Suppose on Monday a person deposits $800 in a Friendly Bank out of $1000 that he holds. In this case the following would be the balance sheet of The Friendly Bank. Now suppose the bank desires Balance Sheet on Monday M2 MB Liabilities D $1000 R R L Assets R L $800 reserve-deposit ratio are 0.25. Show the bank's balance sheet, the monetary base, and the money supply for Tuesday and Wednesday. Balance Sheet on Tuesday Assets Assets D Balance Sheet on Wednesday $800 D Liabilities $1000 Liabilities M2 M2 MB MB

Answers

Answer 1

The Friendly Bank's balance sheet and other related values are given below:Balance Sheet on MondayD = Deposits; R = Reserves; L = Loans Assets D = R + L$800 = R + 0.75($1000)R = $50. Balance Sheet on Tuesday. D = $800R = $50 M2 = D = $800 + ($1000 - $800) = $1000MB = R = $50

Balance Sheet on Wednesday; D = $800R = $50M2 = D = $800 + ($1000 - $800) = $1000MB = R = $50.

Therefore, the bank's balance sheet, the monetary base, and the money supply for Tuesday and Wednesday are as follows: Balance Sheet on Tuesday Assets

Assets D $800R $50 Liabilities L $1000M2 M2 $1000MB MB $50 Balance Sheet on WednesdayAssets Assets D $800R $50 LiabilitiesL $1000M2 M2 $1000MB MB $50

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Related Questions

the cost of a human resource which takes into consideration more than just his/her salary or hourly rate , for things such as benefits vaction, holidays , etc is ??

Answers

The cost of a human resource which takes into consideration more than just his/her salary or hourly rate, for things such as benefits, vacation, holidays, etc is known as the Total Employee Cost (TEC).

Total Employee Cost (TEC) is a calculation that includes the direct and indirect costs of employing a person, in addition to the person's salary or hourly wage.

Some of the costs included in the calculation of TEC are listed below: Salaries and wages, Paid vacation days, Sick leave and personal time off, Medical and dental insuranceLife and disability insurance, Pension and retirement plans, Stock options and bonuses, and Employee assistance programs.

The TEC calculation also considers indirect expenses such as human resources personnel and systems, recruiting, training, and administrative support. Organizations utilize the TEC calculation to plan for their workforce and control staffing costs. TEC is often used to evaluate the expense of individual workers and groups of workers.

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Is the monetary regime (monetary policy and FX regime) appropriate for Rwanda's development needs?
Is the monetary regime (monetary policy and FX regime) appropriate for Rwanda's development needs?

Answers

The appropriateness of Rwanda's monetary regime (monetary policy and FX regime) for its development needs depends on various factors and requires a comprehensive analysis of the country's economic goals, challenges, and the effectiveness of the current regime.

To evaluate the appropriateness of the monetary regime, factors such as inflation control, exchange rate stability, economic growth, financial sector development, and external sector balance need to be considered. Additionally, the alignment of monetary policy with Rwanda's development strategy and the ability of the FX regime to support trade and investment flows are crucial aspects to assess.

The appropriateness of Rwanda's monetary regime for its development needs can be evaluated by considering several key factors. Firstly, the effectiveness of the monetary policy in controlling inflation is crucial as high inflation can hinder economic stability and growth. Additionally, maintaining exchange rate stability is important for promoting trade and investment, as well as ensuring price competitiveness in the global market.

Furthermore, the monetary regime should be assessed in terms of its alignment with Rwanda's development strategy. The monetary policy should support the country's economic goals, such as promoting inclusive growth, reducing poverty, and enhancing financial sector development. It should also consider the unique challenges and priorities of the Rwandan economy, such as the importance of agriculture, infrastructure development, and social welfare.

Moreover, the FX regime should be evaluated for its ability to facilitate trade and investment flows. A flexible and well-managed exchange rate system can support export competitiveness, attract foreign direct investment, and enhance the resilience of the economy to external shocks. It is essential to assess the effectiveness of the FX regime in maintaining a balance between exchange rate stability and competitiveness.

In conclusion, evaluating the appropriateness of Rwanda's monetary regime requires a comprehensive analysis of its impact on inflation control, exchange rate stability, economic growth, financial sector development, and alignment with the country's development strategy. It is important to consider the specific needs and challenges of the Rwandan economy to determine the suitability of the current monetary regime for fostering sustainable development.

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Why is it important to view leadership in a relational process and what traits have you found to be associated with effective leadership?
What has been your experience in leadership positions?
What worked well and what was not as effective?

Answers

Leadership is a complex and multi-dimensional process that requires a comprehensive and relational perspective. It is crucial to view leadership in a relational process because it involves the interaction between leaders and followers and a dynamic process of influence and power.
Effective leadership is associated with a variety of traits that facilitate the development of positive relationships with followers and the attainment of organizational goals. Some of the traits that are commonly associated with effective leadership include:

1. Vision: A leader who can articulate a compelling vision that inspires and motivates followers.

2. Communication: A leader who is an effective communicator, who listens actively, and provides clear and concise instructions.

3. Emotional intelligence: A leader who is able to understand and manage their emotions and the emotions of others.

4. Adaptability: A leader who can adapt to changing circumstances and is willing to try new approaches.

5. Integrity: A leader who acts with honesty, transparency, and ethical behavior.

However, there were also situations where my leadership was not as effective. In these cases, I found that I was not as open to feedback and did not communicate as effectively with my followers. I also realized that my confidence and self-assurance sometimes translated into stubbornness and a resistance to change.

In conclusion, viewing leadership as a relational process is important because it recognizes the complexity of leadership and the need for leaders to develop interpersonal skills and positive relationships with their followers. Effective leadership is associated with a variety of traits that facilitate the attainment of organizational goals and the development of positive relationships with followers.

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Consider the following network representation of a
transportation problem.
60
35
30
15
50
15
9
8
8
11
24
A network diagram between five locations is shown. The left-hand
side of the graph is labeled "

Answers

The transportation problem is a linear programming problem in which the objective is to reduce the transportation cost while delivering a product from a set of supply points to a set of demand points.

The network representation is a graphical representation of the transportation problem. A network diagram between five locations is given in the problem. The left-hand side of the graph is labeled "Sources", and the right-hand side is labeled "Destinations". The numbers are given on the arcs, which represent the transportation cost. The supply and demand are given at the top and bottom of the graph, respectively.

The network diagram shows the connections between the sources and destinations and the costs associated with each connection. This information can be used to develop an initial feasible solution for the transportation problem. Once an initial feasible solution is obtained, the simplex method can be used to improve it and obtain an optimal solution.

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Student ID: Question 1 Dr Veiin, a lecturer attached to a Malaysian private university and a Japanese citizen, was appointed by the university for a period of three years commencing 1 December 2012, three days after her first arrival in Malaysia. She left Malaysia permanently for Japan on 15 January 2016 after her contract ended. Dr Veiin's stay in Malaysia for years from 2012 to 2016 is as follows: Year 2012 2013 2014 2015 2016 Answers Year 2012 Period of stay in Malaysia 28.11.2012 - 31.12.2012 1.1.2013 10.5.2013 21.5.2013 3.7.2013 20.10.2013 13.12.2013 1.6.2014 25.11.2014 31.8.2015 31.12.2015 1.1.2016 15.1.2016 15 Dr Veiin went back to Japan for 11 days from 11 May to 21 May 2013 to be with her mother who had a heart operation. Status Number of Days 34 130 Required: Determine the residence status of Dr Veiin for each of the basis years for the years of assessment from 2012 to 2016. 44 55 178 123 Remarks

Answers

Dr. Veiin's residence status for each of the basis years from 2012 to 2016 would be non-resident for all years, as she stayed for less than 182 days in Malaysia during each respective year.

Based on the provided information, let's determine the residence status of Dr. Veiin for each basis year from 2012 to 2016.

Year 2012:

Dr. Veiin arrived in Malaysia on 28th November 2012 and stayed until 31st December 2012.

The total duration of her stay in Malaysia during 2012 is 34 days.

Since she stayed for less than 182 days in Malaysia during this year, her residence status would be considered as a non-resident.

Year 2013:

Dr. Veiin arrived in Malaysia on 1st January 2013 and left temporarily from 11th May to 21st May 2013 (11 days) to be with her mother.

The total duration of her stay in Malaysia during 2013 is 130 days.

Since she stayed for less than 182 days in Malaysia during this year, her residence status would still be considered as a non-resident.

Year 2014:

Dr. Veiin arrived in Malaysia on 21st May 2013 and stayed until 15th January 2016.

The total duration of her stay in Malaysia during 2014 is 178 days.

Since she stayed for less than 182 days in Malaysia during this year, her residence status would be considered as a non-resident.

Year 2015:

Dr. Veiin continued her stay in Malaysia from 1st January 2014 to 31st December 2015.

The total duration of her stay in Malaysia during 2015 is 123 days.

Since she stayed for less than 182 days in Malaysia during this year, her residence status would still be considered as a non-resident.

Year 2016:

Dr. Veiin left Malaysia permanently on 15th January 2016 after her contract ended.

The total duration of her stay in Malaysia during 2016 is 15 days.

Since she stayed for less than 182 days in Malaysia during this year, her residence status would be considered as a non-resident.

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The United States Supreme Court expressly permits regulation of "commercial speech" (unlike political speech). Your State Supreme Court has concluded that, under your state Constitution, commercial speech cannot be regulated by your state. Does your state Supreme Court have the authority to make this ruling? Please explain.

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The authority of the Supreme Court of any state is limited to the interpretation of that state's constitution, as well as to the interpretation of relevant state statutes and common law.

It does not have the authority to overrule the decisions of the United States Supreme Court regarding the regulation of commercial speech. The Supreme Court of the United States is the highest court in the country, and its decisions are binding on all state courts. Therefore, the state Supreme Court's ruling that commercial speech cannot be regulated by the state's constitution is not binding on the state's government and officials and is not valid.

The state government and officials are still required to follow the regulations of the Supreme Court of the United States.

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Assume the market is in equilibrium with Stock A's beta =1.5 and Stock B's beta =0.5. Which of the following statements must be true about these securities? a. Stock A would be a more desirable addition to a portfolio than Stock B. b. When held in isolation, Stock A has greater risk than Stock B. c. The expected return on Stock B will be greater than that on Stock A. d. Stock B would be a more desirable addition to a portfolio than Stock A. e. The expected return on Stock A will be greater than that on Stock B.

Answers

The correct statement is: b. When held in isolation, Stock A has greater risk than Stock B.

Beta measures the systematic risk or volatility of a stock relative to the market. Here are the statements and their corresponding evaluations:

a. Stock A would be a more desirable addition to a portfolio than Stock B.

  Evaluation: This statement cannot be determined solely based on the beta values. Other factors, such as risk tolerance and investment objectives, should also be considered. The desirability of a stock in a portfolio depends on various factors beyond beta alone.

b. When held in isolation, Stock A has greater risk than Stock B.

  Evaluation: Since Stock A has a beta of 1.5, which is greater than 1, it indicates that Stock A is more volatile than the market. Therefore, in isolation, Stock A would have greater risk compared to Stock B, which has a beta of 0.5.

c. The expected return on Stock B will be greater than that on Stock A.

  Evaluation: The expected return is not solely determined by beta. It depends on various factors such as market conditions, company fundamentals, and other risk factors. Therefore, the expected return on Stock B cannot be determined based solely on the beta values.

d. Stock B would be a more desirable addition to a portfolio than Stock A.

  Evaluation: Similar to statement (a), the desirability of a stock in a portfolio depends on multiple factors, not just beta. Therefore, this statement cannot be determined solely based on the beta values.

e. The expected return on Stock A will be greater than that on Stock B.

  Evaluation: The expected return is not solely determined by beta. It depends on various factors, including market conditions and other risk factors. Therefore, the expected return on Stock A cannot be determined based solely on the beta values.

In summary, based solely on the given beta values, we can conclude that Stock A has greater risk than Stock B when held in isolation (statement b). However, the other statements (a, c, d, e) cannot be determined solely based on the beta values and require additional information or analysis.

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Article: Macon, Inc Author: Harold Kerzner Macon was a fifty-year-old company in the business of developing test equipment for the tyre industry. The company had a history of segregated departments with very focused functional line managers. The company had two major technical departments: mechanical engineering and electrical engineering. Both departments reported to a vice president for engineering, whose background was always mechanical engineering. For this reason, the company focused all projects from a mechanical engineering perspective. The significance of the test equipment's electrical control system was often minimized when, in reality, the electrical control systems were what made Macon's equipment outperform that of the competition. Because of the strong autonomy of the departments, internal competition existed. Line managers were frequently competing with one another rather than focusing on the best interest of Macon. Each would hope the other would be the cause for project delays instead of working together to avoid project delays altogether. Once dates slipped, fingers were pointed and the problem would worsen over time. One of Macon's customers had a service department that always blamed engineering for all of their problems. If the machine was not assembled correctly, it was engineering's fault for not documenting it clearly enough. If a component failed, it was engineering's fault for not designing it correctly. No matter what problem occurred in the field, customer service would always put the blame on engineering. As might be expected, engineering would blame most problems on production claiming that production did not assemble the equipment correctly and did not maintain the proper level of quality. Engineering would design a product and then throw it over the fence to production without ever going down to the manufacturing floor to help with its assembly. Errors or suggestions reported from production to engineering were being ignored. Engineers often perceived the assemblers as incapable of improving the design. Production ultimately assembled the product and shipped it out to the customer. Oftentimes during assembly, the production people would change the design as they saw fit without involving engineering. This would cause severe problems with documentation. Customer service would later inform engineering that the documentation was incorrect, once again causing conflict among all departments. The president of Macon was a strong believer in project management. Unfortunately, his preaching fell upon deaf ears. The culture was just too strong. Projects were failing miserably. Some failures were attributed to the lack of sponsorship or commitment from line managers. One project failed as the result of a project leader who failed to control scope. Each day the project would fall further behind because work was being added with very little regard for the project's completion date. Project estimates were based upon a "gut feel" rather than upon sound quantitative data. The delay in shipping dates was creating more and more frustration for the customers. The customers began assigning their own project managers as "watchdogs" to look out for their companies' best interests. The primary function of these "watchdog" project managers was to ensure that the equipment purchased would be delivered on time and complete. This involvement by the customers was becoming more prominent than ever before. The president decided that action was needed to achieve some degree of excellence in project management. The question was what action to take, and when. Source: Kerzner (2013) Answer ALL the questions in this section. Question 1 (10 Marks) Identify and analyse the main project scope and time management issues at Macon, Inc. Question 2 (20 Marks) What action would you advise the president to take to "achieve some degree of excellence in project management"?

Answers

Question 1: Identify and analyze the main project scope and time management issues at Macon, Inc. (10 Marks)

Answer:

Macon, Inc had several project scope and time management issues, which can be outlined as follows:

Scope management issues: Their project estimates were always based on a "gut feeling," rather than sound quantitative data. Their projects often failed as a result of a project leader who failed to control the project's scope. Projects had inadequate sponsorship and commitment from line managers. Time management issues:

Macon's customers began to assign their own project managers to act as "watchdogs" to ensure that the equipment purchased was delivered on time and complete. The delay in shipping dates caused increasing frustration for customers. Projects were delayed due to work being added with little regard for the project's completion date. Because of project delays, internal competition existed among line managers. Project delays were compounded by finger-pointing and a lack of cooperation between departments because of the company's segregated department structure.The strong autonomy of the departments resulted in engineers blaming production and vice versa. Production often changed the design as they saw fit during assembly, causing severe documentation issues.

Question 2:

What action would you advise the president to take to "achieve some degree of excellence in project management"?

(20 Marks)

Answer:

To achieve some degree of excellence in project management, the president of Macon, Inc. should consider the following:

He should introduce a project management office (PMO) to improve project management discipline throughout the company. The PMO should develop and introduce a project management framework to manage projects consistently across the organization. The PMO should conduct project management training to provide a common understanding of project management and tools to everyone involved in a project. The PMO should establish project management metrics to measure project performance and drive continuous improvement. The PMO should ensure that projects are selected based on a sound business case and alignment with the company's strategic goals.

The PMO should establish a governance structure to provide senior management with visibility and oversight of projects. The PMO should introduce a project portfolio management (PPM) approach to manage project demand and resource constraints.

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A survey was conducted about real estate prices. Data collected is 843652, 976439, 359566, 530281, 313219, 612944, 457015, 676689, 732911, 721046, 130001, 859217, 404307. What is the Standard Deviation of the price?

Answers

The standard deviation of the data is approximately 237847.92.

How to solve for the standard deviation

First, we find the mean:

(843652 + 976439 + 359566 + 530281 + 313219 + 612944 + 457015 + 676689 + 732911 + 721046 + 130001 + 859217 + 404307) / 13

= 580674.62 (approximately)

Then, we subtract this mean from each data point, square the result, and then take the mean of these squares:

[tex][((843652 - 580674.62)^2 + (976439 - 580674.62)^2 + (359566 - 580674.62)^2 + (530281 - 580674.62)^2 + (313219 - 580674.62)^2 + (612944 - 580674.62)^2 + (457015 - 580674.62)^2 + (676689 - 580674.62)^2 + (732911 - 580674.62)^2 + (721046 - 580674.62)^2 + (130001 - 580674.62)^2 + (859217 - 580674.62)^2 + (404307 - 580674.62)^2) / 13] \\\\=56573283128.29[/tex]

√(56573283128.29) = 237847.92 (approximately)

So the standard deviation of the data is approximately 237847.92.

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Sunland Company uses a job order cost system. On May 1, the company has a balance in Work in Process inventory of $3,290 and two jobs in process: Job No. 429$1,880, and Job No. 430$1,410. During May, a sumrnary of source documents reyeals the following Sunland Company applies manufacturing overhead to jobs at an overhead rate of 60% of direct labor cost. 10bNo.429 is completed during the month. Prepare May 31 summary journal entries to record (1) the requisition slips, (2) the time tickets, (3) the assignment of manufacturing overhead to jobs, and (4) the completion of Job No. 429. (List all debit entries before credit entries. Credit occount ti ore automatically indented when amount is entered. Do not indent manually.

Answers

Sunland Company is using a job order cost system where costs are assigned to jobs based on production, not departments or processes. On May 1, the company has a balance in Work in Process inventory of $3,290 and two jobs in process: Job No. 429 and Job No. 430 with costs of $1,880 and $1,410, respectively.

Job Order Cost System:

Journal Entries (May 31):

1. Requisition Slips:

ParticularsDebitCredit

Work in Process Inventory$3,045

Raw Materials Inventory$3,045(To record the cost of materials requisitioned for production.)

2. Time Tickets:

ParticularsDebitCredit

Work in Process Inventory$1,140

Wages Payable$1,140(To record wages earned by employees who worked on production.)

3. Assignment of Manufacturing Overhead to Jobs:

ParticularsDebitCredit

Work in Process Inventory$1,482

Manufacturing Overhead$1,482(To apply overhead to the jobs on the basis of 60% of direct labor cost.)

4. Completion of Job No. 429: ParticularsDebitCredit

Finished Goods Inventory$3,456

Work in Process Inventory$1,880Manufacturing Overhead$1,482

Wages Payable$94(To record the completion of Job No. 429.)

The company applies manufacturing overhead to jobs at an overhead rate of 60% of direct labor cost. Job No. 429 was completed during the month of May.

The journal entries made for May 31 to record the following transactions are:

1. Requisition Slips: To record the cost of materials requisitioned for production, debit work in process inventory account and credit raw materials inventory account.

2. Time Tickets: To record wages earned by employees who worked on production, debit work in process inventory account and credit wages payable account.

3. Assignment of Manufacturing Overhead to Jobs: To apply overhead to the jobs on the basis of 60% of direct labor cost, debit work in process inventory account and credit manufacturing overhead account.

4. Completion of Job No. 429: To record the completion of Job No. 429, debit finished goods inventory account and credit work in process inventory, manufacturing overhead, and wages payable accounts.

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Wednesday of this week, in at least.75-words, respond to the following in a post to this discussion: - If you were to start a business and had the choice of fimited partnership, limited liability company, or limited liability partnership, which option would you choose and whir?

Answers

If I were to start a business, I would choose the limited liability company (LLC) option due to its advantages, such as limited liability protection, ease of setup and maintenance, flexible tax options, pass-through taxation, and the option for corporate taxation.

A limited liability company (LLC) is a business structure that provides limited liability protection to its owners while offering the advantages of a partnership or sole proprietorship. Here are the main advantages of choosing an LLC for a new business:

1. Limited Liability Protection: One of the primary benefits of an LLC is limited liability protection. This means that the personal assets of the owners (also known as members) are generally safeguarded in case the company faces legal or financial liabilities. The members' liability is limited to their investment in the company, protecting their personal assets.

2. Ease of Setup and Maintenance: Compared to corporations, LLCs have fewer formalities and paperwork requirements, making them relatively easy to set up and maintain. This aspect is advantageous for new business owners who may prefer a business structure with less administrative burden.

3. Flexible Tax Options: LLCs have the flexibility to choose their tax classification, allowing them to select the most advantageous tax treatment for their specific circumstances. By default, an LLC is treated as a pass-through entity for tax purposes. This means that the company's profits and losses pass through to the owners' personal tax returns, avoiding double taxation at the entity level.

4. Pass-through Taxation: Pass-through taxation is a significant benefit of an LLC. It allows the LLC's income to be taxed only once, at the individual level of the owners. This avoids the double taxation that can occur in certain corporate structures, where the entity is taxed at the corporate level, and then dividends are taxed again when distributed to shareholders.

5. Option for Corporate Taxation: In some situations, an LLC can choose to be taxed as a corporation by making an election with the Internal Revenue Service (IRS). This option can provide additional tax benefits, such as the ability to minimize self-employment taxes or take advantage of specific deductions available to corporations.

Considering these advantages, an LLC can be a suitable choice for new businesses, as it offers the flexibility of a partnership or sole proprietorship, combined with limited liability protection. However, it's important to consult with legal and tax professionals to determine the most appropriate business structure based on individual circumstances and objectives.

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6. The performance of on-site repairs and the analysis of customer complaints is the responsibility of the OA. quality assurance department. B. field service department. C. marketing and sales department. O D. process engineering department.

Answers

The performance of on-site repairs and the analysis of customer complaints is the responsibility of the field service department.Field service management (FSM) is a company's division that is in charge of installing, preserving, and fixing equipment at the consumer's home or company.

A company's FSM typically deals with on-site customer service by providing field technicians with work orders, schedules, and customer information, as well as monitoring repairs and gathering feedback.In terms of product quality, the field service department works with the quality assurance department to determine the level of service needed to satisfy customers, whether the product needs repairs or replacement, and to identify areas for improvement.

Field service management involves analyzing customer issues, finding ways to boost field service efficiency, ensuring customer happiness, increasing worker productivity, reducing operating expenses, and complying with regulatory requirements.

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Which of the following are typical Treasury bill maturities? Check all that apply. 10 weeks 13 weeks 15 weeks 40 weeks Which of the following are characteristics of Treasury bills? Check all that apply. Activity in their secondary market is low. They are virtually free of credit (default) risk. Common investors in these securities are households, firms, and financial institutions. Their typical matunties are 4 weeks, 13 weeks, 26 weeks, and 1 year. Which of the following are typical Treasury bill maturities? Check all that apply. 10 weeks 13 weeks 15 weeks 40 weeks Which of the following are characteristics of Treasury bills? Check all that apply. Activity in their secondany market is low. They are virtually free of credit (default) risk. Common investors in these securitins are households, firms, and financial instutuons. Their typical maturties are 4 weeks, 13 weeks, 26 weeks, and 1 year. Suppose Gilberto requires a 6 percent annualized return on a 26-week Treasury bill with a $10,000 pa is: ㄴ6,054.25 48,543.69 $8,737.87 $9,701.74

Answers

The value of the Treasury bill is $9,708.74, which is closest to $9,701.74.

The following are typical Treasury bill maturities: 10 weeks, 13 weeks, 15 weeks, and 40 weeks are the four Treasury bill maturities. Treasury bills are short-term debt instruments issued by the United States government. The terms range from a few days to a year. For example, 13-week and 26-week Treasury bills are frequently issued by the United States Treasury.

Characteristics of Treasury bills are

:These are the following characteristics of Treasury bills:They are virtually free of credit (default) risk.

They're a highly liquid investment with a minimum purchase of $100.They're issued at a discount from face value and mature at face value.They're non-interest-bearing securities, which means that investors earn a return by purchasing them at a discount and then holding them until maturity.

They are primarily bought by large institutional investors, government entities, and wealthy individuals.Their activity in the secondary market is low.Typical maturities for Treasury bills are 4 weeks, 13 weeks, 26 weeks, and 1 year.Suppose Gilberto requires a 6 percent annualized return on a 26-week Treasury bill with a $10,000 par value. Therefore, the formula to compute the price of the Treasury bill would be:P = 10000/ (1+0.06*26/52)= 10000/ (1.03)= $9,708.74

Therefore, the value of the Treasury bill is $9,708.74, which is closest to $9,701.74.

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The correct answer is $9,701.74.

To determine the correct answer, let's analyze each question and option one by one:

Question 1: Which of the following are typical Treasury bill maturities? Check all that apply.

Options:

10 weeks

13 weeks

15 weeks

40 weeks

Correct answer: 10 weeks, 13 weeks

Explanation: Typical Treasury bill maturities include 10 weeks and 13 weeks. These short-term maturities are commonly used for Treasury bills.

Question 2: Which of the following are characteristics of Treasury bills? Check all that apply.

Options:

Activity in their secondary market is low.

They are virtually free of credit (default) risk.

Common investors in these securities are households, firms, and financial institutions.

Their typical maturities are 4 weeks, 13 weeks, 26 weeks, and 1 year.

Thus, Activity in their secondary market is low, they are virtually free of credit (default) risk.

Treasury bills have low activity in their secondary market, meaning they are not frequently traded compared to other securities. They are also virtually free of credit risk, as they are backed by the government. The other options are incorrect because the typical maturities listed do not match the commonly accepted maturities for Treasury bills.

Question 3: Suppose Gilberto requires a 6 percent annualized return on a 26-week Treasury bill with a $10,000 par value. What is the price Gilberto should be willing to pay for this Treasury bill?

Options:

$6,054.25

$48,543.69

$8,737.87

$9,701.74

Hence the correct answer is $9,701.74.

To calculate the price Gilberto should be willing to pay for the Treasury bill, we need to use the formula:

Price = Par Value / (1 + (Annualized Yield * Time / Number of Periods))

Plugging in the values:

Par Value = $10,000

Annualized Yield = 6% or 0.06

Time = 26 weeks or 0.5 years

Number of Periods = 1

Price = $10,000 / (1 + (0.06 * 0.5 / 1)) = $9,701.74

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Messi Effect on PSG shirts sales- Sports and IP
Sports and IP- Explore the IP issues in sports and how they are monetized globally

Answers

IP issues in sports are monetized globally through branding, merchandising, licensing agreements, and player image rights. The arrival of star players like Lionel Messi can have a significant impact on shirt sales and overall merchandise revenue for sports organizations.

The world of sports presents various intellectual property (IP) issues, and these are monetized globally in several ways.

One significant aspect is branding and merchandising, where IP rights such as trademarks and copyrights play a crucial role. The use of team logos, names, player images, and slogans on merchandise generates substantial revenue for sports organizations.

Licensing agreements allow third-party manufacturers to produce and sell official merchandise, providing a revenue stream for both the sports entities and the licensees.

Furthermore, player image rights are a valuable form of IP in sports. Athletes often sign endorsement deals, granting companies the right to use their names, images, and likenesses in advertisements and products. These deals contribute to the revenue stream of both the athletes and the endorsing brands.

The impact of a star player on IP monetization can be significant. When a high-profile player like Lionel Messi joins a team like Paris Saint-Germain (PSG), it can lead to a surge in shirt sales.

Fans want to wear the jersey of their favorite player, creating a massive demand for official merchandise. This effect, often referred to as the "Messi Effect," highlights how a player's popularity and image can drive revenue through merchandise sales and licensing agreements.

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Suppose that consumer spending initially rises by $5 billion for every 1 percent rise in household wealth and that investment spending initially rises by $20 billion for every 1 percentage point fall in the real interest rate. Also assume that the economy's multiplier is 4. Instructions: Enter your answers as a whole number. a. If household wealth falls by 4 percent because of declining house values, and the real interest rate falls by 2 percentage points, in what direction and by how much will the aggregate demand curve initially shift at each price level? Aggregate demand will initially shift by $ b. In what direction and by how much will it eventually shift? Aggregate demand will eventually shift by $ billion.

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a. If household wealth falls by 4 percent because of declining house values, and the real interest rate falls by 2 percentage points, the initial shift in aggregate demand curve at each price level would be calculated  

Consumer Spending = (Change in Household Wealth) x (Multiplier)Consumer Spending = -4% x 4Consumer Spending = -16%Investment Spending = (Change in Real Interest Rate) x (Multiplier)Investment Spending = -2 x 20Investment Spending = -40

Total Initial Shift in Aggregate Demand = Change in Consumer Spending + Change in Investment Spending Total Initial Shift in Aggregate Demand = -16% + (-40)Total Initial Shift in Aggregate Demand = -56%.Hence, aggregate demand will initially shift left by 56% at each price level.

b. The shift in aggregate demand will eventually be four times the total initial shift in aggregate demand. Thus, the aggregate demand will eventually shift left by 224%.

Total Eventual Shift in Aggregate Demand = Total Initial Shift in Aggregate Demand x Multiplier Total Eventual Shift in Aggregate Demand = -56% x 4Total Eventual Shift in Aggregate Demand = -224%Therefore, the aggregate demand will eventually shift left by 224% at each price level.

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Once the proposed system has been selected
the most basic definition of the system needs to be
put into writing. This basic definition needs to be
followed and must not be changed during the entire
development life cycle. Using the key terms and
concepts discussed in your textbook explain this.

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The practice of establishing a basic definition and adhering to it throughout the development life cycle ensures clarity, consistency, and effective management of the system development process.

In the context of system development, the process begins with the selection of a proposed system to address a specific need or problem.

Once this system has been chosen, it is essential to establish a clear and concise basic definition that captures its fundamental characteristics and objectives. This basic definition serves as a guiding document throughout the entire development life cycle and should not be altered or changed.

The key terms and concepts discussed in the textbook help explain the significance of this approach. Firstly, having a basic definition ensures that all stakeholders have a shared understanding of the system's purpose, scope, and functionality.

It provides a reference point for making decisions and evaluating the system's progress. Additionally, maintaining the basic definition unchanged promotes consistency and stability during development, preventing unnecessary scope creep or frequent alterations that can introduce confusion and delays.

Furthermore, the basic definition aligns with the concept of requirements engineering, which emphasizes the need to capture and document the system's functional and non-functional requirements accurately.

By preserving the basic definition, the development team can focus on meeting these requirements and minimizing ambiguity or misunderstandings that could arise from modifying the system's fundamental definition.

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Bill wants to retire with $908,000.00. How much does Bill need to save each year for 11 years if he wants to retire in exactly 11 years, can earn 8.65 percent on his savings, makes his first contribution to savings later today, and saves an equal amount each year? (ROUND THE VALUE TO O DECIMAL AND ENTER THE POSITIVE VALUE) Correct answer 48492

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Given data: Bill wants to retire with $908,000.00.Bill wants to retire in exactly 11 years The rate of interest is 8.65%.Bill makes his first contribution to savings later today, and saves an equal amount each year.

Let X be the amount Bill needs to save each year for 11 years.

The future value of the annuity can be calculated using the formula;

FV = Pmt x [(1 + r)n - 1] / rWhere,

FV = Future value of annuity

Pmt = Payment made each year r = Rate of interest n = Number of periods Putting the given values in the above formula;

908,000 = X x [(1 + 0.0865)11 - 1] / 0.0865

On solving the above equation, we get:

X = $48,492

Hence, Bill needs to save $48,492 each year for 11 years.

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(3) animals with pellagra reducing the intake of high-quality proteing in healthy animats and monitoring the results (3) inoculating healthy indeviduals with secretions from pellagra skin lesions (4) having heafthy animals live in an unsanitary environment (5) (5) moving animals with pellagra to a sanitary environment 32. The beach northeant of Thule, Greenland, was raised above soa level when the glaciers melted, raising the continental crust. The glaciers' great weight hind previously depressed the crust. Which of the following eflects would also occur at the end of an Ice Age? (1) an increase in volcanic activity near the equator (2) a global rise in the sea lovel (3) worldwide extinction of the reptiles (4) a shorter length of the day (5) a complete rearrangement of the Earth's continents

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The  effects would also occur at the end of an Ice Age: a global rise in the sea level. Therefore, option (2) is correct.

This is due to the fact that glaciers, which are made up of frozen water, form as snow accumulates over hundreds or thousands of years and gradually compacts and turns into ice, making them a crucial part of the Earth's hydrologic cycle.

As a result, when glaciers melt at the end of an ice age, this may cause sea level rise. The ice melts and flows into the sea, causing it to expand. Melting glaciers and ice sheets contribute to rising sea levels, which can cause floods and displace people and animals from coastal areas. Besides, this doesn't apply to the rest of the options.

Therefore, option (2) is correct.

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Seattle’s minimum wage was substantially larger than any of the surrounding cities (with the exception of SeaTac) impacted. Do you believe individual cities could generally benefit from being the exception in the area or are they hurt from this type of legislation? 2. Do you believe city-based minimum wages will continue to become more popular in the United States? Why or why not?

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1. When Seattle’s minimum wage was substantially larger than any of the surrounding cities (with the exception of SeaTac) impacted, it is believed that individual cities could generally benefit from being the exception in the area.

However, this type of legislation may also hurt the city-based on its economic condition, type of industry and business environment, etc. The pros and cons should be weighed before implementing such legislation in any area.2. It is believed that city-based minimum wages will continue to become more popular in the United States.

It is because the cost of living in different areas and cities in the United States varies, making it difficult for a federal government to regulate minimum wages that fit everyone’s needs. The local government knows their area’s economy and living costs better, so they can regulate the minimum wage according to the area's standard of living.

Moreover, raising the minimum wage could also bring in more tax revenue for the city and could positively impact its economy. Hence, it is more likely that more and more cities will introduce city-based minimum wages in the United States.

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In the 1990's, the leader of Germany's Social Democratic Party, Oscar LaFontaine suggested a type of environmental regulation combining emissions taxes with a minimum allowable emission standard. Specifically, each firm would be allowed to pollute an amount eˉ without paying a tax. All units exceeding eˉ would be subject to taxation a. Determine the firm's objective function b. Explain why this system is inefficient in general and does not provide incentives for least cost pollution reduction. Under what conditions will this system be efficient?

Answers

Objective Function of the firm:In order to determine the objective function of the firm, we need to determine the marginal costs and benefits.

In this case, the marginal cost refers to the additional cost incurred by the firm due to the imposition of the environmental regulation. Similarly, the marginal benefit refers to the increase in the revenue earned by the firm as a result of reduced environmental pollution.

If MC denotes the marginal cost and MB denotes the marginal benefit, then the objective function of the firm can be defined as follows:Maximize: MB - MCb) Inefficiency of the System and its Failure to provide incentives for least-cost pollution reduction:

The system suggested by Oscar LaFontaine is inefficient in general and does not provide incentives for least-cost pollution reduction for the following reasons:1. The system only imposes a tax on the amount of pollution that exceeds a certain level, known as the minimum allowable emission standard (eˉ). As a result, firms have no incentive to reduce their pollution levels below the minimum allowable standard.

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Individual Assignment 4 - Changing Federal Funds Rate In Week 3 we considered expanding our fleet to include luxury cars. As soon as we made that decision, the Federal Reserve announced they planned to raise the key rate. How does this announcement impact our purchasing decision? What are the implications of the Fed's action on our future demand? Provide your thoughts on this issue.

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The decision of expanding the fleet to include luxury cars may not be a wise one when the Federal Reserve has announced to raise the key rate.

The Federal Reserve can raise the key rate in order to control the inflation rate in the country. The demand for luxury cars will go down if the Federal Reserve raises the key rate.

As a result, the implications of the Fed's action on the future demand for luxury cars may not be good. In fact, the demand for these cars may reduce in the future as more people will avoid making such purchases in order to save money.

Hence, the luxury car dealers may also face a loss in their businesses. Furthermore, higher interest rates may increase the cost of borrowing. As a result, the company may have to pay more for loans which may make it difficult for them to expand their business.

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How do US commercial banks eam most of their profits? From their overdiraft fees From the fees they charge for opening up checking accounts From the interest eamings on their US Treasury Bond portfolio. From the loans they have made

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Commercial banks in the US earn most of their profits from the loans they have made.

Commercial banks refer to financial institutions whose primary roles are accepting deposits, offering loans, and providing various other financial services such as checking and savings accounts, certificates of deposit (CDs), and credit cards. Commercial banks cater to individuals, small businesses, and large corporations. Banks are also the backbone of the economy.

For businesses to grow, they need loans. Thus, the banks' primary role in the economy is to offer credit to companies. Loans offered by commercial banks can range from personal loans to small businesses and mortgages to large corporations. Therefore, the most significant source of revenue for commercial banks comes from the loans they have made.

Let's go over the other options: From their overdraft fees - Overdraft fees are charged to clients who overdraw their accounts. While this is a source of revenue for commercial banks, it is not the most significant source. From the fees they charge for opening up checking accounts - While commercial banks do charge fees for opening checking accounts, it is not the primary source of revenue.

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The primary goal of the AGGREGATE PLAN in production planning and scheduling is to reduce customer returns. match production capacity (supply) and customer demand. calculate inventory turns. speed up payment by customers. reduce lead times from suppliers. None of the above.

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In production planning and scheduling, the primary goal of the aggregate plan is to match production capacity (supply) and customer demand.

This process involves developing a production plan that considers the available resources of the company and the expected demand from customers. The plan helps to determine the production level required to meet customer demand, while minimizing inventory costs and maximizing production efficiency. To achieve this goal, the aggregate plan must consider a variety of factors, including the production process, capacity constraints, lead times from suppliers, inventory levels, and customer demand.

 Additionally, a well-designed aggregate plan can help to minimize the risk of customer returns by ensuring that products are available when customers need them. In conclusion, the primary goal of the aggregate plan is to match production capacity to customer demand, in order to minimize inventory costs, maximize production efficiency, and reduce the risk of stockouts and customer returns.

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Interpret and discuss section 24 and 25 of the MCA 2007

Answers

The Mental Capacity Act (MCA) 2007 defines the framework that permits people to make choices for themselves or people with mental incapacity to be taken care of in their best interests.

The act was brought into force in 2007 and applies to England and Wales.Section 24 of the Mental Capacity Act 2007 deals with the appointment of deputies for property and affairs and health and welfare. This section gives authority to the Court of Protection to appoint a deputy when it is in the best interests of a person who is not capable of making decisions for themselves. It states that deputies for personal welfare should act in the best interests of the person who lacks capacity.Section 25 of the MCA 2007 deals with the payment and remuneration of deputies. It allows the Court of Protection to authorize payment of a reasonable amount of remuneration for the deputy or for any other persons that have been involved in any way with the deputyship arrangements.

Interpretation of Section 24 and 25 of the MCA 2007; Section 24 of the MCA 2007 gives the court the power to appoint deputies for people who are incapable of making decisions for themselves. The Court of Protection may appoint a deputy when it is in the person's best interests, and the deputy is required to act in their best interests. The deputy should always encourage and support the person to make their own decisions whenever possible.

Section 25 of the MCA 2007 outlines the financial remuneration of the deputy for their work in the form of payment. The payment amount is usually authorized by the Court of Protection and is reasonable.

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Determine the interest on the following notes: (Round answers to 2 decimal places, eg. 52.75. Use 360 days for calculation) (a) (b) (c) (d) $1,920 at 6% for 90 days. $1,040 at 9% for 5 months. $2,880 at 8% for 60 days. $1,600 at 7% for 6 months. $ $ $ $

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The interest on the given notes is as follows: (a) $28.80, (b) $38.50, (c) $38.40, and (d) $56.00

To determine the interest in the given notes, we can use the simple interest formula:

Interest = Principal x Rate x Time

Where:

The principal is the initial amount borrowed or invested,

Rate is the annual interest rate, and

Time is the duration in days or months.

(a) $1,920 at 6% for 90 days:

Principal = $1,920

Rate = 6% per annum = 0.06

Time = 90 days / 360 days (assuming a 360-day year)

Interest = $1,920 x 0.06 x (90/360) = $28.80

(b) $1,040 at 9% for 5 months:

Principal = $1,040

Rate = 9% per annum = 0.09

Time = 5 months

Interest = $1,040 x 0.09 x (5/12) = $38.50

(c) $2,880 at 8% for 60 days:

Principal = $2,880

Rate = 8% per annum = 0.08

Time = 60 days / 360 days

Interest = $2,880 x 0.08 x (60/360) = $38.40

(d) $1,600 at 7% for 6 months:

Principal = $1,600

Rate = 7% per annum = 0.07

Time = 6 months

Interest = $1,600 x 0.07 x (6/12) = $56.00

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A microeconomist would study all of the following issues EXCEPT the impact of a change in consumer income on the sales of com the most efficient means for General Motors to produce an automobile the impact of a snowstorm on the sales of snow shovels the effect of a change in income taxes on the nation's rate of unemployment Self-interest applies to people in market trading settings, but not solitary decisions is consistent with many goals people have, including helping others implies that people will not give away wealth implies that a person wants to increase wealth Frank and Alexa both decide to see the same movie when they are given free movie tickets. We know that both bear an opportunity cost of seeing the movie, but their opportunity costs are likely different the cost of going to the movie is greater for the one who had more choices to do other activities both bear the same opportunity cost since they are doing the same thing neither bears an opportunity cost because the tickets were free

Answers

A microeconomist would study all of the following issues EXCEPT the impact of a change in consumer income on the sales of com.

A microeconomist studies individual economic decisions and their effects on markets and the economy.They analyze consumer income changes on product sales, production efficiency, and the impact of external factors like snowstorms on sales. Additionally, they explore the relationship between income taxes and unemployment rates. Microeconomists examine these factors at a micro-level to understand market dynamics. Their research provides insights for economic policies and decision-making.

Among the given options, the impact of a change in consumer income on product sales is a relevant area of study in microeconomics. Microeconomists examine consumer behavior and market demand to understand how changes in income influence purchasing decisions. This analysis helps businesses assess the responsiveness of their products to fluctuations in consumer income and make informed marketing and pricing strategies. Therefore, the impact of a change in consumer income on product sales aligns with the study of microeconomics. Consequently, this option does not fit the statement, as it is indeed an issue that a microeconomist would study.

The other options, such as the most efficient means for General Motors to produce an automobile, the impact of a snowstorm on the sales of snow shovels, and the effect of a change in income taxes on the nation's rate of unemployment, are all examples of issues that microeconomists would study.

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Opportunity cost of 26 million people when 1.3 billion is cost
of a middle = 5 million tons of corn

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The opportunity cost of 26 million people, when the cost of a middle is 1.3 billion, and each middle is equal to 5 million tons of corn, is 250 units of corn per person.

The opportunity cost for 26 million people when the cost of a middle is 1.3 billion, and each middle is equal to 5 million tons of corn, we can use the concept of relative cost.

The relative cost is the cost of one item in terms of another. In this case, we want to determine the cost of corn per person, given the cost of a middle. Here's how we can calculate it:

Cost of corn per person = (Cost of a middle) / (Number of middles) * (Corn per middle)

Number of middles = 26 million

Cost of a middle = 1.3 billion

Corn per middle = 5 million tons

Plugging in the values, we get:

Cost of corn per person = (1.3 billion) / (26 million) * (5 million)

Cost of corn per person = 250

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We talked about negative effects on other decision makers in our discussion of pollution and fossil fuel reduction. Let's be more positive for a change and discuss positive effects. These are slightly more open ended examples where insights from game theory are useful. (a) Credit cards make it easy for you to purchase goods in stores that accept them even when you have run temporarily out of money. Discuss the externalities that you impose on other consumers when you choose to have a credit card. (b) You get information about the quality of a new restaurant from reviews on the internet. Would you rather go first or wait for a sufficient number of reviews, Someone must be the first to dine in the restaurant to create the first reviews. What can the restaurant do to get the first customers. How can you trust the reviews (i.e. how do you know it is not the restaurant saying good things about itself)?

Answers

The externalities can include an increase in price, consumer debt, the inefficiency of the payment system, etc. Restaurants take many steps to attract people by offering incentives, etc. The online views can't be trusted, but the consistency and the professional reviewers' advice can.

Credit card companies charge merchant fees for processing transactions. Credit card transactions require additional infrastructure and resources to process, such as card readers, online payment gateways, and customer support services. The restaurant can provide discounts or special offers to early customers to encourage them to try their food and share their experiences through reviews. The profiles of reviewers should be checked to assess their credibility before trusting the online reviews.

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Calculating each individual FV and summing them up will give us the final amount in the account at the end of 2 years.

To calculate the amount in the account at the end of 2 years, we need to consider the quarterly deposits and the interest earned on the account.

First, let's calculate the number of deposits made in 2 years. Since deposits are made quarterly, there are 4 deposits in a year, so in 2 years, there will be 8 deposits.

Next, let's calculate the interest rate per period. The account pays 8% interest compounded monthly, so the monthly interest rate is 8% divided by 12 (number of months in a year) = 0.08/12 = 0.0067.

Now, we can calculate the future value of each deposit using the formula for the future value of an ordinary annuity:

FV = P * [(1 + r)^n - 1] / r,

where FV is the future value, P is the amount of each deposit, r is the interest rate per period, and n is the number of periods.

Let's calculate the future value of the first deposit:

FV1 = $1500 * [(1 + 0.0067)^32 - 1] / 0.0067,

where 32 is the number of periods (8 deposits multiplied by 4 quarters).

Now, let's calculate the future value of the last deposit (after 2 years):

FV8 = ($1500 + 7 * $150) * [(1 + 0.0067)^1 - 1] / 0.0067,

where $1500 is the initial deposit and 7 * $150 is the increase in deposits for the remaining 7 quarters.

Finally, we can calculate the total amount in the account at the end of 2 years by summing up the future values of all the deposits:

Total FV = FV1 + FV2 + FV3 + ... + FV8.

Calculating each individual FV and summing them up will give us the final amount in the account at the end of 2 years.

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Rocky Mountain Camping Equipment, Inc. has estabied the following direct-material standards for its two products. Standard car Deluxe backpacking tsek Standard uantity 12 pounds 6 pounds ****** Standard Price $6 per pound $8 per pound During March, decenipany purchased 2,100 pounds of tent fabric for its standard model at a cost of $13,440. The actual March production of the standard tent was 100 tents, and 1,250 pounds of fabric were used. Also during March, the company purchased 800 pounds of tent fabric for its deluxe back- packing tent at a cost of $6,320. The firm used 720 pounds of the fabric during March in the production of 120 deluxe tents. Required: 1. Compute the direct-material price variance and quantity variance for March. 2. Prepare journal entries to record the purchase of material, use of material, and incurrence of vari- ances in March.

Answers

1) Direct-Material Price Variance: Direct material price variance is the difference between the actual price paid for a material and the standard price, multiplied by the actual quantity of the material.

A favorable variance occurs when the actual price is lower than the standard price. An unfavorable variance occurs when the actual price is higher than the standard price.

Computation of direct-material price variance for March; Standard car Deluxe backpacking trek

Actual quantity 1,250 pounds 720 poundsActual price $10.75 per pound $8.78 per pound (Total Cost/Total Quantity) = $13,440/2,100 = $6.4 per pound(Standard Quantity × Standard Price) = 12 × $6 = $72; (Actual Quantity × Standard Price) = 1,250 × $6 = $7,500; Direct-Material Price Variance = (Actual Quantity × Standard Price) - (Actual Quantity × Actual Price)= 1,250 × $6 - 1,250 × $10.75= $7,500 - $13,437.5= -$5,937.5 (Unfavorable)Direct-material Quantity Variance: Direct material quantity variance is the difference between the actual quantity of materials used and the standard quantity, multiplied by the standard price. Computation of direct-material quantity variance for MarchStandard car Deluxe backpacking the standard quantity 12 pounds 6 pounds. Actual quantity 1,250 pounds 720 pounds. Standard price $6 per pound $8 per pound (Standard Quantity × Standard Price) = 12 × $6 = $72 (Standard Quantity × Actual Price) = 12 × $10.75 = $129 (Standard Price × (Standard Quantity - Actual Quantity)) = $6 × (12 - 1,250) = -$7,284 (Unfavorable)2)

Journal Entries to record the purchase of material, use of material, and incurrence of variances in March.

Purchase of Material:Raw Material Inventory A/c = $19,760 Accounts Payable A/c = $19,760 (To record the purchase of materials for March)Use of Material: Work-in-Process Inventory - Deluxe Tent A/c = $6,302.4 (6 × 120 × $8.78); Work-in-Process Inventory - Standard Tent A/c = $13,437.5 (1,250 × $10.75); Raw Material Inventory A/c = $19,760 (To record the use of materials for March); Direct-Material Price Variance: Direct-Material Price Variance A/c = $5,937.5Raw Material Inventory A/c = $5,937.5 (To record the Direct Material Price Variance) Direct-Material Quantity Variance: Direct-Material Quantity Variance A/c = $7,284; Work-in-Process Inventory - Standard Tent A/c = $7,284 (To record the Direct Material Quantity Variance)

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In analyzing the threat from potential competition, one needs to consider: Select one: a. both potential entry and exit barriers. b. potential entry barriers. c. potential exit barriers. In , a firm focuses on understanding its competencies and resources vis-à-vis its Select one: a. external analysis; clients b. strategic delivery; clients c. strategic delivery; customers d. internal analysis; competitors

Answers

The answer to the first question is "b. potential entry barriers".The answer to the second question is "d. internal analysis; competitors".

1. In analyzing the threat from potential competition, one needs to consider: Potential entry barriers are considered in analyzing the threat from potential competition. Entry barriers may come in many forms such as economies of scale, patents and trademarks, government regulations, and exclusive contracts that keep potential competitors from entering the market. Hence, option b. is the correct answer.

2. In , a firm focuses on understanding its competencies and resources vis-à-vis its Internal analysis; competitors are focused on understanding a company's competencies and resources vis-à-vis its competitors. It is an internal evaluation of a firm's strengths, weaknesses, opportunities, and threats.

The evaluation is usually focused on the resources, personnel, technology, and other attributes that give the firm a competitive advantage over its competitors. Hence, option d. is the correct answer.

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He postulates that disability, race and sex discrimination is inefficient in a competitive world because it calls for only men to occupy better positions in working industries. Majority of men earn a higher salary than women, disabled people or minority races who have same education, experience and abilities. Non-discriminating employers can gain an edge in the competitive market by hiring disadvantaged and disabled people, women and minorities, thereby reducing job-related inequality. This plan, if taken on by employers, could perpetuate over time to other employers in which job-related inequality could decrease nationally. However, her theories and research suggests that job-related inequality is increasing and will continue to do so.In two pages, express your views on the workplace diversity by explaining the following:Whether you agree/disagree with principles of establishing quotas for appointment of certain groups of employees? Elaborate further on why you agree or disagree with the statement and validate your answer with practical examples. A particle with a charge of 6.6C is moving in a uniform magnetic field of B= (1.6510 2T) k^with a velocity: v=(3.62 10 4m/s) i^+(8.610 4m/s) j^. (a) Calculate the x component of the magnetic force (in N) on the particle? (b) Calculate the y component of the magnetic force (in N) on the particle? The equivalent reactance in ohms on the low-voltage side O 0.11 23 3.6 0.23 Determine the sum of the geometric series 1545+135405+32805 The script must define two classes- Collectable- Baseball_CardBaseball_Card is a subclass of CollectableCollectableCollectable must have the following attributes- type- purchased- priceAll attributes must be hidden.purchased and price must be stored as integers.Collectable must have the following methods- __init__- get_type- get_purchased- get_price- __str____str__ must return a string containing all attributes.Baseball_CardBaseball_Card must have the following attributes.- player- year- companyAll attributes must be hidden.year and must be stored as an integer.Baseball_Card must have the following methods- __init__- get_player- get_year- get_company- __str____str__ must return a string containing all attributes.Script for this assignmentOpen an a text editor and create the file hw11.py.You can use the editor built into IDLE or a program like Sublime.Test CodeYour hw11.py file must contain the following test code at the bottom of the file:col_1 = Collectable("Baseball card", 2018, 500)print(col_1.get_type())print(col_1.get_purchased())print(col_1.get_price())print(col_1)bc_1 = Baseball_Card("Willie Mays", 1952, "Topps", 2018, 500)print(bc_1.get_player())print(bc_1.get_year())print(bc_1.get_company())print(bc_1)SuggestionsWrite this program in a step-by-step fashion using the technique of incremental development.In other words, write a bit of code, test it, make whatever changes you need to get it working, and go on to the next step.1. Create the file hw11.py.Write the class header for Collectable.Write the constructor for this class.Copy the test code to the bottom of the script.Comment out all line in the test code except the first.You comment out a line by making # the first character on the line.Run the script.Fix any errors you find.2. Create the methods get_type, get_purchased and get_price.Uncomment the next three lines in the test code.Run the script.Fix any errors you find.3. Create the __str__ method.Uncomment the next line in the test code.Run the script.Fix any errors you find.4. Write the class header for Baseball_Card.Write the constructor for this class.When you call the __init__ method for Collectable you will have to supply the string "Baseball card" as the second argument.Uncomment the next line in the test code.Run the script.Fix any errors you find5. Create the methods get_player, get_year and get_company.Uncomment the next three lines in the test code.Run the script.Fix any errors you find.6. Create the __str__ method.Uncomment the last line in the test code.Run the script.Fix any errors you find. XYZ has a current accounts receivable balance of $309953. Credit sales for the year just ended were $4141013. What is the company's receivables turnover? (Round your answer to 2 decimal places, e.g. 23.87) This year's income statement shows that ABC company has EBIT (Earnings Before Interest and Taxes) of $103599 and interest expense of $33586. What is the value of TIE ratio (Times-Interest-Earned ratio) for this company according to this year's income statement? (Round your final answer to 2 decimal places, e.g. 110.10) This year's income statement shows that ABC company has Net Income of $94298, tax expense of $15118 and interest expense $47204. What is the value of TIE ratio (Times-Interest-Earned ratio) for this company according to this year's income statement? (Round your final answer to 2 decimal places, e.g. 110.10) Assuming the normal lapse rate, given a temperature of 27.4c atsea level, what will the temperature be at 3000 meters? Which one of the following statements is true?Fire can be good for the maintenance of forests.Edaphic factor has no influences on fauna.Some stable substances (such as DDT) and heavy metals (such as mercury and lead) become concentrated at higher levels of a food chain. This is a good thing for the biota.In a food pyramid, the total number of organisms tends to decrease as one travels down the trophic levels Q2. Use the 1/7 power-law profile and Blasius's correlation for shear stress to compute the drag force due to friction and the maximum boundary layer thickness on a plate 20 ft long and 10 ft wide (fo A very long thin wire produces a magnetic field of 0.0050 10-4 Ta at a distance of 3.0 mm. from the central axis of the wire. What is the magnitude of the current in the wire? (404x 10-7 T.m/A) Question 14 of 25Does this table represent a function? Why or why not?X22345y14425OA. Yes, because there are two x-values that are the same.B. No, because one x-value corresponds to two different y-values.OC. No, because two of the y-values are the same.OD. Yes, because every x-value corresponds to exactly one y-value.ZA An auditor determines that only accounts receivable is materially misstated on the financial statements. Management refuses to amend the accounts receivable balance. What audit opinion should the auditor issue? A. Qualified B. Unqualified C. Adverse D. Disclaimer Find the components of the following vectors using trigonometric functions a. The wind is blowing at 77 km/h N 25 W b. A car accelerates at 4.55 m/s at a bearing of 117" c. Sally and Sandy walk 18 m up a ramp, inclined at 33" from the horizontal. How far forward and how far upward did they go? 1