assume that a U.S. corporation imports electronic equipment from
Japan in a transaction denominated in U.S. dollars. is it
transaction a foreign currency transaction? a foreign transaction?
explain th

Answers

Answer 1

Yes, the transaction in which a U.S. corporation imports electronic equipment from Japan in a foreign currency transaction transaction denominated in U.S. dollars is a foreign transaction.

This is because a foreign transaction refers to any transaction between a business or individual in one country and a business or individual in another country. The transaction can be in any currency, not just foreign currencies. In this case, the transaction involves a U.S. corporation and a business in Japan, which makes it a foreign transaction. A foreign currency transaction, on the other hand, refers to any transaction that involves the exchange of one currency for another. Since the transaction in question is denominated in U.S. dollars, it is not a foreign currency transaction.

Complete question:

assume that a U.S. corporation imports electronic equipment from Japan in a transaction denominated in U.S. dollars. is it transaction a foreign currency transaction? a foreign transaction? explain them

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Related Questions

If the WACC increases:
Select one:
O a. NPV increases
O b. NPV is without change
C.NPV decreases
What is the accounting equation?
Select one:
O a. Liabilities - stockholders' equity = assets
O b. Assets - liabilities = stockholders' equity
O c. Assets + liabilities = stockholders' equity
Given the following information, calculate the operating cash flows. Net income 15, Depreciation 80,
Increase in receivables 78, Increase in inventory 26, Increase in claims 30
Select one:
O a.9
O b.13
O C. 21
If the NCF increases:
O a. NPV decreases
O b. NPV increases
O c.NPV is without change
A business has the following items in it: Land $1,000 Machinery $20 Cash $10 Loan $500 What is the
value of the owner's equity?
Select one:
O a.$1.000
O b. $530
O C.$500
Company purchased an equipment for $600. The equipment has a useful life of 4 years and a scrap value
(residual value) of $50 at the end of year 4. What is the depreciation expense for year 1 (using straight
line method?
Select one:
O a.137.5
O b. 122.5
O C.150

Answers

If WACC increases, NPV decreases.The WACC is the average cost of capital for a corporation, which is used to calculate the current worth of potential cash flows.

It's used to find the current value of investment projects, as well as the cost of funding a company. NPV, on the other hand, is a financial method for calculating the current value of an investment in today's dollars.The accounting equation is assets - liabilities = stockholders' equity.The operating cash flows are calculated as follows:Net income + depreciation = operating cash flows.15 + 80 = 95.Increases in NCF result in an increase in NPV.The value of the owner's equity is $530.

The formula for straight-line depreciation is (purchase price - salvage value) / useful life, and for the given scenario, it is (600 - 50) / 4 = 137.5. Therefore, the depreciation expense for year 1 is 137.5.

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1. What is Crocs overall strategy (product, markets, growth) and
what distinctive competencies is it built on ? What are the
company’s customer target segments ?

2. How does Crocs distribution practice differ from the ‘traditional
practice’ ? What are the limitations of the traditional model ? Why
does this give Crocs a competitive advantage ?

3. How did the supply chain develop historically ?

4. Analyze the company’s supply chain model, its drivers, and its
contribution to Crocs success.

5. What major ‘lessons learned’ in this case would you consider
using in your own company, were you to start one ? Why ?

Answers

The distinctive competencies that Crocs has are that it is a recognized brand, it has a good reputation, it has efficient and effective manufacturing facilities, and it has a wide range of products.

Crocs use product differentiation as its strategy. Crocs are targeting mainly women and children as their customers.

Crocs distribution practice differs from the traditional model as it uses a ‘push’ system instead of a ‘pull’ system. A push system means that they produce a large number of products before the demand exists for them. This differs from a pull system, which means that the product is produced in response to customer demand. Crocs used an innovative approach that is known as a ‘hybrid’ system. This combines elements of both a push and pull system.

The traditional distribution model has limitations because it cannot guarantee that there will be a market for the product when it reaches the store. Therefore, it could be left unsold on the shelves. Crocs competitive advantage is that they can produce in large quantities while still maintaining flexibility.

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Make a recommendation of a suitable project management structure for a project installing a new POS (Point of Sale) system in a large supermarket organisation with multiple shops.
Base you recommendation on a reasoned discussion of the options that could be used.

Answers

For the project of installing a new Point of Sale (POS) system in a large supermarket organization with multiple shops, a matrix project management structure would be a suitable recommendation. This structure allows for efficient coordination and collaboration among different functional areas while providing dedicated project leadership.

A matrix project management structure combines elements of functional and project-based structures. In this case, the installation of a new POS system requires input and expertise from various departments such as IT, operations, and finance across multiple shop locations. A matrix structure would enable the project team to leverage the specialized knowledge and resources of these departments while maintaining a clear project focus.

Under the matrix structure, a project manager would be appointed to oversee the installation project and ensure its successful execution. This project manager would have the authority to make project-related decisions, coordinate tasks, and manage resources across the organization. The project team members would be drawn from different functional areas, bringing their expertise and contributing to the project's success.

By utilizing a matrix structure, the project can benefit from efficient communication and collaboration between different departments, ensuring that the installation of the new POS system is aligned with the organization's goals and requirements. It also allows for effective resource allocation, as project team members can balance their project responsibilities with their functional roles within the organization.

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Peru has 600 workers/citizens. Each worker can produce 40 agricultural goods (A) or 2 manufacturing goods (M). Each resident in Peru currently consumes 20A and 1M. Colombia has 680 workers/citizens. Each can produce 50A or 4M. Colombia's residents consume 25A and 2M. The ‘terms of trade’ (international prices) are 1M = 16A. Peru wants to continue consuming pre-trade A values, and Colombia also wants to continue consuming pre-trade M values. Given this information, in the case of Colombia, match the answers.
"- A. B. C. D. consumption before trade is __ A.
- A. B. C. D. consumption before trade is __ M.
- A. B. C. D. production before trade is __A.
- A. B. C. D. production before trade is __M.
- A. B. C. D. After trade, total exports would be: __M.
- A. B. C. D. production after trade is __M.
- A. B. C. D. production after trade is __A.
- A. B. C. D. After trade, if Colombia kept nothing of its total production as domestic consumption, then, exports would be: __M."

Answers

Let's analyze the given information for Colombia and fill in the blanks accordingly:

Colombia:

Population/Workers: 680

Production per worker: 50A or 4M

Consumption per person before trade: 25A and 2M

Filling in the blanks:

A. Consumption before trade is __ A.

Answer: 25A (as given)

B. Consumption before trade is __ M.

Answer: 2M (as given)

C. Production before trade is __ A.

To determine the production before trade, we need to calculate the total production of agricultural goods (A) by multiplying the production per worker (50A) by the number of workers (680):

Total production of A = 50A * 680 workers = 34,000A

Answer: 34,000A

D. Production before trade is __ M.

To determine the production before trade, we need to calculate the total production of manufacturing goods (M) by multiplying the production per worker (4M) by the number of workers (680):

Total production of M = 4M * 680 workers = 2,720M

Answer: 2,720M

After trade, total exports would be: __M.

To calculate the total exports, we need to determine the difference between the total production of manufacturing goods (M) and the domestic consumption of manufacturing goods (2M):

Total exports = Total production of M - Domestic consumption of M = 2,720M - 2M

Answer: 2,718M

Production after trade is __ M.

Since the total exports are given as 2,718M, the production after trade would be the total production of manufacturing goods (M) minus the total exports:

Production after trade = Total production of M - Total exports = 2,720M - 2,718M

Answer: 2M

Production after trade is __ A.

Since there is no information provided specifically about the production of agricultural goods (A) after trade, we cannot determine this value based on the given information.

After trade, if Colombia kept nothing of its total production as domestic consumption, then exports would be: __ M.

If Colombia kept nothing of its total production as domestic consumption, then all of the manufacturing goods (M) produced would be exported:

Answer: 2,720M

Please note that without additional information, we cannot determine the production of agricultural goods (A) after trade or the exact consumption values after trade.

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Attribute Gender Grade: Tardies Absences Suspension Expulsion Arrest Student ID cluster 0 0.466 10.509 4.303 2.551 0.333 0.124 0.709 826.500 cluster_1 0.485 10.477 4.143 2.392 0.329 0.139 0.650 356 cluster 2 0.545 10.528 4.311 2.694 0.349 0.162 0.719 592 cluster 3. 0.443 10.582 3.954 2.443 0.338 0.198 0.797 119 8 Examining the centroids for Tardies, Absences, Suspension, Expulsion, and Arrest, how many total students are there in the two "middle-risk" clusters that would be classified as neither Low Risk nor Critical Risk? 0000 943 300. 181 481 9 Examining the centroids for Grade, which of the following would most accurately describe this attribute's value in your k-Means model? Grade level appears to be strongly correlated to the likelihood of being arrested. cluster_0 likely has a large number of students in the 11th and 12th grades. There is little indication that grade level relates in any meaningful way to student risk factors. Older students (in higher grade levels) tend to be late to class more often than younger students.

Answers

Total students that are there in the two "middle-risk" clusters that would be classified as neither Low Risk nor Critical Risk are 829.

In the given data, two "middle-risk" clusters are cluster_1 and cluster_2. To determine the total number of students in these clusters, we add the student counts for cluster_1 and cluster_2.

Total students in cluster_1 = 356

Total students in cluster_2 = 592

Adding these two values gives us:

356 + 592 = 948

However, we need to exclude the critical risk cluster (cluster_3) from the count. From the data, the student count for cluster_3 is 119.

Therefore, the total number of students in the two "middle-risk" clusters, excluding the critical risk cluster, is:

948 - 119 = 829

Thus, there are 829 total students in the two "middle-risk" clusters that would be classified as neither Low Risk nor Critical Risk.

None of the provided statements accurately describe the attribute "Grade" in the k-Means model. The given centroids for Grade do not provide any indication of the correlation between grade level and student risk factors. Therefore, the correct answer is  There is little indication that grade level relates in any meaningful way to student risk factors.

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What is the primary cause of seasons on Earth? Earth's axial tilt and its orbit around the Sun Earth's changing distance as it orbits around the Sun The influence of the zodiac The gravitational pull of other Solar System planets The Sun's changing activity levels 2 pts The Sun and the Moon have nearly the same angular size on the sky. This means that: O The Earth is flat O The two have the same physical size O Since the Sun has a much larger physical size, it must be further away than the Moon O They're both located the same distance away from Earth O Since the Moon has a much smaller physical size, it must be further away than the Sun How do astronomers measure the distance to objects in space? (Within our own galaxy) O With a ruler O Spectroscopy O Parallax Doppler Effect O Refraction. Who was the first scientist to suggest that planets orbit in ellipses? Johannes Kepler Claudius Ptolemaeus Isaac Newton Galileo Galilei O Leonardo da Vinci

Answers

The primary cause of seasons on Earth is Earth's axial tilt and its orbit around the Sun.

The Earth is tilted at an angle of about 23.5 degrees relative to its orbit around the Sun. As the Earth moves around the Sun, this tilt causes different parts of the Earth to receive more or less direct sunlight at different times of the year. This results in the four seasons: spring, summer, fall, and winter. The Sun and the Moon have nearly the same angular size on the sky. This means that they both have the same physical size. Although the Sun has a much larger physical size than the Moon, it is also much farther away than the Moon. Astronomers measure the distance to objects in space within our own galaxy using parallax. Parallax is the apparent shift in position of an object when viewed from two different locations. By measuring the shift in position of a star as the Earth orbits the Sun, astronomers can determine the star's distance from Earth. The first scientist to suggest that planets orbit in ellipses was Johannes Kepler. Kepler was a German astronomer and mathematician who lived in the late 16th and early 17th centuries. He is best known for his three laws of planetary motion, which describe the motion of planets around the Sun.

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Please I want new answer not same old one, and in 1 hour

International PR is becoming increasingly important as the number of global organizations grows and the internet breaks down barriers between nations. Investigate the key PR challenges for a multinational corporation, and debate whether a single global strategy is appropriate or whether campaigns should be localized. Analyze the key pitfalls of international PR and how to avoid these.

Answers

International public relations (PR) poses unique challenges for multinational corporations (MNCs) as they operate in diverse cultural, political, and regulatory contexts.

This analysis explores the key PR challenges faced by MNCs, the debate between a global strategy versus localized campaigns, and the key pitfalls of international PR. Strategies to avoid these pitfalls are also discussed. International PR presents several challenges for multinational corporations. Firstly, cultural differences play a significant role as MNCs need to adapt their messaging and communication style to resonate with diverse audiences across different countries. Language barriers, social norms, and values must be carefully considered to avoid misinterpretation or offense.

Secondly, political and regulatory environments vary across countries, posing challenges in managing government relations and compliance with local laws. MNCs must navigate different media landscapes, including state-controlled media or media outlets with different levels of press freedom. The debate between a single global PR strategy versus localized campaigns is complex. While a global strategy allows for consistent brand messaging and cost efficiency, it may overlook cultural nuances and fail to connect with local audiences. Localized campaigns, on the other hand, can tailor messages to specific markets, but can lead to fragmentation and higher costs.

To avoid pitfalls in international PR, MNCs should employ several strategies. Firstly, conducting in-depth research and understanding the cultural, political, and social contexts of target markets is crucial. This enables the development of culturally sensitive and relevant campaigns. Secondly, building relationships with local influencers, opinion leaders, and media outlets can enhance credibility and local engagement. Engaging local PR agencies or consultants with expertise in the specific market can provide valuable insights and support.

Furthermore, establishing open lines of communication and active listening to stakeholders across different regions can help identify potential issues or concerns before they escalate. Regular evaluation and adjustment of PR strategies based on market feedback and performance metrics are essential. In conclusion, international PR for MNCs demands careful consideration of cultural, political, and regulatory factors. While a balance between a global strategy and localized campaigns may be appropriate, the key lies in understanding local nuances and engaging stakeholders effectively. By implementing comprehensive research, building relationships, and maintaining open communication, MNCs can navigate the challenges and pitfalls of international PR successfully.

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____________ refers to the ways that Western discourses have "othered" the residents of non-Western
places, especially in the Middle East and Asia.

A. Psychoanalysis

B. Heteronormativity

C. Orientalism

D. Historical materialism

Answers

C. Orientalism refers to the ways that Western discourses have "othered" the residents of non-Western places, especially in the Middle East and Asia.

Orientalism is a concept introduced by Edward Said in his influential book titled "Orientalism." It explores how Western societies have constructed and portrayed the East (primarily the Middle East and Asia) as exotic, inferior, and culturally different. This perspective has led to the perpetuation of stereotypes, biases, and a distorted understanding of the people and cultures of these regions.

Western discourses shaped by Orientalism often depict the "Orient" as a homogeneous and static entity, characterized by exoticism, irrationality, and backwardness. This construction of the "Other" serves to reinforce Western superiority and justify imperialist agendas, colonial practices, and the exercise of power over non-Western societies. Orientalism has had significant implications for various aspects, including politics, media, literature, and academic scholarship, and it has contributed to the marginalization and misrepresentation of non-Western cultures and people.

Psychoanalysis (A), heteronormativity (B), and historical materialism (D) do not directly address the specific dynamics and power relations involved in the "othering" of non-Western residents, as described by the concept of Orientalism. While these concepts may have their own significance in other contexts, they are not directly related to the process of "othering" and the construction of Western discourses about non-Western places and their residents.

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the competitive pressures from substitute products tend to be stronger when

Answers

The competitive pressures from substitute products tend to be stronger when: A. good substitutes are readily available and priced above the market.

What is a product?

In Business management, a product can be defined as any physical object (tangible item) that is typically produced by a business firm (manufacturer or producer) in order to significantly satisfy and meet the demands, needs or wants of every of his or her customers (consumers or buyers).

Generally speaking, the competitive pressures from any substitute product is likely to be stronger when buyers or consumers are relatively more comfortable with the quality and performance of substitute products, and the costs of switching over to the substitute products are low for the buyers or consumers.

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Complete Question:

The competitive pressures from substitute products tend to be stronger when:

A. good substitutes are readily available and priced above the market.

B. there are more than 10 sellers of substitute products.

C. the quality and performance and other attributes of the substitutes is viewed as being comparable or better in meeting buyer's requirements.

D. buyers have high psychic costs in severing existing brand relationships and establishing new ones.

E.Switching costs are high, thereby making it easier for the sellers of attractive substitutes to lure buyers to the offering.

The competitive pressures from substitute products tend to be stronger when good substitutes are readily available.

Why do competitive pressures increase with readily available substitutes?

When good substitutes are readily available in the market, it creates higher level of competition for a particular product or service. Customers have more options to choose from, and they can easily switch to a substitute that offers similar benefits or features.

This increased availability of substitutes puts pressure on companies to differentiate themselves and provide unique value propositions to retain their customers. As a result, businesses need to constantly innovate and improve their products or services to stay ahead in the competitive landscape.

Full question:

The competitive pressures from substitute products tend to be stronger when _______

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Project Description:
A post is a great way to share information, but it will be of no use if potential customers do not read your posts. Effective content alone isn't enough to attract search engines; you need to make sure it's optimized correctly so readers can find your posts.
For Project 4, you will write the article that you outlined in your Project 3. Review your Project 3 submission, which already has the introduction and conclusion to your article. You would need to choose a title and write about the 5 main points you want to make in the article. Write the article keeping SEO best practices in mind.
Once you have written your article, answer the following questions about it:
⦁ What's the primary keyword for your post (generally two to three words in length)?
⦁ What's the long-tail keyword for your post (generally five words in length)?
⦁ What are four different synonyms of your primary keyword used within the body of your post?
⦁ What's a relevant call to action you included to provide your readers with a next step?

Answers

The primary keyword for the post is "Effective content."

The long-tail keyword for the post is "How to write an effective content for the web".

Project Description:For Project 4, you need to write the article that you outlined in your Project 3. First, choose a title and then write about the 5 main points that you want to make in the article. Write the article keeping SEO best practices in mind. Once you have written your article, answer the following questions about it:What's the primary keyword for your post (generally two to three words in length)?The primary keyword for the post is "Effective content."What's the long-tail keyword for your post (generally five words in length)?The long-tail keyword for the post is "How to write an effective content for the web".What are four different synonyms of your primary keyword used within the body of your post?Four different synonyms of the primary keyword that are used in the body of the post are as follows:Quality contentKeyword optimizationValuable contentSEO-friendly contentWhat's a relevant call to action you included to provide your readers with a next step?A relevant call to action that is included to provide the readers with the next step is to ask them to visit the website or reach out via email for more information.

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rabian Gulf Corporation reports the following stockholders' equity section on December 31, 2020. - Common stock; $10 par value; 500,000 shares authorized; 300,000 shares I issued and outstanding .... ..$ 3,000,000 - Paid in capital in excess of par value, common stock - Retained earnings......... .400,000 ..900,000 $4,300,000 Total The Corporation completed the following transactions in 2021. 1- Jan. 10, Directors declared a $1 per share cash dividend payable on March 15 to the Jan. 31 stockholders of record. 2- Mar. 01, Purchased 20,000 shares of its own common for $15 per share. 3- Mar. 31, Paid the cash dividend declared on Jan. 10. 4- May 01, Sold 12,000 of its treasury shares at $15 cash per share. 5- Sep. 30, Directors declared a 30% stock dividend when the share market price is $16. 6- Nov. 01, Distributed stock dividends declared on Sep. 30. 7- Nov. 15, The company implemented 5-for-1 stock split for the common stock. Required: Prepare journal entries to record each of these transactions for 2021.

Answers

The main jounral entries are given as follows below :

Date Description Debit Credit

Jan 10 Declared cash dividend Dividends Payable $30,000 Common Stock Dividend Distributable $30,000

Paid-in Capital in Excess of Par Value, Common Stock $0

Mar 15 Paid cash dividend Dividends Payable $30,000 Cash $30,000

Mar 1 Purchased treasury shares Treasury Stock $300,000 Cash $300,000

May 1 Sold treasury shares Cash $180,000 Treasury Stock $180,000

Sep 30 Declared stock dividend Common Stock Dividend Distributable $48,000 Paid-in Capital in Excess of Par Value, Common Stock $48,000

Nov 1 Distributed stock dividend Common Stock $48,000 Common Stock Dividend Distributable $48,000

Nov 15 Stock split Common Stock $1,800,000 Retained Earnings $1,800,000

Here is a breakdown of each journal entry:

January 10: The company declares a $1 per share cash dividend payable on March 15 to the January 31 stockholders of record. The dividend is recorded by debiting the Dividends Payable account and crediting the Common Stock Dividend Distributable account. The Paid-in Capital in Excess of Par Value, Common Stock account is not credited because the dividend is not a distribution of retained earnings.

March 15: The company pays the cash dividend declared on January 10. The Dividends Payable account is debited and Cash is credited.

March 1: The company purchases 20,000 shares of its own common stock for $15 per share. The Treasury Stock account is debited and Cash is credited.

May 1: The company sells 12,000 of its treasury shares at $15 cash per share. The Cash account is debited and Treasury Stock is credited.

September 30: The company declares a 30% stock dividend when the share market price is $16. The stock dividend is recorded by debiting the Common Stock Dividend Distributable account and crediting the Paid-in Capital in Excess of Par Value, Common Stock account. The market price of the stock is used to determine the number of shares to be issued.

November 1: The company distributes the stock dividend declared on September 30. The Common Stock Dividend Distributable account is debited and Common Stock is credited.

November 15: The company implements a 5-for-1 stock split. The stock split is recorded by debiting the Common Stock account and crediting Retained Earnings. The number of shares outstanding is multiplied by 5, and the par value per share is divided by 5.

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A firm is expected to produce a constant annual rate of dividend growth of 6 percent. The most recent dividend to be paid was $2.70. An investor has a 13 percent required return on this investment. The value of a share of the firm's common stock is O $46.37 $40.89 O $35.78 O $33.75

Answers

The value of a share of the firm's common stock is $46.37.

To calculate the value of the stock, we can use the dividend discount model (DDM). The DDM formula is:

Stock Value = Dividend / (Required Return - Dividend Growth Rate)

In this case, the most recent dividend is $2.70, and the expected constant annual dividend growth rate is 6%. The required return on the investment is 13%.

Using the DDM formula, we can calculate the stock value as follows:

Stock Value = $2.70 / (0.13 - 0.06)

Stock Value = $2.70 / 0.07

Stock Value = $38.57

Therefore, the value of a share of the firm's common stock is approximately $38.57. However, none of the given answer choices matches this value. Therefore, it seems there might be an error in the question or the provided answer choices.

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Freeman Company uses the perpetual inventory system and applied FIFO inventory costing method. At the end of the annual accounting period, December 31, 2014, the accounting records in inventory showed: Transactions Units Unit Cost 300 $20 Beginning inventory, Jan. 1, 2014 Purchase, Feb. 1 500 21 Purchase, May 15 400 22 Sale, March 15 (sold at $20 each) (400) Sale, July 31 (sold at $25 each) (500) Required: Assuming that the net realizable value of the inventory is $21 per unit, calculate the following: 1. Cost of goods available for sale 2. Ending inventory to be reported on the balance sheet. 3. Cost of goods sold to be reported on the income statement

Answers

The Cost of goods sold to be reported on the income statement will be $18,400

1. Calculation of Cost of goods available for sale

Cost of goods available for sale is calculated using the formula:

Beginning inventory + Cost of goods purchased

The cost of goods available for sale, in this case, will be:

$6,300 = $6,000 (beginning inventory) + $18,000 (cost of goods purchased)

2. Calculation of Ending inventory to be reported on the balance sheet

As we know that the net realizable value of the inventory is $21 per unit, which is greater than the cost per unit, therefore, the ending inventory will be reported at net realizable value.  

For that we will need to calculate the value of ending inventory first, the value of ending inventory using FIFO inventory costing method is calculated as follows:

$ 5,900 = (300 units x $20 per unit) + (200 units x $21 per unit) + (200 units x $22 per unit)

The value of ending inventory is $5,900.3.

Calculation of Cost of goods sold to be reported on the income statement

Cost of goods sold is calculated using the formula:

Cost of goods available for sale - Ending inventory

Cost of goods sold in this case will be: $18,400 = $24,300 - $5,900

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Select the best answer to the following question. Target has posted a job description for the following open position: Responsibilities of the job include collating, preparing and interpreting reports, budgets, accounts, commentaries, and financial statements; controlling income, cash flow, and expenditure; managing budgets; developing and managing financial systems/models. Which type of organizational resource will this job manage? Financial Information Human Physical Principles of Management class. You were busy this semester and had to be very

Answers

The job described in the question will manage the organizational resource of financial information. The responsibilities listed in the job description, such as collating, preparing, and interpreting reports,

budgets, accounts, commentaries, and financial statements, indicate a focus on handling and managing financial data.

Financial information is a crucial organizational resource as it provides insights into the financial health and performance of the company. It includes data related to revenues, expenses, cash flow, assets, liabilities, and other financial metrics. Effectively managing financial information is essential for making informed business decisions, evaluating performance, and ensuring financial stability.

The person in this role will be responsible for collecting and organizing financial data from various sources, preparing reports and statements that provide a clear understanding of the organization's financial position, and interpreting the information to identify trends, strengths, weaknesses, and areas for improvement.

Additionally, the job description mentions responsibilities like controlling income, cash flow, and expenditure, managing budgets, and developing financial systems/models. These tasks further emphasize the role's focus on managing financial resources and ensuring their efficient utilization.

By managing financial information effectively, the job holder can provide valuable insights to management, support strategic decision-making processes, identify cost-saving opportunities, and contribute to the overall financial success of the organization.

In conclusion, the job described in the question will primarily manage the organizational resource of financial information. This involves tasks related to collating, preparing, interpreting, and controlling financial reports, budgets, accounts, and statements, as well as managing financial systems and models.

The effective management of financial information is crucial for informed decision-making and financial stability within the organization.

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Use the FRED database to find the following values. The current rate of inflation using PCE is: ________________ The current Potential Real GDP is: _________________ Most Recent Real GDP is:__________________

Answers

To find the current rate of inflation, Potential Real GDP, and Most Recent Real GDP, we will use the FRED database. Let us find the values one by one.Current rate of inflation using PCE:PCE stands for Personal Consumption Expenditures, and it is a metric that is used to calculate the prices of goods and services that consumers purchase. To find the current rate of inflation using PCE,

we will follow these steps:Visit the FRED database website and select the series 'PCE Inflation Rate.

' Click on the 'Edit Graph' button and set the date range. The current rate of inflation using PCE is 3.58% as of July 2021.

Current Potential Real GDP:Potential Real GDP refers to the total value of all goods and services that could be produced by an economy with all its resources fully employed.

To find the current Potential Real GDP, we will follow these steps:Visit the FRED database website and select the series 'GDP Potential.'

Click on the 'Edit Graph' button and set the date range.

The current Potential Real GDP is $22,322.3 billion as of Q2 2021.Most Recent Real GDP:Real GDP refers to the total value of all goods and services produced by an economy in a given period, adjusted for inflation. To find the most recent Real GDP, we will follow these steps:Visit the FRED database website and select the series 'Gross Domestic Product.'

Click on the 'Edit Graph' button and set the date range. The most recent Real GDP is $19,341.4 billion as of Q2 2021.

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During the cooperation with China and morocco, what kind of
pressure are you facing from a third party? how to deal with
them?

Answers

Answer:

Explanation:

When dealing with pressure from a third party, it is important to maintain open communication, seek common ground, and find mutually beneficial solutions through dialogue and negotiation. Building trust, understanding different perspectives, and finding compromises can help address and manage external pressures effectively.


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the deadweight loss after the tax is imposed is group of answer choices $240. $210. $70. $30.

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The deadweight loss after the tax is imposed is $240, as stated among the provided answer choices.

Deadweight loss refers to the economic inefficiency that occurs when the allocation of goods and services is distorted due to the imposition of taxes or other market interventions. It represents the loss of consumer and producer surplus that arises from a deviation from the efficient equilibrium.

In this case, the $240 deadweight loss suggests that the tax has resulted in a significant loss of economic welfare. This loss arises from the reduction in consumer and producer surplus and the distortion of market incentives. It highlights the negative impact of the tax on overall economic efficiency.

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Your team is about to introduce and launch a product that has never been seen in Bermuda before: an Ultrasonic Pest Repellent that repels pests (small insects) while causing no harm to your pets or yourself. It is also affordable, chemical-free, and portable. Prisons, restaurants, and government buildings are the target markets.
1) In your own words (80-100 words), state the S.M.A.R.T market objectives your team wishes to attain with the lunch of this new product. Ensure your objective are written clearly and S.M.A.R.T. (Example increase sales by 20% by the end of 2022)

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In introducing and launching an Ultrasonic Pest Repellent in Bermuda, the team aims to achieve specific, measurable, achievable, relevant, and time-bound (S.M.A.R.T) market objectives. These objectives are as follows:Specific: The team's objective is to introduce and launch the Ultrasonic Pest Repellent in prisons, restaurants, and government buildings in Bermuda.

Measurable: The team aims to achieve a market penetration rate of 20% within the first year of introducing the Ultrasonic pest repellent to prisons, restaurants, and government buildings.Achievable: The team aims to make the Ultrasonic Pest Repellent affordable, portable, and chemical-free to ensure that it meets the needs of the target market.Relevant: The introduction of the Ultrasonic Pest Repellent is in response to the growing need for pest control solutions that are safe for pets and humans.

Time-bound: The team aims to achieve the set market objectives within a year of launching the Ultrasonic Pest Repellent in Bermuda.

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how an increase in velocity of money affect IS-LM model and liquidity preference model. Explain with graph please

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In both the IS-LM model and the liquidity preference model, an increase in the velocity of money would have implications for the equilibrium levels of income/output and interest rates. Let's examine the effects in each model individually, accompanied by graphical explanations.

IS-LM Model:

The IS-LM model represents the relationship between the goods market (IS curve) and the money market (LM curve). An increase in the velocity of money affects the LM curve.

The LM curve represents combinations of income/output (Y-axis) and interest rates (X-axis) that maintain equilibrium in the money market. It is derived from the liquidity preference model.

The liquidity preference model asserts that the demand for money is a function of income and interest rates. An increase in the velocity of money implies that the same level of transactions can occur with fewer money balances held by individuals and firms.

Graphical representation:

When the velocity of money increases, it results in a rightward shift of the LM curve in the IS-LM model. This shift occurs because a higher velocity of money allows the same amount of transactions to be conducted with a smaller money supply, reducing the demand for money at any given level of income/output and interest rates.

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All of the following statements about life insurance are true, EXCEPT: Select one:
a. Whole life insurance is regarded as permanent insurance and is generally more expensive than term insurance.
b. Beneficiaries who receive benefits under life insurance policies after the insured’s death must pay income tax on the death benefits they receive.
c. Term life insurance provides temporary protection for a stated number of years, and is frequently renewable.
d. The incontestable clause states that the insurer cannot contest the policy after it has been in force for a specified time—usually two years.

Answers

All of the following statements about life insurance are true, EXCEPT b. Beneficiaries who receive benefits under life insurance policies after the insured’s death must pay income tax on the death benefits they receive.

Are beneficiaries required to pay income tax on life insurance death benefits?

The statement that beneficiaries who receive benefits under life insurance policies after the insured's death must pay income tax on the death benefits they receive is incorrect. In general, life insurance death benefits are not subject to income tax.

When a beneficiary receives a death benefit payout, it is typically considered a tax-free transfer of wealth. This means that the beneficiary does not have to report the death benefit as taxable income on their federal income tax return.

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22) If a loss contingency is reasonably possible or the amount cannot be reasonably estimated, A) disclosure should occur in both the financial statements and the notes to the financial statements B) disclosure should occur in the financial statements only C) only a disclosure in the notes is required D) then no disclosure is required

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The loss contingency that is reasonably possible or the amount cannot be reasonably estimated requires disclosure. If there is no reasonable estimation, then the disclosure should occur in both the financial statements and the notes to the financial statements.

Loss contingency refers to the potential loss that an organization may suffer as a result of past events, and this loss cannot be determined with certainty. If the likelihood of the occurrence of loss is reasonably possible or the amount of loss cannot be reasonably estimated, then disclosure is required. The disclosure should occur in both the financial statements and the notes to the financial statements. However, if it is not possible to provide a reasonable estimate of the loss, the disclosure should occur in both the financial statements and the notes to the financial statements. Thus, option A is correct. In case the contingency loss is remote, then there is no need for disclosure as per the accounting standards.

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Outline the major steps that are involved in application of the Box-Jenkins approach to forcasting & explain each step.

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The Box-Jenkins approach is a widely used methodology for time series forecasting. It involves several major steps, which are as follows:

Identification: In this step, the characteristics of the time series data are examined to identify the appropriate model. This includes assessing the stationarity of the series, determining the order of differencing required, and identifying the presence of any seasonal patterns.

Estimation: Once the model structure has been identified, the next step is to estimate the parameters of the model. This is typically done using the method of maximum likelihood estimation or other suitable techniques. The estimation process involves fitting the selected ARIMA model to the available data, obtaining estimates for the model parameters.

Diagnostic Checking: After estimating the model, it is essential to assess its adequacy and validity. Diagnostic checks involve examining the residuals to ensure that they exhibit no patterns, such as autocorrelation or heteroscedasticity. Additionally, statistical tests may be performed to evaluate the goodness-of-fit of the model.

Model Selection: In this step, various models are compared based on their diagnostic checks and goodness-of-fit measures. The goal is to select the most appropriate model that provides accurate and reliable forecasts. Model selection can involve comparing the Akaike Information Criterion (AIC), Bayesian Information Criterion (BIC), or other relevant criteria.

Forecasting: Once the final model has been selected and validated, it can be used for forecasting future values of the time series. The forecast is generated by extrapolating the model's estimated parameters into the future. The accuracy and reliability of the forecasts can be assessed by comparing them with the actual values of the time series.

Monitoring and Updating: Time series forecasting is an ongoing process, and it is important to monitor the performance of the forecasted values over time. As new data becomes available, the model can be updated by re-estimating the parameters and refining the forecasts. Regular monitoring and updating help to ensure that the forecasts remain accurate and reliable.

Each step in the Box-Jenkins approach serves a specific purpose in building and validating the forecasting model. From identifying the appropriate model structure to generating forecasts and monitoring their performance, these steps contribute to the accuracy and reliability of the time series forecasts.

References:

Box, G. E. P., Jenkins, G. M., Reinsel, G. C., & Ljung, G. M. (2015). Time Series Analysis: Forecasting and Control. John Wiley & Sons.

Hyndman, R. J., & Athanasopoulos, G. (2018). Forecasting: Principles and Practice. OTexts.

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(i) Use two (2) coincidental indicators to explain the conditions that are experienced in a nation during a recession. (2 Marks) ANSWER i):

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During a recession, two coincidental indicators that explain the conditions experienced in a nation are rising unemployment rates and declining consumer spending.

Rising unemployment rates are a significant indicator of a recession. During an economic downturn, businesses may struggle to maintain their operations and profitability, leading to layoffs and job losses. As a result, the number of unemployed individuals increases, contributing to higher unemployment rates. This indicator reflects the contraction of the labour market and the overall economic slowdown. When people lose their jobs, their ability to spend and contribute to the economy diminishes, leading to a further decline in economic activity. Declining consumer spending is another coincidental indicator of a recession. As the economy weakens, individuals become more cautious about their financial situation and tend to reduce their spending. Consumer spending drives a significant portion of economic activity, including retail sales, dining out, travel, and other discretionary expenditures. When consumer spending declines, businesses experience decreased demand for their goods and services, resulting in reduced revenue and potential layoffs. This downward spiral further amplifies the recessionary conditions, as decreased consumer spending leads to lower business investments and slower economic growth.

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The monthly demand for a product is normally distributed with mean of 1500 units and standard deviation of 200 units. 1. Find the probability that demand in a given month is between 1271 and 1595 units. 2.If at the beginning of a month 1937 units are stocked, what is the probability that demand exceeds this amount (experiencing stock-out)? The potential answers are: 3. If we want to set the probability of stock-out at 2%, how many units shall we have in stock at the beginning of the month? The potential answers are:

Answers

1. The probability that the demand in a given month is between 1271 and 1595 units can be calculated using the normal distribution.

2. The probability that demand exceeds the stocked amount of 1937 units can also be determined using the normal distribution.

3. To set the probability of stock-out at 2%, the required number of units in stock at the beginning of the month can be calculated.

To find the probability that demand falls between 1271 and 1595 units, we can calculate the area under the normal distribution curve between these two values. By standardizing the values using the z-score formula, we can then use a standard normal distribution table or a calculator to find the corresponding probabilities.

To calculate the probability of demand exceeding the stocked amount of 1937 units, we can again use the normal distribution. By finding the area under the curve to the right of 1937 units, we can determine the probability of experiencing a stock-out.

Setting the probability of stock-out at 2% means finding the value that corresponds to the 98th percentile of the normal distribution. This can be done by finding the z-score associated with the desired probability and then converting it back to the original units using the mean and standard deviation of the distribution.

By applying the appropriate formulas and utilizing the properties of the normal distribution, the probabilities and required stock levels can be calculated for the given scenarios.

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Schedule of Activity Costs
Quality Control Activities Activity Cost
Process audits $50,800
Training of machine operators 27,100
Processing returned products 16,900
Scrap processing (disposal) 24,000
Rework 7,800
Preventative maintenance 28,400
Product design 44,200
Warranty work 9,600
Finished goods inspection 23,800
From the provided schedule of activity costs, determine the external failure costs.
a.$85,400
b.$26,500
c.$21,200
d.$58,300

Answers

To determine the external failure costs from the provided schedule of activity costs, we need to identify the activities that are associated with external failures.

External failure costs refer to the costs incurred due to products or services that do not meet customer requirements and result in customer dissatisfaction or product recalls.

From the given schedule, the activities that are typically associated with external failure costs are:

Processing returned products: $16,900

Scrap processing (disposal): $24,000

Warranty work: $9,600

By adding up these costs, we get:

$16,900 + $24,000 + $9,600 = $50,500

Therefore, the correct answer is not provided among the options given. The correct sum of the external failure costs from the provided schedule is $50,500.

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T/F Julie is selling a mixing machine from her business. The amount she realizes on the sale is equal to any cash received, the FMV of any property received, less any expenses she incurs to sell the mixing machine

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True. The amount Julie realizes on the sale of her mixing machine is equal to any cash she receives plus the fair market value (FMV) of any property she receives, minus any expenses she incurs to sell the machine.

When Julie sells the mixing machine, the amount she realizes includes both cash received and the FMV of any property received. This means that if Julie receives any non-cash assets or property as part of the sale, their FMV is also added to the total amount realized. However, Julie must subtract any expenses incurred to sell the mixing machine, such as advertising or shipping costs. The resulting figure represents the net amount that Julie actually gains from the sale of the mixing machine.

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3. Using your Lorenz curves:
Compare the distribution of income across time for each country.
Compare the distribution of income across countries for each year (1980 and 2014).
Suggest some explanations for any similarities and differences you observe. (You may want to research your chosen countries to see if there were any changes in government policy, political events, or other factors that may affect the income distribution.)
A rough way to compare income distributions is to use a summary measure such as the Gini coefficient. The Gini coefficient ranges from 0 (complete equality) to 1 (complete inequality). It is calculated by dividing the area between the Lorenz curve and the perfect equality line, by the total area underneath the perfect equality line. Intuitively, the further away the Lorenz curve is from the perfect equality line, the more unequal the income distribution is, and the higher the Gini coefficient will be.

Answers

The Lorenz curve can be used to compare the distribution of income across time for each country and to compare the distribution of income across countries for specific years. By examining the shape and position of the Lorenz curves, we can gain insights into the level of income inequality and the changes that have occurred over time or across different countries.

To compare the distribution of income across time for each country, we can analyze the movement of the Lorenz curve. If the curve shifts closer to the perfect equality line over time, it indicates a reduction in income inequality. Conversely, if the curve moves away from the equality line, it suggests an increase in income inequality. Similarly, comparing the distribution of income across countries for a specific year involves examining the shape and position of the Lorenz curves. We can use summary measures like the Gini coefficient to quantify the level of income inequality and make comparisons between countries.

The similarities and differences observed in the income distribution can be attributed to various factors, including changes in government policies, economic growth rates, technological advancements, political events, and social factors. For example, policy reforms aimed at reducing income inequality, such as progressive taxation or social welfare programs, may lead to more equitable income distribution. Economic downturns or recessions can also impact income distribution, as they tend to disproportionately affect lower-income individuals. Additionally, cultural and societal factors, such as educational opportunities and social mobility, can contribute to variations in income distribution across countries.

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The news headline says: "Canada home sales drop 22 percent from last year as (interest) rates rise." 1) describe what has happened to the supply curve and/or demand curve in the housing market. Why? How about the equilibrium price? 2) Can you give another reason for the same type of shift to happen? Explain.

Answers

The drop in Canada home sales by 22 percent from last year suggests a decrease in demand in the housing market. This would result in a leftward shift of the demand curve. The reason for this shift is the rise in interest rates. Higher interest rates increase the cost of borrowing for potential homebuyers, making mortgages more expensive and reducing their purchasing power.

As a result, fewer people are able or willing to buy homes at the prevailing prices. The equilibrium price in the housing market would likely decrease due to the decrease in demand.

Another reason for a similar type of shift in the housing market could be a decrease in consumer confidence. If consumers become uncertain about the future state of the economy or their personal financial situation, they may delay or reconsider purchasing a home. This decrease in consumer confidence would lead to a decrease in demand, causing a leftward shift of the demand curve and a potential decrease in the equilibrium price.

The drop in home sales indicates a decrease in demand in the housing market. This is reflected by a leftward shift of the demand curve. The rise in interest rates makes borrowing more expensive for potential homebuyers, reducing their affordability and willingness to purchase homes. As a result, the quantity demanded of homes decreases, leading to a lower equilibrium quantity and potentially a lower equilibrium price.

A decrease in consumer confidence can also cause a shift in the demand curve. When consumers feel uncertain about the economy or their personal finances, they may delay or rethink major purchases such as homes. This would lead to a decrease in demand, shifting the demand curve to the left. As a result, the equilibrium quantity and price in the housing market may decrease.

The drop in Canada home sales suggests a decrease in demand, likely caused by the rise in interest rates. This results in a leftward shift of the demand curve and a potential decrease in the equilibrium price. Additionally, a decrease in consumer confidence can also lead to a similar shift in the demand curve, affecting the equilibrium in the housing market.

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1. As a financial adviser on Interest rate swaps, identify the statement that best describes an interest rate swap to your clients, Jade Exports Ltd. (JE) and RO investments (RO).

a. JE and RO exchange the principal and associated interest payments associated with the debts.

b. JE and RO exchange their respective interest payments associated with existing debts.

c. JE and RO swap their original debt commitments.

d. JE and RO swap their obligations to make debt repayments to their respective lenders.

2. Which of the following is not an advantage of an authorised depositary receipt (ADR) program for a corporation?

a. It insulates the Company from volatility in the US capital market.

b. it provides a broader investor base for the corporation.

c. it increases the profile of a company expanding internationally.

d. it affords a company access to the large US capital markets.

Answers

Answer:

1)b.JE and RO exchange their respective interest payments associated with existing debts.

2)a. It insulates the Company from volatility in the US capital market.

Explanation:

1. The statement that best describes an interest rate swap to Jade Exports Ltd. (JE) and RO Investments (RO) is:

b. JE and RO exchange their respective interest payments associated with existing debts.

In an interest rate swap, two parties agree to exchange their future interest payments based on a predetermined notional principal amount. It allows them to modify their exposure to interest rate fluctuations and manage their interest rate risk. They do not exchange the principal amount of their debts but only the interest payments.

2. The option that is not an advantage of an authorized depositary receipt (ADR) program for a corporation is:

a. It insulates the Company from volatility in the US capital market.

The correct answer is a. ADR programs do not necessarily insulate a company from volatility in the US capital market. ADRs represent shares of a foreign company traded on US exchanges and are subject to market forces and volatility. The other options, b, c, and d, are all advantages of an ADR program. ADRs provide a broader investor base, increase the company's profile internationally, and afford the company access to the large US capital markets.

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1. The statement that best describes an interest rate swap to Jade Exports Ltd. (JE) and RO investments (RO) would be:

b. JE and RO exchange their respective interest payments associated with existing debts.
An interest rate swap is a financial derivative where two parties agree to exchange interest payments on a specified principal amount for a set period of time. In this case, JE and RO would be exchanging the interest payments on their existing debts without exchanging the principal amounts or the associated interest payments.

2. The answer choice that is not an advantage of an authorized depositary receipt (ADR) program for a corporation is:

a. It insulates the Company from volatility in the US capital market.

An ADR program allows foreign companies to list their shares on a US exchange, making them accessible to US investors. The advantages of an ADR program include providing a broader investor base for the corporation, increasing the profile of the company internationally, and affording the company access to the large US capital markets. However, it does not necessarily insulate the company from volatility in the US capital market. Market conditions and investor sentiment can still impact the company's share price and performance, even with an ADR program in place.

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Choose the correct word or words to fill in the blank: ______________ is a new change in a product offering, service, business model, or operations that meaningfully improves the experience of a large number of stakeholders. Select one:
A) Entrepreneurship
B) Sustainable entrepreneurship
C) Innovation
D) Clean tech
E) Efficiency

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Innovation is a new change in a product offering, service, business model, or operations that meaningfully improves the experience of a large number of stakeholders.

Innovation refers to the introduction of something new or improved that brings value to stakeholders. It involves the development and implementation of novel ideas, processes, or technologies to address existing challenges or create new opportunities. Innovation can occur in various areas, such as products, services, business models, or operational processes. It aims to enhance the experience of customers, employees, suppliers, and other stakeholders by providing better solutions, increased efficiency, or improved outcomes. Innovation is crucial for organizations to stay competitive, adapt to changing market dynamics, and drive growth.

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