Create a mock merchandising company and demonstrate your knowledge of accrual basis accounting and
the double-entry accounting system by creating a minimum of 10 original transactions spanning a period of
3 months (Jan. 1 – Mar. 31) and completing the requirements below. Assume your mock company is a new
company that begins operations on Jan. 1st. Beginning with a new company will be easier than an existing
company as you will not have any beginning balances to deal with. The transactions should include examples
of accruals and deferrals and at least one of each of the following: financing a new business (e.g. issuing
stock or borrowing), obtaining assets, incurring liabilities, earning revenue, and incurring expenses.

1) Write a list of at least 10 original transactions spanning a fiscal quarter (e.g. Jan.1 – March 31) and
following the guidelines above. The first transaction should be a financing transaction (issue stock or
borrow).

2) Write a list of at least 5 adjusting entries for the quarter-ended March 31 related to transactions prepared
in step 1. Note that adjusting entries do not have an effect on the cash account.

Answers

Answer 1

Here are 10 original transactions spanning a period of 3 months (Jan. 1 – Mar. 31) for your mock merchandising company:

1) Jan. 1: Issued 1,000 shares of common stock for $10,000 cash to finance the business.
2) Jan. 10: Borrowed $20,000 from a bank as a long-term loan.
3) Jan. 15: Purchased merchandise inventory worth $5,000 on credit from a supplier.
4) Jan. 31: Recorded the monthly depreciation expense of $500 for the office equipment.
5) Feb. 5: Sold merchandise inventory worth $3,000 to a customer on credit.
6) Feb. 10: Paid $2,000 in cash for office rent for the month of February.
7) Feb. 20: Received $1,500 cash from a customer as payment for the credit sale made on Feb. 5.
8) Mar. 1: Paid $500 in cash for office supplies.
9) Mar. 15: Accrued $1,000 of unpaid salaries for employees for the month of March.
10) Mar. 31: Recorded the monthly depreciation expense of $500 for the office equipment.

Now, let's move on to the adjusting entries for the quarter-ended March 31:

1) Accrued $500 of interest expense on the bank loan for the quarter.
2) Recorded $200 of expired insurance for the quarter.
3) Adjusted the prepaid office rent of $1,000 to recognize the portion used during the quarter.
4) Recorded $100 of inventory shrinkage as an expense.
5) Accrued $300 of unpaid utilities expense for the quarter.

Adjusting entries are made at the end of the accounting period to ensure that revenue and expenses are accurately recorded in the correct period, regardless of when cash is received or paid.

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Related Questions

Robby made the following deposits: Present – P80K, After 3 months – P50K, After 1 years the present – P80K, After 2.5 years the present – P120K and After 4 years the present – P150K. Ten years from now, Robby plans use the money to start a business. How much can he equally withdraw for 5 quarters if at 10% compounded semiannually? The 5 equal withdrawals will be made at the end of the 36th quarterly period?

Answers

Robby can equally withdraw P71,443.89 for 5 quarters if at 10% compounded semiannually. Each of the 5 equal withdrawals at the end of the 36th quarterly period would be P71,443.89.

The calculation steps are as follows:

Given: P = P80K + P50K(P/F, 10%, 3) + P80K(P/F, 10%, 4) + P120K(P/F, 10%, 6.5) + P150K(P/F, 10%, 10) = P396,078.79;  

i = 5%; n = 20; m = 2;Q = 5;   k = 36;

As quarterly payments, there will be 4 semiannual periods (P/A, 5%, 8), then m = 8;   Q = 5, then N = 40 semiannual periods;

Compute the effective annual interest rate:

(1 + (i/m)) ^ m - 1 = (1 + (0.05 / 2)) ^ 2 - 1 = 0.050625;

From the sinking fund formula, compute the quarterly payment:

A = (P * j) / (1 - (1 + j) ^ -N);j = i / m = 0.05 / 2 = 0.025;

A = (396078.79 * 0.050625) / (1 - (1 + 0.050625) ^ -40)

A = 10897.82229;

As quarterly payments:

A / 4 = 10897.82229 / 4

A / 4 = 2724.45557;

Using the 5th quarterly period as a reference point, compute the balance after 31 quarters:

2724.45557 * (1 + 0.050625) ^ 31 = 59966.29683;

Balance at the end of the 36th quarterly period is;

2724.45557 * (1 + 0.050625) ^ 36 = 72638.18123;

Each of the 5 equal withdrawals at the end of the 36th quarterly period would be P71,443.89.

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A group of loosely similar products that are marketed as a group is a description of a?

Answers

A group of loosely similar products that are marketed together is known as a product line.

A product line is a set of related products that are offered by a company to meet a particular customer need or demand. These products usually share similar characteristics, features, or target the same customer segment. By marketing them as a group, companies can benefit from economies of scale and enhance their brand image.

This strategy allows companies to cater to diverse customer preferences while maintaining brand consistency. Additionally, offering a product line can also increase customer loyalty and encourage repeat purchases. Overall, a product line is an effective way for companies to expand their market presence and maximize their sales potential.

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For the past year, Kayla inc has had sales of 47,162 interest expense of 4166, cost of goods of 17,359, a sale end administration expense of 12,146, and depreciation of 6995. If the tax rate is 38% what is the operating cash flow?

Answers

The operating cash flow for Kayla Inc. can be calculated by subtracting the relevant expenses from the sales revenue and adjusting for taxes. The resulting value represents the cash generated from the company's core operations.

To calculate the operating cash flow, we start with the sales revenue of $47,162. From this, we subtract the cost of goods sold ($17,359) and the sales and administration expense ($12,146), resulting in a subtotal of $17,657. Next, we deduct the depreciation expense ($6,995) from the subtotal, giving us $10,662.

To calculate the tax liability, we multiply the subtotal ($17,657) by the tax rate (38%), which gives us a tax expense of $6,703. Adding the interest expense ($4,166) to the tax expense, we obtain a total of $10,869.

Finally, we calculate the operating cash flow by subtracting the total expenses ($10,869) from the sales revenue ($47,162). The operating cash flow for Kayla Inc. is therefore $36,293. This value represents the cash generated by the company's core operations before considering non-operating activities such as investments or financing.

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in order for a contingent liability to be recorded as a journal entry in the financial statements, it must be (probable/reasonably possible/remote)

Answers

A Contingent liability must be probable and reasonably estimable in order to be recorded as a journal entry in the financial statements.

A company's future debt or obligation is referred to as a contingent loss when it is dependent on a future event.

A responsibility that arises based on the outcome of a specific event and provides coverage for losses to a third party for which the insured is vicariously liable is referred to as contingent liability or indirect liability.

When it is probable that the future event will take place and the amount of the liability can be reasonably estimated, contingent liabilities must be recorded in the accounts, according to the rules.

This indicates that a liability would be established and a loss would be recorded prior to the settlement.

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the mental and physical capacity of workers to produce goods and services is known as: a. value judgment. b. labor. c. product sensitivity. d. entrepreneurship.

Answers

The mental and physical capacity of workers to produce goods and services is known as labor. The correct answer is option B.

This term is used to describe the work that individuals do to produce goods and services that are needed by others. Labor is an essential part of any economy because it is the driving force behind the creation of goods and services that are needed by society. Without labor, there would be no way to produce the goods and services that people need to survive. The physical capacity of workers is an essential factor in labor. Physical labor can be defined as any activity that requires the use of the human body to complete a task. This type of labor can range from manual labor to more skilled activities that require specific physical abilities. Physical labor is often used in manufacturing, construction, and other industries that require workers to use their bodies to complete tasks. Mental labor, on the other hand, is defined as any activity that requires the use of the mind to complete a task. This type of labor can range from simple tasks such as data entry to more complex activities that require advanced skills and knowledge. Mental labor is often used in fields such as engineering, software development, and scientific research. Therefore, the correct answer is option B.

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Financial performance of an enterprise for a particular period is reported using the cash budgets. Select one: True False

Answers

False. The financial performance of an enterprise for a particular period is not reported using cash budgets.

Cash budgets are a tool used in financial planning and forecasting, but they do not provide a comprehensive report on financial performance. Cash budgets are used to estimate and track cash inflows and outflows, which helps in managing cash flow and liquidity. To evaluate financial performance, other financial statements such as income statement, balance sheet, and statement of cash flows are used. These statements provide information about revenues, expenses, assets, liabilities, and cash flows over a specific period. Cash budgets are just one component of financial management and are not meant to provide a complete picture of an enterprise's financial performance.

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a. HV’s P&L was created using accrual accounting. If HV used cash accounting, and their accounts payable increased by $10,000 and their accounts receivable increased by $20,000, what would their cash profit be? [Hint: recall that in cash accounting, expenses aren’t counted until you write the check for them, and sales aren’t counted until the customer pays for them. How does this change HV’s income and expenses?]

b. Another way of looking at profitability for a company is to calculate their NOPAT: net operating profit after taxes. Since we know what "operating profit" is, we should be able to calculate NOPAT for HV. What is HV’s NOPAT for 2017? Based on what is left out of the NOPAT calculation (interest expenses), what does NOPAT tell us and why would we be interested in it?

Answers

The increase in accounts payable represents additional expenses that have been recorded but not yet paid.

a. In cash accounting, revenue is recognized when cash is received, and expenses are recognized when cash is paid. Given that accounts payable increased by $10,000 and accounts receivable increased by $20,000, we can calculate the cash profit for HV as follows:

Cash Profit = Cash Received - Cash Paid

Since accounts receivable increased by $20,000, it means that HV has not received cash for those sales yet. Therefore, we exclude this amount from cash profit calculation.

Cash Profit = Revenue - Expenses

Since expenses are recognized when cash is paid, the increase in accounts payable of $10,000 represents expenses that haven't been paid yet. We add this amount to the expenses.

Cash Profit = Revenue - (Expenses + Increase in Accounts Payable)

The increase in accounts payable represents additional expenses that have been recorded but not yet paid.

b. NOPAT stands for Net Operating Profit After Taxes. It is a measure of a company's operating profit after deducting taxes but before accounting for interest expenses.

To calculate HV's NOPAT for 2017, we need to determine the net operating profit (operating profit after deducting operating expenses) and then apply the appropriate tax rate. The formula for NOPAT is as follows:

NOPAT = Operating Profit * (1 - Tax Rate)

Given that the question does not provide the operating profit or the tax rate, it is not possible to calculate HV's NOPAT for 2017 without that information.

NOPAT is a useful measure as it focuses solely on a company's operating performance, excluding the effects of interest expenses and taxes. It provides insight into how well a company's core operations are generating profits before considering external factors. By examining NOPAT, investors and analysts can evaluate the operational efficiency and profitability of a company's core business activities.

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The newly incorporated Pet Toy Company (PTC) manufactures multiple products that are sold to a small number of specialty pet stores. One of its product groups is called Boxers. The company uses the weighted average method of process costing.
The following information relates to Boxers during the company's first period of operations:
Period 1 (first period of operations)
Started working on 170 new physical units during the period
Completed and transferred out 150 physical units during the period. These units are ready to be sold to customers.
The physical units in work in progress at the end of the period were 60% complete with respect to conversion costs.
100% of the direct materials are added at the start of the process
Total cost incurred during the period was $175,000 in direct materials and $81,000 in conversion costs.
The total manufacturing costs incurred by Boxers that were completed and transferred out in Period 1 using the weighted average stock cost flow method is closest to:
Group of answer choices
$229, 441
$229, 412
$256, 000
$235, 412

Answers

The total manufacturing costs incurred by Boxers that were completed and transferred out in Period 1 using the weighted average stock cost flow method is closest to $229,412.

To calculate the total manufacturing costs, we need to consider the direct materials and conversion costs.

The direct materials cost incurred during the period was $175,000. This is the cost of the materials added at the start of the process.

The conversion costs incurred during the period was $81,000. These costs include labor and other overhead costs.

To calculate the total manufacturing costs, we add the direct materials cost and the conversion costs:
$175,000 + $81,000 = $256,000

However, the question specifies that we need to use the weighted average method of process costing. This means that we need to consider the units in work in progress at the end of the period, which were 60% complete with respect to conversion costs.

Since the units in work in progress are not fully completed, we need to adjust the total manufacturing costs. We multiply the total manufacturing costs by the percentage of completion:
$256,000 * 60% = $153,600

Finally, we subtract the adjusted cost from the total manufacturing costs to get the cost of the completed and transferred out units:
$256,000 - $153,600 = $102,400

Therefore, the total manufacturing costs incurred by Boxers that were completed and transferred out in Period 1 using the weighted average stock cost flow method is closest to $229,412.

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Goliath Banking Corporation (GBC) offers an "Income Investment Product" (IIP) for customers. The details for this product is as follows: - Customers pay $954.29047645841 to buy an IIP. - The IIP will pay out $38 at the end of each year for 14 years - The IIP will pay out a further single payment of $1,000 after 14 years - There are no further payments after this single payment at time 14. (a) Calculate the return GBC promised to investors that buy this product, expressed an effective annual rate. Give your answer as a percentage to 4 decimal places. Answer: (b) If instead GBC were to offer investors an effective annual return of 5.1815%, what price should they charge for this product? Give your answer in dollars, to the nearest cent. Answer:

Answers

Gbc promised investors an effective annual rate of approximately 3.

(a) to calculate the return promised to investors, we need to determine the present value of all the cash flows from the investment .

the cash flows from the investment are as follows:

- $38 at the end of each year for 14 years

- a single payment of $1,000 at the end of 14 years

using the formula for the present value of an annuity, we can calculate the present value of the cash flows.

pv = cf x (1 - (1 + r)⁽⁻ⁿ⁾) / r

where:

pv is the present value

cf is the cash flow

r is the effective annual rate

n is the number of periods

for the cash flows of $38 per year for 14 years, we can calculate the present value:

pv1 = $38 x (1 - (1 + r)⁽⁻¹⁴⁾) / r

for the single payment of $1,000 at the end of 14 years, we can calculate the present value:

pv2 = $1,000 / (1 + r)¹⁴

the total present value of the investment is the sum of pv1 and pv2:

total pv = pv1 + pv2

now we can solve for the effective annual rate (r) that makes the total present value equal to the initial investment of $954.29047645841:

total pv = $954.29047645841

by trial and error or using financial calculators, the effective annual rate is approximately 3.8654%. 8654%.

(b) to calculate the price gbc should charge for the product to offer an effective annual return of 5.1815%, we can reverse the calculations in part (a).

using the given effective annual rate (r = 5.1815%) and the cash flows, we can find the present value (pv) that would equal the desired effective annual return:

pv1 = $38 x (1 - (1 + 0.051815)⁽⁻¹⁴⁾) / 0.051815

pv2 = $1,000 / (1 + 0.051815)¹⁴

total pv = pv1 + pv2

now we need to solve for the initial investment, which represents the price gbc should charge:

initial investment = total pv

by calculating the above expressions, the price gbc should charge for the product is approximately $979.98.

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What are the downside of importing scarce resources like human capital to boost Canada's economy?

Answers

Importing scarce resources, such as human capital, can have some downsides for Canada's economy.

Here are a few potential drawbacks:

1. Brain drain: When highly skilled individuals are recruited from their home countries, it can lead to a loss of talent and expertise in those nations. This brain drain can hinder their development and economic growth.

2. Dependency on foreign workers: Relying heavily on imported human capital can make the Canadian economy vulnerable to fluctuations in global markets and immigration policies. Any sudden changes could disrupt industries and create labor shortages.

3. Wage suppression: If there is an influx of skilled workers from abroad, it could lead to increased competition for jobs and potentially lower wages for Canadian workers. This can create discontent and inequality within the labor market.

4. Cultural integration challenges: Importing human capital from diverse backgrounds may pose challenges in terms of cultural integration and social cohesion. It can require significant resources to provide language training, support services, and ensure a harmonious integration process.

5. Limited investment in domestic education and training: Depending too much on imported human capital might lead to a reduced focus on investing in domestic education and training programs. This could hinder the long-term development of a skilled workforce within the country. In summary, while importing scarce resources like human capital can provide short-term benefits, it is important to consider and address the potential downsides to ensure a sustainable and balanced approach to economic growth.

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A couple has just purchased a home for \( \$ 318,200.00 \). They will pay \( 20 \% \) down in cash, and finance the remaining balance. The mortgage broker has gotten them a mortgage rate of \( 4.20 \%

Answers

The couple purchased a home for $318,200. They will make a 20% down payment in cash, which amounts to $63,640.

To calculate the remaining balance that they will finance, we subtract the down payment from the purchase price: $318,200 - $63,640 = $254,560.

The mortgage broker has secured a mortgage rate of 4.20%. To find the annual interest amount, we multiply the remaining balance by the interest rate: $254,560 * 0.042 = $10,691.20.

To determine the total interest paid over the life of the mortgage, we multiply the annual interest by the number of years. However, the question does not specify the loan term or number of years. Therefore, I cannot provide the exact amount of interest paid.

However, I can provide a general formula to calculate the monthly payment for a fixed-rate mortgage. The formula is as follows:

Monthly Payment = (Principal * Rate) / (1 - (1 + Rate) ^ -N)

In this formula, Principal represents the remaining balance, Rate represents the monthly interest rate (annual interest rate divided by 12), and N represents the number of monthly payments.

The couple purchased a home for $318,200. They will make a 20% down payment in cash, which amounts to 0.20 * $318,200 = $63,640.

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What is the production possibilities curve? Discuss when a
production possibilities curve may shift?

Answers

The production possibilities curve (PPC) is a graphical representation of the different combinations of two goods or services that an economy can produce given its limited resources and technology. It shows the maximum amount of one good that can be produced given the production level of the other good.

1. Increase in resources: If there is an increase in resources, such as more labor, capital, or natural resources becoming available, the economy can produce more of both goods. This would result in a shift of the PPC outward, indicating an increase in the production capacity.

2. Technological advancements: When there are improvements in technology, the economy becomes more efficient in producing goods. This can lead to an outward shift of the PPC, allowing for increased production of both goods.

3. Changes in trade: If a country engages in international trade and specializes in producing the good in which it has a comparative advantage, it can obtain more of the other good through trade. This can shift the PPC outward as the economy benefits from trade and gains access to more goods.

4. Natural disasters or wars: Negative events like natural disasters or wars can destroy resources and infrastructure, leading to a decrease in production capacity. This would result in an inward shift of the PPC, indicating a decrease in the possible production levels.
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The VA-TX Company has noticed when it advertises, it dramatically increases the amount of customers who buy its product at seminars. With advertising, VA-TX expects the audience to buy the product at a price of $75. The cost of renting a place is $4000/day, utilities included. Moreover, the cost of food and drinks is $5/person. If VA-TX assumes at a minimum it will sell 124 units, what would be the upper bound on advertising dollars (i.e., where would the company break even?).
*****CAN YOU PLEASE PUT THE ANSWER STEP BY STEP IN An EXCEL FILE I want to know how to do them on an excel spreadsheet please******

Answers

Without the specific information about the number of attendees and the number of days, it's not possible to provide a numerical answer. To determine the upper bound on advertising dollars where the company breaks even.

We need to calculate the total costs and compare them with the revenue generated from selling the product.

Let's break down the costs and revenue:

1. Cost of renting a place: $4,000 per day.

2. Cost of food and drinks: $5 per person.

3. Minimum number of units to sell: 124.

4. Price per unit: $75.

First, calculate the total cost of food and drinks:

Total cost of food and drinks = (Number of attendees) x (Cost per person)

Since the number of attendees is not provided, we cannot calculate this cost without that information.

Next, calculate the total cost of renting a place:

Total cost of renting a place = (Number of days) x (Cost per day)

Since the number of days is not provided, we cannot calculate this cost without that information.

To determine the upper bound on advertising dollars where the company breaks even, we need to find the point at which the revenue equals the total costs. The revenue can be calculated as follows:

Revenue = (Number of units sold) x (Price per unit)

Since the company wants to sell at least 124 units, we can calculate the revenue generated from selling that minimum amount:

Minimum revenue = 124 units x $75 per unit

To break even, the revenue should be equal to the total costs:

Minimum revenue = Total costs

Without the specific information about the number of attendees and the number of days, it's not possible to provide a numerical answer. However, you can use this information and the calculations provided to determine the upper bound on advertising dollars and find the break-even point by comparing the revenue with the total costs.

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Overview

You have analyzed the current financial records of your organization and evaluated whether the operational plan aligns with key performance indicators of the finance department.

Now, your CEO wants you to present to senior management how your department (or any individual department) can contribute to the financial success of the organization.

Prompt

Analyze Uber’s financial success and present your findings to senior management. In your findings, you will identify financial key performance indicators, industry financial benchmarks, and accounting guidelines related to Uber. Review the Uber Case Study provided in the textbook, and review the additional information related to Uber provided.

Review the Uber Case Study provided in the textbook.
Critical Thinking Case: Uber: Riding the Gig Economy
Review the following additional information related to Uber.
Investor information for Uber balanced scorecard/financial: In the annual report, review Uber’s balance sheet, income statement, and cash flow statement.
Uber: Corporate social responsibility (CSR) and environment, social, governance (ESG) metrics
Create a presentation for your CEO and senior management, discussing the following key criteria:
Identify the financial key performance indicators of Uber’s success.
Analyze how different functional areas, departments, or both of Uber contribute to its overall financial success.
What common industry financial benchmarks should Uber consider in developing its strategies to grow the business?
Which financial benchmark can Uber adopt to measure its performance and increase its industry attractiveness? Use Porter’s five forces to support your answer.
Are there any critical elements of accounting guidelines that will be crucial for Uber to meet? Explain your reasoning.
Guidelines for Submission

Using PowerPoint, create a presentation that is 5 to 7 slides in length, and include references cited in APA format. Consult the Shapiro Library APA Style Guide for more information on citations.

Answers

To present to senior management on how your department can contribute to the financial success of the organization, you should analyze Uber's financial success. Here are the key criteria you need to cover in your presentation:

1. Financial Key Performance Indicators (KPIs): Identify the KPIs that indicate Uber's financial success. These may include metrics like revenue growth, profitability ratios (e.g., gross margin, net margin), and return on investment (ROI).
2. Contribution of Functional Areas/Departments: Analyze how different functional areas or departments within Uber contribute to its overall financial success.

3. Industry Financial Benchmarks: Identify common industry financial benchmarks that Uber should consider in developing its growth strategies. These benchmarks can provide insights into areas such as profitability, market share, and operational efficiency.
4. Financial Benchmark for Performance Measurement: Determine a financial benchmark that Uber can adopt to measure its performance and increase its industry attractiveness.
5. Accounting Guidelines: Highlight any critical elements of accounting guidelines that will be crucial for Uber to meet. This may include adhering to generally accepted accounting principles (GAAP), ensuring accurate financial reporting, and complying with regulatory requirements to maintain transparency and accountability.

In your presentation, provide a concise overview of each criterion, supported by data and relevant examples from Uber's financial records, the case study, and any additional information you've gathered. Use visual aids, such as charts or graphs, to enhance your presentation. Remember to cite your sources using APA format in the references slide.

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The rates of return on Cherry Jalopies, Inc,, stock over the last five years were 22 percent, 11 percent, −4 percent, 6 percent, and 9 percent. Over the same period, the returns on Straw Construction Company's stock were 16 percent, 23 percent, −1 percent, 1 percent, and 17 percent. Calculate the variances and the standard deviations for Cherry and Straw. (Do not round intermediate calculations. Enter your variance as a decimal rounded to 5 decimal places. Enter your standard deviation as a percent rounded to 2 decimal places.)

Answers

Variance and standard deviation are measures of dispersion in a set of data. They give a measure of the variation of the data values from the average value.

Step 1: Calculate the mean return for Cherry Jalopies, Inc., and Straw Construction Company. Cherry Jalopies, Inc.Mean return =
[tex](22% + 11% − 4% + 6% + 9%)/5 = 8.8%[/tex]
Straw Construction Company Mean return =
[tex](16% + 23% − 1% + 1% + 17%)/5 = 11.2%[/tex]

Step 2: Calculate the variance for Cherry Jalopies, Inc., and Straw Construction Company. Cherry Jalopies, Inc.Variance =[tex](1/5) [(22% - 8.8%)² + (11% - 8.8%)² + (-4% - 8.8%)² + (6% - 8.8%)² + (9% - 8.8%)²]= 101.36%[/tex]
Straw Construction CompanyVariance =
([tex]1/5) [(16% - 11.2%)² + (23% - 11.2%)² + (-1% - 11.2%)² + (1% - 11.2%)² + (17% - 11.2%)²]= 64.96%[/tex]

Part 2: Standard Deviation of Cherry Jalopies, Inc., and Straw Construction Company

Step 1: Calculate the standard deviation for Cherry Jalopies, Inc., and Straw Construction Company.Cherry Jalopies, Inc. Standard deviation = √variance= √101.36%= 10.07%Straw Construction CompanyStandard deviation = √variance= √64.96%= 8.06%

the variances and the standard deviations for Cherry Jalopies, Inc., and Straw Construction Company are given as follows:
Variance of Cherry Jalopies, Inc. = 101.36% Variance of Straw Construction Company = 64.96% Standard deviation of Cherry Jalopies, Inc. = 10.07% Standard deviation of Straw Construction Company = 8.06%.

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Find the present values of the following cash flow streams at a 3% discount rate. Do not round intermediate calculations. Round your answers to the nearest cent. Stream A Stream B Stream A: $ Stream B: $ b. What are the PVs of the streams at a 0\% discount rate? Round your answers to the nearest dollar. Stream A: $ Stream B: $ Check My Work ( 2 remaining

Answers

To find the present values of cash flow streams A and B at a 3% discount rate, we need to calculate their respective present values. The present values of the streams at a 0% discount rate are also required.

To calculate the present values of cash flow streams A and B at a 3% discount rate, we multiply each cash flow by the present value factor, which is determined by dividing 1 by (1 + discount rate)^n, where n represents the number of periods.

To calculate the present values at a 0% discount rate, we do not discount the cash flows, so the present value is equal to the cash flow amount.

Since the cash flow amounts for streams A and B are not provided in the question, it is not possible to provide specific numerical values for their present values. However, the process for calculating present values at a given discount rate is described above.

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You currently have $3,485. You plan on investing it at 13 percent per year until you have $82,648. How long will you wait until you achieve this goal? Enter the answer with 2 decimals (e.g. 1.23).

Answers

It will take approximately 4.09 years to achieve the goal of $82,648 by investing $3,485 at an annual interest rate of 13 percent.

To determine how long it will take to achieve a goal of accumulating $82,648 by investing $3,485 at an annual interest rate of 13 percent, we can use the concept of compound interest and the formula for future value.

The formula for future value (FV) in terms of present value (PV), interest rate (r), and time period (t) is:

FV = PV * (1 + r)^t

In this case, we know the present value (PV) is $3,485, the future value (FV) is $82,648, and the interest rate (r) is 13 percent (or 0.13).

Plugging in these values into the formula, we can solve for the time period (t):

$82,648 = $3,485 * (1 + 0.13)^t

Dividing both sides of the equation by $3,485:

23.71 = (1 + 0.13)^t

To isolate the exponent, we take the logarithm of both sides:

log(23.71) = t * log(1 + 0.13)

Using a calculator to compute the logarithms:

t ≈ log(23.71) / log(1.13) ≈ 4.09

Therefore, it will take approximately 4.09 years to achieve the goal of accumulating $82,648 by investing $3,485 at an annual interest rate of 13 percent.

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Which of the following statements is false? A. over the last 40 years, median real wages grew much slower than median nominal wages B. one of the reasons why median real wage growth was low despite the fact that the economy was growing is the rising income inequality C. one of the reasons why median real wage growth was low despite strong median nominal wage growth is inflation D. one of the reasons why median real wage growth was low is strong growth in average real wages

Answers

The false statement is that "one of the reasons why median real wage growth was low is strong growth in average real wages.

Median real wages refer to the middle point of wage income and the level of purchasing power it has. Meanwhile, median nominal wages are wages stated in current dollars. Therefore, the two types of wages measure different aspects of the wage growth. Over the last 40 years, the median nominal wages have grown much faster than median real wages.

This is statement A.A possible reason for the low growth of median real wages even though the economy is growing is income inequality, which is statement B. Statement C is also true since inflation can cause the cost of goods and services to rise, decreasing the purchasing power of wages.Finally, statement D is false. Although the average real wage growth has been strong, it does not reflect the middle point of wage income. Thus, it does not provide evidence that median real wage growth was low.

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John Joos is the owner and operator of Go-For-It LLC, a motivational consulting business. At the end of its accounting period, December 31, 20Y8, Go-For-It has assets of $855,000 and liabilities of $205,000. Using the accounting equation, determine the following amounts:

a. Owner's equity as of December 31, 20Y8.
b. Owner's equity as of December 31, 20Y9, assuming that assets increased by $162,000 and liabilities increased by $49,000 during 20Y9.

Answers

Given data: Go-For-It LLC, a motivational consulting business, has assets of $855,000 and liabilities of $205,000 on December 31, 20Y8.

(a) To determine the owner's equity of Go-For-It LLC as of December 31, 20Y8, we need to use the accounting equation: Accounting equation: Assets = Liabilities + Owner's Equity Rearranging the accounting equation to solve for the owner's equity, Owner's Equity = Assets - Liabilities Putting the given values in the formula; Owner's Equity = $855,000 - $205,000= $650,000Therefore, the owner's equity of Go-For-It LLC as of December 31, 20Y8 is $650,000.

(b) To determine the owner's equity of Go-For-It LLC as of December 31, 20Y9, assuming that assets increased by $162,000 and liabilities increased by $49,000 during 20Y9. We need to use the accounting equation, Accounting equation: Assets = Liabilities + Owner's Equity We need to determine the owner's equity of Go-For-It LLC as of December 31, 20Y9, so Owner's Equity (20Y9) = Assets (20Y9) - Liabilities (20Y9)Given that Assets increased by $162,000 and Liabilities increased by $49,000 during 20Y9,

Assets (20Y9) = $855,000 + $162,000= $1,017,000andLiabilities (20Y9) = $205,000 + $49,000= $254,000Now, we can use the accounting equation, Owner's Equity (20Y9) = Assets (20Y9) - Liabilities (20Y9)= $1,017,000 - $254,000= $763,000Therefore, the owner's equity of Go-For-It LLC as of December 31, 20Y9 is $763,000.

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A bond has a coupon rate of 5.00%, a yield to maturity of 7.00%, and a duration of 13.5 years. Interest rates are projected to decrease by 25 basis points (0.25\%). Calculate the predicted price change of the bond in percentage. −1.10% 3.21% −3.21% 3.15% Question 4 Which of the following is a derivative market instrument? Repurchase Agreements Stocks Corporate Bonds Options

Answers

The predicted price change of the bond is -3.375% (approximately -3.38%).

The predicted price change of the bond can be calculated using the formula:

Price Change = -Duration * Yield Change

In this case, the duration is given as 13.5 years and the yield change is -0.25% (interest rates are projected to decrease by 25 basis points).

Plugging in the values, we get:

Price Change = -13.5 * (-0.0025) = 0.03375

The price change is 0.03375, which is equivalent to 3.375%. However, the question asks for the price change in percentage, so we need to express it as a percentage.

Therefore, the predicted price change of the bond is 3.375% (approximately 3.38%).

So, the correct answer is 3.38%.

The price change of a bond can be estimated using its duration and the change in yield. Duration measures the sensitivity of the bond's price to changes in yield. When interest rates decrease, bond prices generally increase.

In this case, the bond has a coupon rate of 5.00% and a yield to maturity of 7.00%. The duration is given as 13.5 years. A decrease in interest rates by 0.25% (25 basis points) implies a new yield to maturity of 6.75%.

To calculate the price change, we multiply the duration by the change in yield. The duration of 13.5 years multiplied by -0.0025 (or -0.25% expressed as a decimal) gives us -0.03375, which represents a 3.375% decrease in price.

Therefore, the predicted price change of the bond is -3.375% (approximately -3.38%). This means the bond's price is expected to decrease by 3.38% due to the projected decrease in interest rates.

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Johnson and Company had a balance in their retained earnings account at the end of 2020 in the amount of 1,200,000. They have forecasted net income in 2021 in the amount of 300,000. They pay an estimated 40% of their net income in dividends. What will be the addition to retained earnings at the end of 2021? What will be the ending balance in retained earnings at the end of 2021?

Answers

The addition to retained earnings at the end of 2021 will be $180,000, and the ending balance in retained earnings will be $1,380,000

To calculate the addition to retained earnings at the end of 2021, we need to determine the amount of dividends paid and then subtract it from the forecasted net income. We can then add this result to the balance in the retained earnings account at the end of 2020.

Given data:

Balance in retained earnings at the end of 2020 = $1,200,000

Forecasted net income in 2021 = $300,000

Dividend payout ratio = 40% (0.40)

Calculate the dividends paid:

Dividends paid = Forecasted net income * Dividend payout ratio

Dividends paid = $300,000 * 0.40

Dividends paid = $120,000

Calculate the addition to retained earnings:

Addition to retained earnings = Forecasted net income - Dividends paid

Addition to retained earnings = $300,000 - $120,000

Addition to retained earnings = $180,000

Calculate the ending balance in retained earnings at the end of 2021:

Ending balance in retained earnings = Balance in retained earnings at the end of 2020 + Addition to retained earnings

Ending balance in retained earnings = $1,200,000 + $180,000

Ending balance in retained earnings = $1,380,000

Therefore, the addition to retained earnings at the end of 2021 will be $180,000, and the ending balance in retained earnings will be $1,380,000

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What is the personal liquidity ratio? Provide the formula and state what it measures. Why is it important to know? What should it be? NOTE: This is a personal finance course so do not discuss a liquidity ratio for a business or corporation.

Answers

The personal liquidity ratio is a financial metric that measures an individual's ability to meet short-term financial obligations using liquid assets.

It is important to know because it helps individuals assess their financial health and determine if they have enough liquid assets to cover immediate expenses or emergencies.

The formula for the personal liquidity ratio is as follows:

Personal Liquidity Ratio = Liquid Assets / Monthly Expenses

The numerator, liquid assets, includes cash, savings, checking accounts, and other assets that can be easily converted into cash.

The denominator, monthly expenses, includes all regular monthly bills and living expenses.

Ideally, the personal liquidity ratio should be greater than or equal to

1. A ratio less than 1 indicates that an individual may not have enough liquid assets to cover their monthly expenses.

A ratio greater than 1 suggests that an individual has a surplus of liquid assets, which can be helpful for unexpected expenses or future investments.

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The personal liquidity ratio is a financial metric that measures an individual's ability to meet short-term financial obligations using liquid assets. It is important to know because it helps assess an individual's financial stability and ability to handle unexpected expenses.



The formula for the personal liquidity ratio is:
Personal Liquidity Ratio = (Liquid Assets / Monthly Expenses) x 100

Liquid assets include cash, savings, and investments that can be easily converted into cash. Monthly expenses encompass all regular bills and living costs.

For example, let's say a person has $10,000 in liquid assets and their monthly expenses amount to $2,000. Plugging these values into the formula, we get:
Personal Liquidity Ratio = ($10,000 / $2,000) x 100 = 500%

The personal liquidity ratio should ideally be above 100%. A ratio above 100% indicates that the individual has enough liquid assets to cover at least one month's expenses. A higher ratio indicates a stronger financial position and better ability to handle unexpected financial emergencies.

In conclusion, the personal liquidity ratio measures an individual's ability to cover short-term financial obligations. It is important to know because it helps assess financial stability and preparedness for unexpected expenses. The ideal personal liquidity ratio is above 100%.

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Gavin has a fico score of 572. what is the minimum cash investment required for him to obtain an fha-insured loan?

Answers

If Gavin has a FICO score of 572. The minimum cash investment required in order for him to obtain an FHA loan is a. 10%

The term FHA stands for Federal Housing Administration. When qualifying for a FHA, a loan to purchase or refinance a particular home, borrowers may need to make a minimum cash down payment. Typically, 10% of total purchase price or the property's appraised value, whichever is less, is the minimum down payment required for an FHA loan.

A down payment is a common term used to describe this initial contribution which means that borrower is required to contribute at least three percent of a property's total cost out of their own money. In the given question, Gavin, who has a FICO score of 572, would need to put down a minimum of 10% of property's purchase price in cash in order to qualify for an FHA loan. By doing so, lender risk is decreased and it is ensured that the borrower has a financial stake in the property.

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Complete Question:

Gavin has a FICO score of 572. What is the minimum cash investment required in order for him to obtain an FHA loan?

a. 10%

b. 3.5%

c. 2.5%

d. 5%

Summarize the Student loan forgiveness-experts on banking, public spending and education policy look at the impact of Baden’s plan article in 1-2 paragraphs.

Answers

Experts have debated Baden's student loan forgiveness plan, with some highlighting its potential economic benefits while others express concerns over cost and long-term implications.

Experts in banking, public spending, and education policy have examined the impact of Baden's student loan forgiveness plan. The plan proposes a comprehensive approach to addressing the burden of student loans, aiming to alleviate the financial strain on borrowers. These experts have analyzed the potential consequences of the proposal. Some argue that widespread student loan forgiveness could lead to a significant boost in consumer spending, stimulating economic growth and aiding in wealth redistribution.

Additionally, they highlight the potential benefits of reducing the financial stress on individuals, allowing them to invest in their futures and contribute to the economy in other ways. However, critics express concerns over the cost of such a program and its potential impact on the lending industry and taxpayers. They emphasize the need for careful consideration of the long-term economic implications and the necessity to balance debt relief with other educational reforms to address the root causes of the student loan crisis.

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The two standards of discrimination - disparate treatment versus disparate impact remain difficult to apply to pay issues, since pay differences are legal for dissimilar work. True False Question 14 (Mandatory) (5 points) Of the four affirmative defenses for unequal pay for equal work, "a factor other than sex" has prompted the most court cases. True False Astute professionals must be aware of legislative and judicial currents to protect both employers' and employees' interests and to ensure that compensation practices conform to judicial interpretation. True False

Answers

The two standards of discrimination - disparate treatment versus is false. Of the four affirmative defenses for unequal pay is false. Astute professionals must be aware of legislative and judicial currents is true.

The two standards of discrimination, disparate treatment and disparate impact, can be applied to pay issues. Disparate treatment refers to intentional discrimination based on protected characteristics, such as sex, where individuals are treated differently in terms of pay. Disparate impact refers to practices or policies that may appear neutral but have a disproportionately negative impact on certain protected groups, leading to pay disparities.

Regarding the second statement, without specific data or context, it is not possible to determine whether "a factor other than sex" has prompted the most court cases related to unequal pay for equal work. The frequency of court cases can vary depending on various factors, including the jurisdiction, specific circumstances, and prevailing legal issues.

The third statement is true. Professionals who deal with compensation practices should stay updated on legislative changes and judicial interpretations to ensure that compensation practices align with legal requirements and protect the interests of both employers and employees. Being aware of legislative and judicial currents helps in maintaining compliance and avoiding potential legal pitfalls.

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7. More on ratio analysis

Analysts and investors often use return on equity (ROE) to compare profitability of a company with other firms in the industry. ROE is considered a very important measure, and managers strive to make the company’s ROE numbers look good.

If a firm takes steps that increase its expected future ROE, its stock price will (Not Necessarily,always, never)increase.

Based on your understanding of the uses and limitations of ROE, a rational investor is likely to prefer an investment option that has:

High ROE and high risk

High ROE and low risk

Suppose you are trying to decide whether to invest in a company that generates a high expected ROE, and you want to conduct further analysis on the company’s performance. If you wanted to conduct a trend analysis, you would:

Analyze the firm’s financial ratios over time

Compare the firm’s financial ratios with other firms in the industry for a particular year

You decide also to conduct a qualitative analysis based on the factors summarized by the American Association of Individual Investors (AAII). According to your understanding, a company with one key product is considered to be (More,Less risky than companies with a wide range of products.

The American Association of Individual Investors (AAII) has identified several qualitative factors that should also be considered when evaluating a company’s likely future financial performance. Consider the scenario and indicate how you would expect the described event or situation to affect the described business organization.

Western Amalgamated Corp.

Western assembles computers in the owner’s garage from parts the owner orders over the Internet. This industry is characterized by low barriers to entry, including few operating licenses or governmental approvals, and small investments in productive equipment or facilities.

How would you expect this situation to affect the assessment of Western’s financial condition and performance?

Its low barriers to entry expose Western to decreased risk of competition, which could improve the predictability of its expected future sales revenues.

Although nonquantitative factors may be relevant to a company’s financial evaluation in general terms, the details of this specific situation are not relevant to the firm’s financial condition or performance.

Its low barriers to entry expose Western to increased risk of competition, which could negatively affect the predictability of its expected future sales revenues.

Answers

As an analyst or investor, one commonly used measure to compare the profitability of a company with others in the industry is return on equity (ROE). ROE is considered significant, and managers aim to improve the company's ROE figures.

However, it is important to note that if a firm takes steps to increase its expected future ROE, it does not necessarily mean that its stock price will always increase.

When it comes to investing, a rational investor is likely to prefer an investment option that has a high ROE and low risk. This combination indicates that the company is generating a good return on its equity while minimizing potential risks.

If you want to conduct a trend analysis on a company's performance, you would analyze the firm's financial ratios over time. This allows you to observe the company's financial performance and identify any patterns or trends that may be emerging.

In terms of qualitative analysis, the American Association of Individual Investors (AAII) suggests that a company with one key product is considered to be less risky than companies with a wide range of products. This is because companies with a single key product are less susceptible to market fluctuations or the failure of multiple product lines.

Considering the scenario of Western Amalgamated Corp., an organization that assembles computers in the owner's garage with low barriers to entry, it is expected that its low barriers to entry expose Western to increased risk of competition. This increased competition could negatively affect the predictability of its expected future sales revenues.

In summary, when evaluating a company's financial performance, analysts and investors consider various quantitative and qualitative factors, such as ROE, risk, trend analysis, and the company's specific industry dynamics. By assessing these factors, they can make more informed investment decisions.

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The stock market is important because

Question 5 options:

A)

it is where interest rates are determined.
B)

it is the most widely followed financial market in the United States.
C)

it is where foreign exchange rates are determined.
D)

All of these.

Answers

D) All of these. The stock market is important because it encompasses various functions and impacts different aspects of the financial system.

Here's an explanation for each option: A) The stock market indirectly influences interest rates. When stock prices rise, it can signal economic growth and optimism, leading to expectations of higher interest rates. Conversely, if stock prices decline, it may indicate economic concerns, potentially leading to expectations of lower interest rates. B) The stock market is indeed the most widely followed financial market in the United States. It attracts a significant amount of attention from investors, financial institutions, analysts, and the media. It serves as a barometer of economic conditions and is closely monitored for market trends, company performance, and investment opportunities.

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Suppose Carks would the to use 310,000 of his savingt to make a frandal investment. One way of making a financial levestment is to purchase stock or bonds from a private compeny: Suppose Robotioid, a robotics fim, is seling bonds to ralse money for a new lab-e practice known as finance. buying a bond istued by Robotroid would oive Canlos, the firm. In the event that Robotroid rums into financial dificulty. will be paid first, Suppose instead Cartos decides to buy 100 shares of Robotroid stock. Which of the following statements are correct? check all that apply. An increase in the perceived proftablity of Robetroid wili tikely cause the value of Carlos's shares to rise. The Dow Jones Industrial Average is an example of a stock exchange where he can purchase poootroid stock. The price of his shares will rise it Robotroid iswes additional thares of stock. Nternatively, Carlos could make a financial investment by purchaving bonds iswed by the U.S. government. Assuming that everything else is equal, a corporate bond issued by an electronics manufacturet most likely pays a interest rate than a municipel bond iswed by a state.

Answers

The following statements are correct regarding Carlos's decision to buy Robotroid stock. An increase in the perceived profitability of Robotroid is likely to cause the value of Carlos's shares to rise. If Robotroid issues additional shares of stock, the price of Carlos's shares will fall. The Dow Jones Industrial Average is an example of a stock exchange where Carlos can purchase Robotroid stock. Therefore, the first and the second statements are correct.

The third statement is incorrect because if Robotroid issues additional shares of stock, the price of Carlos's shares will fall, not rise. Carlos could make a financial investment by purchasing bonds issued by the U.S. government. A corporate bond issued by an electronics manufacturer is most likely to pay a higher interest rate than a municipal bond issued by a state.

Therefore, the last statement is also correct. An increase in the perceived profitability of Robotroid is likely to cause the value of Carlos's shares to rise. The Dow Jones Industrial Average is an example of a stock exchange where Carlos can purchase Robotroid stock.

The price of his shares will fall if Robotroid issues additional shares of stock. Carlos could make a financial investment by purchasing bonds issued by the U.S. government. A corporate bond issued by an electronics manufacturer is most likely to pay a higher interest rate than a municipal bond issued by a state.

Therefore, the correct statements are first and second.

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All of these are benefits to be stressed during the promotion of services except which?
consistent quality
availability
efficient and courteous service
low price
location

Answers

The benefit that is not stressed during the promotion of services is "low price." This means that the promotion does not emphasize or highlight the fact that the services being offered are available at a lower price compared to competitors.

In promotional activities, businesses usually focus on highlighting consistent quality, availability, efficient and courteous service, and location as the key benefits. These factors are seen as more important in attracting and retaining customers compared to low price, which may not always be sustainable or reflective of the overall value provided by the services.

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according to your text, taking a course in marketing can help your career in all of the following ways except .

Answers

Taking a course in marketing can help your career in all of the following ways except acquiring technical skills in computer programming (option D).

Marketing courses typically focus on areas such as consumer behavior, market trends, brand management, advertising, and networking. By studying marketing, individuals can enhance their understanding of consumer behavior and market dynamics, develop skills in brand management and advertising, and expand their professional network.

However, marketing courses do not typically provide in-depth training in computer programming, which is more aligned with technical disciplines such as computer science or software engineering. Therefore, option D is the correct answer.

""

according to your text, taking a course in marketing can help your career in all of the following ways except .

A. Enhancing your understanding of consumer behavior and market trends.

B. Developing skills in brand management and advertising.

C. Expanding your network and professional connections.

D. Acquiring technical skills in computer programming.

""

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