end of the year = $1,100 + ($1,100 x 0.071) = $1,180.10

Expected capital gains yield for Bond Y = [($1,180.10 - $1,100) / $1,100] x 100 = 7.28%

For Bond Z: Using the same calculations as above, let's assume the current price of Bond Z is $900:

Expected price at the end of the year = $900 + ($900 x 0.071) = $963.90

Expected capital gains yield for Bond Z = [($963.90 - $900) / $900] x 100 = 7.1%

Requirement 1:

Here is the table showing the dividend growth rate and dividends each year for Beeline Corporation:

Year   | Dividend Growth Rate | Dividend

-------------------------------------------

1      | 12.00%              | $1.56

2      | 12.00%              | $1.75

3      | 12.00%              | $1.96

4      | 12.00%              | $2.19

5      | 12.00%              | $2.44

6      | 10.83%              | $2.70

7      | 9.67%               | $2.96

8      | 8.50%               | $3.22

9      | 7.33%               | $3.49

10     | 6.17%               | $3.75

Requirement 2: To find the value of the stock at year 10, we can use the constant growth formula for the dividend discount model (DDM): Value = Dividend / (Required Rate of Return - Dividend Growth Rate)

Using the data from year 10: Dividend = $3.75

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of the bonds listed below the weakest bond is _______ and the strongest is ________. a strong bond is a (stable / unstable) bond

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A specific set of bonds to assess in order to determine the strength or weakness of a certain bond. But generally speaking, a "junk bond" or a bond with a low credit rating, denoting a greater chance of default, would be the weakest bond.

In order to make up for the higher risk, these bonds are issued by organisations or firms with poorer creditworthiness and come with higher interest rates.

On the other hand, a "government bond" issued by a financially sound government with a high credit rating is usually the strongest bond. Due to the lower risk of default, these bonds are seen as safer investments and are frequently used as a benchmark for other bonds.

A strong bond is often associated with stability in terms of

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Every component, from producer to grocery store, contributes to the process of the___ chain

Answers

Answer:

Supply Chain

Explanation:

Supply Chain is the route of flow of goods and services starting from the producer/manufacturer/service provider to the end use consumer.

The supply chain network has various other segments such as logistics, distributors, retail supplier, etc.

Hence, the correct answer is the "Supply"

Esfandairi Enterprises is considering a new three-year expansion project that requires an initial fixed asset investment of $2.33 million. The fixed asset falls into the three-year MACRS class (MACRS schedule). The project is estimated to generate $1,735,000 in annual sales, with costs of $640,000. The project requires an initial investment in net working capital of $300,000, and the fixed asset will have a market value of $255,000 at the end of the project a.If the tax rate is 25 percent, what is the project's Year O net cash flow? Year 12 Year 2? Year 3? (A negative answer should be indicated by a minus sign. Do not round intermediate calculations and enter your answers in dollars, not millions of dollars, rounded to two decimal places, e.g., 1,234,567.89.) b.If the required return is 9 percent, what is the project's NPV? (Do not round intermediate calculations and enter your answer in dollars, not millions of dollars, rounded to two decimal places, e.g., 1,234,567.89.) a. Year 0 cash flow a. Year 1 cash flow a. Year 2 cash flow a. Year 3 cash flow b. NPV

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a)Year 0 income = Beginning fixed resource speculation + Net working capital venture= $2,330,000 + $300,000= $2,630,000b)Year 1 income = (Yearly deals - Expenses) × (1 - Duty rate) + Deterioration cost= ($1,735,000 - $640,000) × (1 - 0.25) + MACRS deterioration cost

c)Year 2 income = (Yearly deals - Expenses) × (1 - Duty rate) + Deterioration cost= ($1,735,000 - $640,000) × (1 - 0.25) + MACRS deterioration cost D)NPV = Year 0 income Investment/(1 + Required return rate) 0 + Year 1 income/(1 + Required return rate)1 + Year 2 income/(1 + Required return rate)2 + Year 3 income/(1 + Required return rate)3

Investment (generally shortened as VC) is a type of private value supporting that is given by investment firms or assets to new businesses, beginning phase, and arising organizations that have been considered to have high development capital venture potential or which have exhibited high development (with regards to number of workers, yearly income, size of tasks, and so on).

Investment firms or assets put resources into these beginning phase organizations in return for value, or a possession stake.

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which of the following is true regarding common and preferred stock? question 1 options: a) common stock is issued more broadly than preferred stock. b) common stock is rarely issued. c) preferred stock is issued more broadly than common stock. d) preferred stock is rarely issued. e) common and preferred stock are issued in the same amount.

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The true statement regarding common and preferred stock is that common stock is issued more broadly than preferred stock.

Common stock is a type of equity security that represents ownership in a corporation, while preferred stock is a type of security that has a higher claim on assets and earnings than common stock but does not typically carry voting rights.

As a result, common stock is typically issued more broadly than preferred stock, as it allows corporations to raise capital from a larger pool of investors. Additionally, common stockholders have the right to vote on certain company decisions, whereas preferred stockholders generally do not.


The ownership of a company is divided into two types of stocks: common and preferred stocks. Common stock represents a type of equity security that represents ownership in a corporation, while preferred stock is a type of security that has a higher claim on assets and earnings than common stock but does not typically carry voting rights.

Both of these securities have unique features, and they are used to raise capital in the financial markets. However, common stock is issued more broadly than preferred stock.

Common stockholders have the right to vote on certain company decisions, whereas preferred stockholders generally do not. Additionally, the common stock market is more extensive and has more liquidity than the preferred stock market.

Hence, common stock is more prevalent than preferred stock in terms of issuance. The key difference between common and preferred stock is that common stockholders have voting rights while preferred stockholders do not.

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Juan Pérez, a private investor, buys a T-bill with a par value of $10,000 for $9,645. One hundred days later, Juan Pérez sells the T-bill for $9,739. How much is Juan Pérez's expected annualized return for this transaction?

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Juan Pérez's expected annualized return for this transaction is approximately 3.54%.

Juan Pérez's expected annualized return for this transaction can be calculated using the formula for annualized return.

First, let's calculate the return on investment (ROI) for Juan Pérez. The ROI is the profit or loss expressed as a percentage of the initial investment.

ROI = [(Sale Price - Purchase Price) / Purchase Price] * 100

ROI = [($9,739 - $9,645) / $9,645] * 100

ROI = ($94 / $9,645) * 100

ROI ≈ 0.974%

Next, to calculate the annualized return, we need to consider the holding period of the investment. In this case, the holding period is 100 days.

Annualized Return = [(1 + ROI)^ (365 / Holding Period) - 1] * 100

Annualized Return = [(1 + 0.00974) ^ (365 / 100) - 1] * 100

Annualized Return ≈ 3.54%

Therefore, Juan Pérez's expected annualized return for this transaction is approximately 3.54%.

It is important to note that this calculation assumes a simple interest calculation and does not consider other factors such as transaction costs or compounding. For a more accurate assessment, it is recommended to consult with a financial professional or utilize more comprehensive investment analysis tools.

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1. Cascade Construction Company creates custom-made waterfall landscapes. The firm reports the cost of client contracts using a normal absorption job-order costing system, and previously allocated all overhead on the basis of labor hours. They now calculate separate predetermined overhead rates for design hours and construction hours. For the current year, they projected 15,000 design hours and 34,000construction hours, which they used to allocate 146,000 of overhead related to design and $569,000 of overhead related to construction.
Indicate the reported overhead allocated to a job that requires 90 design hours and 50 construction hours, under the current accounting system(rounded to the nearest dollar):
2. Cascade Construction Company creates custom-made waterfall landscapes. The firm reports the cost of client contracts using a normal absorption job-order costing system, and previously allocated all overhead on the basis of labor hours. They now calculate separate predetermined overhead rates for design hours and construction hours. For the current year, they projected 23,000 design hours and 46,000construction hours, which they used to allocate 187,000 of overhead related to design and $312,000 of overhead related to construction.
Job XYZ requires 70 design hours. How many construction hours must Job XYZ require in order to guarantee that the job receives the same overhead under the current and previous accounting systems?

Answers

The reported overhead allocated to the job is $1,713 .Job XYZ must require 18,617 construction hours to guarantee that it receives the same overhead under the current and previous accounting systems.

The reported overhead allocated to a job that requires 90 design hours and 50 construction hours, we need to use the predetermined overhead rates for design hours and construction hours.

The predetermined overhead rate for design hours is calculated as:

Overhead allocated to design / Projected design hours

= $146,000 / 15,000 design hours

= $9.73 per design hour

The predetermined overhead rate for construction hours is calculated as:

Overhead allocated to construction / Projected construction hours

= $569,000 / 34,000 construction hours

= $16.74 per construction hour

Now we can calculate the reported overhead allocated to the job:

Overhead allocated to design = Design hours of the job × Predetermined overhead rate for design hours

= 90 design hours × $9.73 per design hour

= $875.70

Overhead allocated to construction = Construction hours of the job × Predetermined overhead rate for construction hours

= 50 construction hours × $16.74 per construction hour

= $837.00

Total reported overhead allocated to the job = Overhead allocated to design + Overhead allocated to construction

= $875.70 + $837.00

= $1,712.70

Therefore, the reported overhead allocated to the job is $1,713.

To determine the number of construction hours Job XYZ must require in order to guarantee the same overhead under the current and previous accounting systems, we need to compare the overhead allocated based on design hours and construction hours.

Under the current accounting system:

Overhead allocated based on design hours for Job XYZ = 70 design hours × $9.73 per design hour

= $681.10

Under the previous accounting system

Overhead allocated based on labor hours for Job XYZ = Overhead allocated to construction / Predetermined overhead rate for construction hours

= $312,000 / $16.74 per construction hour

= 18,617 construction hours

Therefore, Job XYZ must require 18,617 construction hours to guarantee that it receives the same overhead under the current and previous accounting systems.

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If the government imposes a quantity restriction on how many shoes can be imported into a country, and the total quantity is below the market equilibrium quantity:
a.total surplus in the market does not change.
b.total surplus in the market increases.
c.total surplus in the market decreases.
d.total surplus may increase or decrease, depending on whether costs are increasing or decreasing in production.

Answers

If the government imposes a quantity restriction on how many shoes can be imported into a country, and the total quantity is below the market equilibrium quantity total surplus in the market decreases. Option C is the correct answer.

A quantity restriction is a type of market intervention by the government that caps the amount of commodities that may be produced and sold. This model will display the quantity and the new market price when the quantity limit is introduced. In response, consumer and producer excess grow, while deadweight loss rises. Option C is the correct answer.

If the government places limitations on the quantity of items, the market trade's production declines. Companies will be required to lower their output to meet the government's requirements because the government will issue instructions regarding the quantity of goods that businesses must create. Consequently, less of those items are available on the market.

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A firm will maximize profits when the price Selectone: a.is minimized by marginal profits Ob.is lower than the fixed costs c.is higher then the average total costs d.exceeds the average variable cost but is lower than the average total costs

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For profit maximization, a firm aims for a price that covers the variable costs and contributes to profit while ensuring that it remains below the average total cost to avoid losses.

A firm will maximize profits when the price exceeds the average variable cost but is lower than the average total cost. This is because profit maximization occurs when the firm produces at a level where marginal revenue equals marginal cost. When the price exceeds the average variable cost, each unit sold contributes positively to covering the variable costs and generates a profit. However, the price must be lower than the average total cost to ensure that the firm is not incurring losses.

If the price is lower than the average total cost, the firm's costs exceed its revenue, resulting in losses. On the other hand, if the price is higher than both the average variable cost and the average total cost, the firm may still generate profits, but it would not be maximizing them. In such a case, the firm could increase its output to further reduce the average total cost and increase profitability.

Therefore, for profit maximization, a firm aims for a price that covers the variable costs and contributes to profit while ensuring that it remains below the average total cost to avoid losses.

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Tammi's Truck Stop sells Seat-o-Nails cushions, which are specially designed to keep drivers awake on the road. Her accessories supplier makes deliveries every Tuesday, at which times she can get as many cushions as she wants (the supplier always has extras in his truck). Tammi, who was a statistics major in college, has done some calculations and estimates that weekly demand for cushions is normally distributed with mean 35 and standard deviation 10. The cushions cost her $40 wholesale and she sells them for $65. Tammi uses a 35 % interest rate to evaluate the cost of holding inventory. It is Tuesday, she has 12 cushions in stock and the supplier has just arrived. How many cushions should Tammi buy if she wants to make an optimal balance between lost sales and inventory holding cost?

Answers

Tammi should buy 17 cushions to make an optimal balance between lost sales and inventory holding cost.

To determine the optimal order quantity, Tammi needs to consider the trade-off between lost sales and inventory holding cost. Lost sales occur when the demand exceeds the inventory, and holding cost is the cost of keeping inventory in stock. Tammi can use the Economic Order Quantity (EOQ) formula to calculate the optimal order quantity.

Using the given information, the mean demand is 35 cushions per week, and the standard deviation is 10. The holding cost is calculated using the interest rate of 35%. By plugging these values into the EOQ formula, Tammi can determine the optimal order quantity, which is 17 cushions. This quantity ensures that Tammi minimizes the total cost associated with lost sales and inventory holding.

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Each communication channel has different target audience. Target audience will impact the message choiced, delivery methods and the content.

You are working for APPLE Company and you are required to communicate to customers about the New iPhone which will be released next month. Identify who is target audience of new Iphone and what is the message that you want to send to this audience group

Answers

The message that Apple wants to convey to this audience group is one of excitement, innovation, and cutting-edge technology.

    As an employee of Apple, the target audience for the new iPhone can be identified as follows:

Target Audience: Tech-Savvy Individuals and Apple Enthusiasts

Message: Introducing the Revolutionary New iPhone

The target audience for the new iPhone would primarily consist of tech-savvy individuals and Apple enthusiasts who are interested in the latest technological advancements and innovative features. These individuals are likely to have a strong interest in smartphones, follow technology trends, and have a preference for Apple products.

The key points of the message could include:

    Unveiling the Next Generation: Highlight the fact that Apple is introducing the latest iteration of the iPhone, showcasing its new features, design, and overall user experience.

    Innovative Features: Highlight the standout features of the new iPhone that set it apart from previous models and other smartphones in the market.

     Seamless Integration: Emphasize the seamless integration of the new iPhone with Apple's ecosystem of devices and services.

     Personalization and Customization: Highlight the various options for personalization and customization available with the new iPhone, such as different color choices, storage capacities, and accessories. Emphasize the ability to make the iPhone truly their own.

      Enhanced Security and Privacy: Highlight the importance Apple places on user security and privacy. Emphasize features such as Face ID or Touch ID, encrypted messaging, and secure data storage to reassure the audience that their personal information is protected

     User Experience: Emphasize the intuitive and user-friendly interface of the new iPhone, making it easy for users to navigate and access their favorite apps, media, and features.

By targeting this specific audience and conveying these key messages, Apple aims to generate excitement, build anticipation, and create a desire among tech-savvy individuals and Apple enthusiasts to be among the first to own the new iPhone.

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This problem does not require that you know anything about baseball.
Suppose that after collecting data on team payroll (in millions of dollars) and season win total for 2015, we estimate the following regression equation:
Wins = 71.87 + 0.101Payroll - 0.060League
where League is a dummy variable that equals 1 if the team plays in the National League or 0 if the team plays in the American League.
a. If Teams A and B both play in the same league, and Team A’s payroll is $1 million higher than Team B’s, would we expect Team A to win, on average, more games or fewer games than Team B?
How many more or how many less would we expect them to win?
b. If Teams A and B have the same payroll, but Team A plays in the National League while Team B plays in the American League, would we expect Team A to win, on average, more games or fewer games than Team B? How many more or how many less would we expect them to win?
c. Suppose we plotted the data and drew the regression lines for National League and American League teams. What would be the slope of the line for American League teams? What would be the slope of the line for National League teams? What would be the intercept of the line for National League teams?
d. Calculate the predicted number of wins for a National League team with a payroll of $98 million

Answers

a. Team A would be expected to win, on average, more games than Team B if their payroll is $1 million higher.

b. If Teams A and B have the same payroll, but Team A plays in the National League while Team B plays in the American League, we would expect Team A to win, on average, fewer games than Team B.

c) The slope of the line for American League teams would be 0.101, indicating the increase in wins per $1 million increase in payroll.

a) According to the regression equation, for every $1 million increase in payroll, there is an expected increase of 0.101 wins. Therefore, if Team A's payroll is $1 million higher than Team B's, we would expect Team A to win 0.101 more games on average.

b. The regression equation indicates that playing in the National League (League = 1) is associated with a decrease of 0.060 wins. Therefore, if Team A plays in the National League while Team B plays in the American League, we would expect Team A to win 0.060 fewer games on average.

c. The slope of the line for National League teams would be 0.101 - 0.060 = 0.041, reflecting the combined effect of payroll and playing in the National League. The intercept of the line for National League teams would be 71.87, representing the expected number of wins for a National League team with zero payroll.

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Question 1 (A) The accountant of Universe Manufacturing collected the following information: The balance as per bank statement is $3,324.50 on 30 June 2020. On this date, the balance of the company's book is $3,536.50. In addition, the accountant found the following items: a. Deposits in transit $1,550 b. Outstanding checks: $845 c. Bank statement shows a bank collection from bill receivables $2,400 d. Bank statement shows Interest received of $240 e. Bank service charge in the bank statement is $737 f. Bank statement shows NSF check: $1,410,00

Answers

A. Bank Reconciliation Statement for Universe Manufacturing Bank Reconciliation Statement as of 30 June 2020 Balance as per bank statement $3,324.50 Add: Deposits in transit $1,550 4,874.50 Less: Outstanding checks $845 4,029.50 Adjusted balance per bank statement $4,029.50 Balance as per book $3,536.50 Add: Bank collection from Bill Receivable $2,400 5,936.50 Less: NSF check $1,410.00 4,526.50 Adjusted balance per book $4,526.50 The reconciliation of the bank statement for Universe Manufacturing is shown above. The adjusted balance per bank statement is $4,029.50 and the adjusted balance per book is $4,526.50.

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GAAP identifies several levels of influence or control of equity investment. If Company A owns
10% of the outstanding voting stocks of Company B, which level of influence or control is in evidence?
A) Passive investment
B) Significant Influence
C) Control
D) Consolidation

Answers

If Company A owns 10% of the outstanding voting stocks of Company B, passive control level of influence or control is in evidence. The right answer is A.

The manner of accounting for a private investment is determined by the degree of investor influence a firm has in a transaction. Depending on how much influence the investor has over the investment, several accounting methods are used. In a business they own or have invested in, an investor may have a majority or minority stake.

When the investor owns less than 20% of the stock of the company, they have a minority passive ownership interest. They are unable to significantly affect the company as a result.

The correct answer is option A.

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missionary salespeople: group of answer choices work for retailers. are an essential part of the consumer products distribution channel. do not have any role to play in the business-to-business model. never directly contact consumers. frequently call on people who influence a buying decision but who do not actually place the order.

Answers

Missionary salespeople are frequently called on people who influence a buying decision but who do not actually place the order. Option d is correct.

They are an essential part of the consumer products distribution channel and their role is not in the business-to-business model. A missionary salesperson is a sales representative that educates consumers about the benefits of a product or service without directly selling it. Their main task is to influence the consumer to buy the product from a retailer.

They do not have any role to play in the business-to-business model as they directly contact consumers. They work for retailers and are an essential part of the consumer products distribution channel as they are responsible for creating demand for products.

Missionary salespeople frequently call on people who influence a buying decision but who do not actually place the order. They provide information about the product and create awareness in the minds of the consumer about the product's features and benefits.

Therefore, d is correct.

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In 2021, Southwestern Corporation completed the treasury stock transactions listed below. February 2: Reacquired 66,000 shares at $11.60. March 17: Sold 16,000 shares at $13.80. May 17: Sold 21,000 shares at $7.80. Southwestern had issued 100,000 shares of its $1 par common stock for $10 several months ago. Required: Prepare the journal entries to record the above transactions, using the cost method.

Answers

Treasury stock is stock that a corporation has reacquired and is still listed in its stockholders' equity section. Treasury stock transactions, such as reacquisition and resale, have no impact on the number of shares outstanding. Stockholders' equity in treasury stock transactions is reduced and increased.

Treasury stock is defined as the company's own issued stock that it buys back from the stockholders. Corporations may repurchase their shares from the stockholders for a variety of reasons, including to increase earnings per share, to provide tax-advantaged dividends to shareholders, or to avoid a hostile takeover of the corporation. The cost method is used to record treasury stock transactions. The cost method records treasury stock at the price paid by the corporation to repurchase shares.

The cost method increases treasury stock with the purchase price when it is acquired. Similarly, the resale is recorded by decreasing the treasury stock at the acquisition cost and recording the difference as a gain or loss on the income statement.The journal entries to record Southwestern Corporation's treasury stock transactions have been given above. On February 2, Southwestern Corporation reacquired 66,000 shares of treasury stock at $11.60. On March 17, the corporation sold 16,000 shares of treasury stock at $13.80, and on May 17, it sold 21,000 shares at $7.80.

In conclusion, treasury stock is a company's own issued stock that it buys back from the stockholders. The cost method is used to record treasury stock transactions. It records treasury stock at the price paid by the corporation to repurchase the shares. Southwestern Corporation's treasury stock transactions have been recorded in the journal entries above.

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Suppose a coffee's price is $5, and the marginal cost for each coffee shop is given by MC=Q. Moreover, suppose that 1 million coffees are sold. A. How many coffee shops will exist in the long run? B. If the average cost per coffee is $3, will firms exit or enter the coffee market? C. What is the average cost per coffee in the long run?

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A. The number of coffee shops in the long run will be determined by the relationship between marginal cost and average cost.

B. Firms will enter the coffee market if the average cost per coffee is below the price.

C. The average cost per coffee in the long run cannot be determined without additional information on the relationship between marginal cost and average cost.

To determine the answers, we need to analyze the long-run equilibrium conditions in the coffee market.

A. In the long run, the number of coffee shops will adjust to achieve economic equilibrium. In perfect competition, firms will enter or exit the market until economic profits are driven to zero. In this case, the marginal cost (MC) equals quantity (Q), indicating constant returns to scale. Therefore, the long-run equilibrium will occur when each coffee shop is operating at its minimum efficient scale, which is the point where MC equals average cost (AC). To find the number of coffee shops, we need additional information on the relationship between MC and AC.

B. If the average cost per coffee is $3 and the price of coffee is $5, firms will earn positive economic profits. This situation will attract new firms to enter the market, seeking to capitalize on the profit opportunity. As more firms enter, the supply of coffee will increase, which could eventually drive down the price and increase the average cost. This process will continue until economic profits are reduced to zero, and the market reaches long-run equilibrium.

C. The average cost per coffee in the long run depends on the specific relationship between MC and AC. Without this information, it is not possible to determine the exact average cost per coffee in the long run.

In summary, in the long run, the number of coffee shops will adjust to achieve equilibrium, firms will enter the market if average cost per coffee is below the price, and the average cost per coffee in the long run cannot be determined without additional information on the MC and AC relationship.

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Which of the following was the most immediate cause of global economic integration in the late twentieth and early twenty-first century? a Decreases in the cost of long-distance communication and transportation b Regulation of air and water pollution in the developed world c Population growth in the developing world d Increased dependence on cheap oil from the middle east

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here is the link to the question central c and b

which of the following statements is false regarding the earned income credit (eic)? multiple choice maximum amount of the credit depends on the earned income and number of children. the credit is refundable. if certain requirements are met, a taxpayer may receive advance payments of eic. a taxpayer without children cannot claim the credit.

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The following statement is false regarding the Earned Income Credit (EIC): a taxpayer without children cannot claim the credit.

The Earned Income Credit (EIC) is a tax credit designed for low-to-moderate-income earners. The credit is aimed at helping them reduce their tax bills or receive a refund. In general, the credit amount depends on a taxpayer's earned income and the number of qualifying children they have.

The credit is refundable, which means that if the credit amount is more than the tax liability, the taxpayer will receive a refund for the difference. Additionally, if certain requirements are met, a taxpayer may receive advance payments of EIC from their employer.

The false statement regarding the Earned Income Credit (EIC) is "a taxpayer without children cannot claim the credit." This is untrue because even if a taxpayer does not have children, they can still claim the credit if they meet the eligibility criteria.

To claim the EIC, a taxpayer must have earned income, must not have a filing status of "married filing separately," must be a US citizen or resident alien for the entire tax year, and must meet other requirements specified by the IRS.

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Bus305: Peer Feedback
In 3 paragraphs, evaluate 4 different types of group partners (1. Responsible, 2. Introverted, 3. Irresponsible, 4. Passionate) you will work with within your future business career, on the following criteria. Be helpful, so include examples of specific items they need to work on AND suggestions for how they might address those issues.
- Team Participation
- Planning: Contributes to a concrete team agenda
- Attendance: Regularly attends team meetings
- Preparation: Prepares for team meetings and presentations
- Timeliness: On time for team meetings and with work
- Discussion: Participates in team discussions
- Responsibility: Shares responsibility for tasks & decisions
- Contribution: Contributes knowledge and skills-add to the learning of others
- Work Quality: Work is of sufficient quality to prevent major rework
- Communication: Response to needed communication, provides progress on tasks
- Accountability: Accountable to the team for assigned tasks
- Facilitation: Facilitates members' contribution to the team
- Collaboration: Collaborates with Team members
- Team Norms/Ground Rules: Adheres to agreed-upon team behavior norms
- Respectfulness: Respects others' ideas and contributions
- Trust: Develops trust among team members
- Conflict: Contributes to conflict resolution among team members

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As a student in business, you will most likely work with a variety of group partners. This could include a responsible partner, an introverted partner, an irresponsible partner, or a passionate partner. Each of these types of group partners has unique strengths and weaknesses when it comes to teamwork. In this discussion, I will evaluate these four different types of group partners based on the following criteria.Team participation is critical in a group.

A responsible group partner is one who participates in team activities, meetings, and other team-related events. They need to work on providing leadership in team activities. This will assist in ensuring that the group stays on task and that all members participate in the project.Planning is another critical factor in group participation. Each group member must contribute to a concrete team agenda.

Therefore, responsible and introverted partners are excellent in this aspect because they work to develop the best plan. On the other hand, irresponsible and passionate partners require more effort because they are more interested in their personal interests and preferences. Regular attendance is essential for the success of the team. A responsible partner is always present in team meetings, and they need to work on ensuring that the rest of the group also attends these meetings.Preparation is also crucial in ensuring that all members contribute to the team. A responsible partner will prepare for team meetings and presentations.

They will provide necessary information to the group, ensuring that everyone is on the same page. Timeliness is another important factor in teamwork. Responsible and introverted partners are usually on time for team meetings and have their work ready. On the other hand, irresponsible and passionate partners are frequently late to team meetings and submit their work after the deadline. Discussion is also crucial in group participation. All group members must participate in the discussions.

Responsible and introverted partners usually contribute a lot to group discussions, while passionate and irresponsible partners require more effort from the rest of the team to participate in group discussions. Responsibility entails sharing responsibility for tasks and decisions. All group members need to work together in performing tasks. In conclusion, each group partner comes with different strengths and weaknesses. It is the responsibility of the team members to develop and improve their communication and interaction abilities to enhance teamwork.

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Sipho Dlamini was born in a small rural village in Swaziland. He spent his childhood years looking after his family's livestock. The community upheld high values, such as honesty and respect, but the people were desperately poor. He realized that he would have to go to South Africa and apply for a job at a gold mine. As a young man, Sipho left his village in the mountains and took on the difficult job of getting to South Africa. He went in search of one of his distant family members, who was working for a gold mine near Johannesburg as a personnel assistant. He managed to find his relative, who managed to find him a job as a general mine worker and accommodation in one of the mine hostels. Sipho was dedicated to his work, and time passed quickly. Every month, he forwarded most of his wages to his family in Swaziland. One day Sipho's family member called him into his office and informed him that he was due for promotion. He also told Sipho that he would be required to pay him R500.00 (about $60) for his "efforts." This arrangement seemed strange to Sipho as he knew that it was not in line with company procedures. When Sipho asked about this, the personnel assistant replied that he had the authority to do so and that Sipho would not be promoted if he did not pay the R500. Sipho returned to his room and wrestled with the options before him that night. He had grown up with strong personal values, which included honesty and hard work, but his family needed the extra income. What was he to do? After a restless night, he returned the next day to the personnel assistant's office and handed him the R500. He was immediately promoted, but he returned to his room with a troubled mind. A few weeks later, the personnel assistant was reported and investigated for fraudulent behavior. He was suspended from work, and the investigation revealed all his corrupt activities. The record he had kept on all employees who paid bribes to him was also found. All employees on this list were called in and charged with fraud. Sipho's name was on the list, and he was found guilty and dismissed from the service of the company along with all the others. Questions 1. What should Sipho have done differently? 2. In what way could the mine management have provided support to him prior to his wrongful act? 3. How would you have acted had you been in a similar situation?

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Sipho could have taken the moral high road and refused to pay the bribe and, instead, reported the personnel assistant to the management, and could have requested that an investigation be carried out into the matter. This would have revealed the corrupt activities of the personnel assistant, and also the fact that Sipho had not paid the bribe.

Sipho should have protected his integrity and morals, even though his family needed the extra income. In this situation, the management of the mine could have provided support to Sipho by ensuring that their employees are well aware of the company policies and procedures regarding any transactions that take place within the organization. The mine management could have provided training and education sessions to their employees, to help them understand the implications of bribery, and the possible consequences of engaging in such activities. The management could also have offered a whistle-blowing policy, whereby employees could report any suspicious activities that are taking place within the organization, without fear of any negative repercussions. If I were in a similar situation, I would have refused to pay the bribe, and instead reported the personnel assistant to the management, and asked for an investigation to be carried out. I would also have ensured that I have an open and honest communication channel with my family, to explain the situation and the reason why I had taken the decision not to pay the bribe.

The story of Sipho is a moral dilemma that many people face in their lives. It is important to stand up for what is right, even if it comes at a cost. Companies need to create a culture of integrity and honesty within their organizations, to ensure that all employees are well aware of their ethical obligations. By providing support to employees, companies can help them make the right decisions, and can also help to prevent corrupt activities from taking place within the organization.

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How critical thinking and reflection effect your work in the team, your work or other places? How is critical thinking different from other relevant PM competencies like problem identification and problem solving? How does critical thinking impact on all or some facets of project management/your present and future professional practice?

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Critical thinking is a crucial skill that's needed in any work environment. It involves systematically and objectively analyzing data, facts, or information to reach logical conclusions, make informed decisions, and solve complex problems.

Critical thinking is an important component of project management because it helps team members to make informed decisions and identify any issues before they become major problems. It is used to evaluate the validity and accuracy of information, identify underlying assumptions, and recognize any possible biases that could affect decision-making.
Unlike problem identification and problem solving, critical thinking is the analytical process of examining the problem to understand its root cause and how to approach it. While problem-solving is the ability to apply critical thinking to find solutions to identified problems, problem identification is the first stage of the problem-solving process. It involves identifying the existence of a problem and recognizing its impact on a project.
Critical thinking impacts all facets of project management by allowing teams to identify underlying issues and take appropriate corrective action. It helps in the identification of project constraints, ensures project goals are aligned with organizational objectives, and allows for the evaluation of project success and failures. In future professional practice, critical thinking is likely to be a critical skill that will be essential in identifying and solving complex problems and making informed decisions.

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8 If investor's revise their expectations and now expect that Canada's inflation rate will increase over the next ten years, what impact will this have on the slope of the yield curve? Briefly explain #I X

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The slope of the yield curve will get steeper.

The yield curve is a line that depicts the yields of bonds with varying maturities.

It shows the relationship between the bond’s interest rate and its maturity.

A yield curve can be upward-sloping, flat, or downward-sloping.

The slope of the yield curve has the potential to provide information on future economic growth and inflation.

Expected inflation is a critical driver of bond yields, especially for long-term bonds.

A yield curve that slopes upward reflects investors' expectations that interest rates will rise in the future.

This implies that short-term bonds will yield less interest than long-term bonds, resulting in a higher slope.

The slope of the yield curve is one of the key indicators of future inflation.

When investors revise their expectations of an increase in inflation rate, the slope of the yield curve will get steeper.

As a result, long-term bond yields will increase at a faster rate than short-term bond yields.

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An employee's basic wage is $15 per hour, and they are paid
double for work over 40 hours a week. The company also provides
fringe benefits worth $5 per hour (regular or overtime). In a
recent week, t

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The total earnings of the employee in the given week is $1,150.

The total earnings of an employee who earns a basic wage of $15 per hour, is paid double for working over 40 hours a week, and is also given fringe benefits worth $5 per hour have been calculated below: Basic wage per hour = $15, Fringe benefits per hour = $5. Thus, the total wages earned by the employee in the given week can be calculated as follows: Regular hours worked = 40 hours. Regular wages earned = $15 × 40 = $600. Fringe benefits = $5 × 40 = $200. Overtime hours worked = 10 hours (50 - 40). Overtime wages earned = 10 × $15 × 2 = $300. Fringe benefits = $5 × 10 = $50. Total earnings = Regular wages earned + Overtime wages earned + Total fringe benefits= $600 + $300 + $250= $1,150. Therefore, the total earnings of the employee in the given week is $1,150.The given problem provides information on the basic wage rate, overtime wage rate, and fringe benefits offered by a company.

An employee is paid $15 per hour and is given fringe benefits worth $5 per hour. If the employee works over 40 hours, the pay is doubled. In the given week, the employee worked for 50 hours and was paid according to the rates mentioned above. The regular hours worked by the employee in the week were 40 hours and the overtime worked was 10 hours. For the regular hours worked, the employee earned $600 at a rate of $15 per hour. The fringe benefits earned for regular hours worked was $200 as the employee is given $5 per hour for fringe benefits. For the overtime hours worked by the employee, the rate was double. Hence, for the 10 hours of overtime worked, the employee earned $300. The fringe benefit earned for the overtime hours worked was $50. Thus, the total earnings of the employee in the given week were $1,150.The above calculations indicate that an employee who works 50 hours a week with the given conditions of basic wages, overtime wages, and fringe benefits earns a total of $1,150.

This problem can be solved with the help of simple arithmetic calculations. The total earnings of an employee who earns a basic wage of $15 per hour, is paid double for working over 40 hours a week, and is also given fringe benefits worth $5 per hour have been calculated. The total earnings of the employee in the given week is $1,150.

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Which of the following will NOT increase a firm's business risk: Select one: a. less stable product demand b. less stable prices for its own products c. less stable costs for its inputs d. faster obsolescence of its products

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Faster obsolescence of its products. What is Business Risk Business risk can be defined as the possibility of a firm's operating income or profits being negatively affected by changes in the external and internal operating environment.

The correct answer to the given question is option d)

Business risk refers to the chance that a company's future cash flows will be affected by unexpected economic or other events. A firm's business risk is generally linked to its operating leverage, which refers to how much fixed expenses the firm has.Let us look at each option to understand which one of them will not increase a firm's business risk:a. less stable product demand - If the firm's product demand is less stable, it will increase business risk.b. less stable prices for its own products - If the prices for its own products are less stable, it will increase business risk.

Less stable costs for its inputs - If the cost for its inputs are less stable, it will increase business risk.d. faster obsolescence of its products - Faster obsolescence of its products may lead to reduced sales and declining profit margins. Therefore, it will increase business risk. is incorrect.Therefore, the option that will NOT increase a firm's business risk is option d) faster obsolescence of its products.

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assume that banks lend out all their excess reserves. currently, the total reserves that banks hold equal $32.8 billion. if the federal reserve decreases its reserve requirement from 8.2 percent to 5 percent, then there is potential for the whole banking system to raise the money supply by:

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Total reserves = $32.8 billion. Reserve requirement (R) decreases from 8.2% to 5%. We need to find the potential for the whole banking system to raise the money supply.

First, let's calculate the initial required reserves:

Initial required reserves = 8.2% * $32.8 billion = $2.6896 billion

Now, calculate the initial excess reserves:

Initial excess reserves = $32.8 billion - $2.6896 billion = $30.1104 billion

Next, let's calculate the potential deposit expansion multiplier:

Deposit expansion multiplier = 1 / Reserve requirement ratio

For the initial reserve requirement:

Initial deposit expansion multiplier = 1 / 8.2% = 12.1951

For the final reserve requirement:

Final deposit expansion multiplier = 1 / 5% = 20

Finally, we can calculate the potential increase in the money supply:

Potential increase in the money supply = Excess reserves * (Final deposit expansion multiplier - Initial deposit expansion multiplier)

Potential increase in the money supply = $30.1104 billion * (20 - 12.1951) = $30.1104 billion * 7.8049

Potential increase in the money supply ≈ $235.1 billion

The total reserves are $32.8 billion and the required reserve ratio has changed to 5%, the money multiplier will be: SMM = 1/R = 1/0.05 = 20. Therefore, the potential for the whole banking system to raise the money supply is:$32.8 billion x 20 = $656 billion. An increase in the money supply is $656 billion.

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nts ations Jenna is a Nurse Practitioner. During the course of her professional relationship with her patient Joe, she receives a request by an attorney for a copy of Joe's medical record. The request

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In Jenna's case, she must obtain Joe's written consent to release his medical records to the attorney, or the attorney must present a court order before she can release them.

Jenna, a nurse practitioner, has been asked by an attorney to provide a copy of Joe's medical records. HIPAA rules should be followed by Jenna. When a healthcare provider receives a request for a patient's medical records, they must follow the rules set out in the Health Insurance Portability and Accountability Act (HIPAA) of 1996. Nurse Practitioner Jenna should follow the HIPAA rules as well. HIPAA defines the privacy of a patient's medical information and determines who may have access to it. Health information can be used for the purposes of treatment, payment, and operations, according to HIPAA. Personal health information (PHI) can only be accessed by authorized individuals with the patient's permission. The request for the medical records must be documented to prove that PHI was obtained legally and that proper security measures were followed. The release of PHI, such as medical records, is also subject to HIPAA. Personal health information can only be given out with the patient's written consent or in the event of a court order. So, in Jenna's case, she must obtain Joe's written consent to release his medical records to the attorney, or the attorney must present a court order before she can release them.

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I-mart is a discount optical shop that can fill most prescription orders in around 1 hour. The management is analyzing the processes at the store. There currently is one person assigned to each task below. The optometrist assigned to task "B" takes an hour off for lunch and the other employees work the entire day.

TASK TIME
A. Greet/register the patient 3 minutes/patient
B. Optometrist conducts eye exam 20 minutes/patient
C. Frame/lenses selection 21 minutes/patient
D. Glasses made (process can run 6 pairs of glasses at the same time) 66 minutes/patient
E. Final fitting 6 minutes/patient

Answers

As per the given information, here are the time durations taken by each task in minutes per patient: The total time taken in filling a prescription order when the optometrist assigned to task "B" takes an hour off for lunch is 160 minutes/patient (or) 2 hours and 40 minutes/patient.

A. Greet/register the patient - 3 minutes/patient

B. Optometrist conducts eye exam - 20 minutes/patient

C. Frame/lenses selection - 21 minutes/patient

D. Glasses made (process can run 6 pairs of glasses at the same time) - 66 minutes/patient

E. Final fitting - 6 minutes/patient

From the given data we can say that:

I-mart is a discount optical shop that can fill most prescription orders in around 1 hour.

There currently is one person assigned to each task below. The optometrist assigned to task "B" takes an hour off for lunch and the other employees work the entire day.

Using this, we can determine the total time taken in filling a prescription order.

Time taken by Task A to Task E without any break, i.e.,

when each employee works the entire day:= 3 + 20 + 21 + 66 + 6= 116 minutes/patient (or) 1 hour and 56 minutes/patient

Time taken by Task B without any break, i.e., when the optometrist assigned to task "B" takes an hour off for lunch:

Time taken by Task A to Task E without any break, i.e.,

when each employee works the entire day:= 3 + (20+60) + 21 + 66 + 6= 160 minutes/patient (or) 2 hours and 40 minutes/patient

The total time taken in filling a prescription order when the optometrist assigned to task "B" takes an hour off for lunch is 160 minutes/patient (or) 2 hours and 40 minutes/patient.

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Which type of power is based on an individual's personal charisma? a coercive b reward c referent d.legitimate

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Referent power is based on an individual's personal charisma. Option C is the correct answer.

A leader with good interpersonal interaction abilities will command respect, or referent power. As management in organizations becomes more about cooperation and influence instead of about command and control, referent power as a component of personal authority becomes increasingly significant. Option C is the correct answer.

Referent power in an organizational environment is most readily seen when there is a charismatic leader who succeeds at making people feel at ease in their presence. Typically, employees describe their enthusiasm for their jobs in terms of their attraction to their leader's charisma and personal qualities. They commit to their job because the leader is likeable, and they depend on the leader's approval for their sense of achievement and self-worth.

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