Lunicious Corporation currently produces baseball caps in an automated process. Expected production per month is 17,000 units, direct material costs are $6.50 per unit, and manufacturing overhead costs are $80,000 per month. Manufacturing overhead is entirely fixed costs. What is the flexible budget for 14,000 and 17,000 units, respectively? O $80,000; $190,500 O $80,000; $99,500 $171,000; $190,500 $171,000; $99,500

Answers

Answer 1

The flexible budget for 14,000 units is  $171,000 and the flexible budget for 17,000 units is $190,500. Thus, option C is correct.

Expected production =  17,000 units per month

Direct material costs = $6.50 per unit

Manufacturing overhead costs per month =  $80,000

Flexible Budget for 14,000 units:

Material costs for 14,000 units = 14,000 units x $6.50 per unit

Material costs for 14,000 units =  $91,000

The flexible budget for 14,000 units = Direct material costs + Manufacturing overhead costs

The flexible budget for 14,000 units = $91,000 + $80,000 = $171,000

Flexible Budget for 17,000 units:

Material costs for 17,000 units = 17,000 units x $6.50 per unit

Material costs for 17,000 units  = $110,500

The flexible budget = Direct material costs + Manufacturing overhead costs

The flexible budget for 17,000 units= $110,500 + $80,000 = $190,500

Therefore we can conclude that the flexible budget for 14,000 units is  $171,000 and the flexible budget for 17,000 units is $190,500.

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Related Questions

A CPA Firm is engaged in a Financial Statement Attest Engagement for Ziggy Corporation. David Bowie Corp owns 35% of Ziggy Corp, and Ziggy Corp represents approximately 15% of David Bowie Corp's assets and revenue. The CPA Firm must remain independent of David Bowie because:

(a) David Bowie Corp and Ziggy Corp are a Network Firm.

(b) David Bowie Corp is an affiliate under A.

(c) David Bowie Corp is an affiliate under D.

(d) David Bowie Corp and the CPA firm are a Network Firm.

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The CPA Firm must remain independent of David Bowie because: option (b) David Bowie Corp is an affiliate under A.

Affiliate under A is the reason that the CPA firm must remain independent of David Bowie because David Bowie Corp is an affiliate under A.The independence requirement is applicable for CPA firms for an audit or attestation engagement of an organization.

The auditor must be able to work independently without any undue influences so that the reports provided by the CPA firm are reliable and not influenced by other parties, stakeholders, or interested parties.This ensures the reliability and credibility of the report. If the auditors are not independent, their report will not be credible and may have material misstatements in the financial statements. Therefore, auditors must remain independent throughout the audit or attest engagement.

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Charter Golf, Inc., manufactures and sells golf apparel and supplies. Dennis Mclnerney had worked as a Charter sales representative for about a year when he was offered a position with one of Charter’s competitors. Jerry Montiel, Charter’s president, urged Mclnerney to turn down the offer and promised to guarantee him a 10 percent commission "for the remainder of his life." Montiel also promised Mclnerney that he would only be fired for dishonesty or disability. Three years later, Charter fired Mclnerney. Mclnerney sued Charter, alleging breach of contract. Charter argued that Montiel’s promises were not enforceable because they were not capable of being performed within one year.

Does this contract fall within the Statute of Frauds? Why or why not?

Do you think that Mclnerney detrimentally relied on the employer’s statements when he chose to continue working for Charter?

Should you enforce Montiel’s promises under the doctrine of promissory estoppel? Why or why not?

How would you rule on this issue if you were the judge?

Answers

The contract between Mclnerney and Charter Golf, Inc. falls within the Statute of Frauds. The Statute of Frauds requires certain contracts, including those that cannot be performed within one year, to be in writing to be enforceable. Mclnerney likely detrimentally relied on the employer's statements when he chose to continue working for Charter.

In this case, Montiel promised Mclnerney a 10 percent commission for the remainder of his life, indicating a performance period extending beyond one year. Therefore, the contract should have been in writing to be enforceable.

Mclnerney likely detrimentally relied on the employer's statements when he chose to continue working for Charter. Detrimental reliance occurs when a party changes their position or incurs a detriment based on another party's promises. In this case, Mclnerney turned down a job offer from a competitor based on Montiel's promises of a guaranteed commission and job security. If Mclnerney suffered a detriment by relying on these promises, he may have a valid claim.

Enforcing Montiel's promises under the doctrine of promissory estoppel would depend on the specific legal requirements. Promissory estoppel allows a promise to be enforced even without consideration. To establish promissory estoppel, Mclnerney would need to show that Montiel made a clear and definite promise, that Mclnerney relied on the promise to his detriment, and that it would be unfair or unjust to not enforce the promise.

If I were the judge, I would likely rule that the contract falls within the Statute of Frauds and is not enforceable unless it is in writing. However, I would carefully consider whether Mclnerney detrimentally relied on Montiel's promises and whether the doctrine of promissory estoppel should be applied to provide relief or compensation for his reliance. The specific facts and circumstances of the case would play a crucial role in the final ruling.

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The first step in the incorporation procedure is to a. hold the first organizational meeting. O b. begin conducting business. O c. elect a board of directors d. select a state in which to incorporate.

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The first step in the incorporation procedure is to D) select a state in which to incorporate.

Incorporation is the process of creating a legal entity separate from its owners. The entity could be a corporation, a limited liability company, or a non-profit corporation. It is essential to select the state to incorporate, as different states have different requirements for incorporating. The factors to consider when selecting a state include the business structure, taxes, and laws governing corporations.

The business structure determines the state where the company incorporates. For instance, a corporation can incorporate in any state, but a limited liability company must incorporate in its home state. The tax implications in each state can also affect the state's decision to incorporate.

A corporation's articles of incorporation should be filed with the Secretary of State's office, where the corporation will be registered. Each state has different requirements for filing the articles of incorporation, so it's important to research the state's rules before filing.

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According to four-drive theory, organizations maximize motivation by focusing employees on opportunities to fulfill only one of the four drives. T/F

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According to the Four-Drive Theory, organizations maximize motivation by focusing employees on opportunities to fulfill all four drives :False.

 The drive to acquire, the drive to bond, the drive to comprehend, and the drive to defend. The theory, proposed by Lawrence and Nohria, suggests that these four intrinsic drives are fundamental to human motivation in the workplace.

By creating a work environment that addresses and satisfies all four drives, organizations can enhance employee motivation, engagement, and overall performance. Each drive serves a unique purpose and contributes to different aspects of employee motivation and satisfaction. Therefore, it is important for organizations to consider and cater to all four drives to maximize employee motivation and well-being.

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Which of the following statements is true? O A fixed charge is usually created over the immovable assets of the company and it allows the company to deal with and dispose these assets in the ordinary course of business. O A floating charge is usually created over the movable assets of the company and it prevents the company to dispose these assets without the bank's approval. O The company can dispose its movable assets when it foresees that the mortgagee is going to crystallise the floating charge. O None of the options.

Answers

The correct statement among the following is: A floating charge is usually created over the movable assets of the company, and it allows the company to deal with and dispose of these assets in the ordinary course of business. The correct answer is option(b).

A floating charge is a type of security interest that a lender can take over a company's assets. It applies to the general assets of a company and is not linked to a specific asset, unlike a fixed charge. The floating charge is known as floating since the assets it secures change from time to time. A fixed charge is a security interest that allows a lender to take control of a company's assets to ensure that the loan is repaid.

It is a fixed charge on an asset that is given to a lender to guarantee a loan. This ensures that the asset can be sold to pay off the loan if the borrower defaults. The company can dispose of its movable assets when it foresees that the mortgagee is going to crystallize the floating charge. A floating charge becomes fixed when the lender takes steps to enforce the security interest. The assets covered by a fixed charge cannot be sold by the company without the lender's permission.

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a discretionary decision based on decision makers’ values and attitudes reflects:

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A discretionary decision based on decision makers’ values and attitudes reflects subjective judgment or personal bias.

A discretionary decision based on decision makers' values and attitudes reflects subjective judgment or personal bias. In such cases, the decision maker's own values, beliefs, attitudes, and preferences play a significant role in shaping the decision-making process and outcome.

These decisions are not solely driven by objective facts, data, or established rules but are influenced by the decision maker's individual perspectives and subjective interpretation of the situation. As a result, the decision may vary depending on the personal values and attitudes of the decision maker, leading to potential inconsistencies or variability in decision outcomes.

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------------The given question is incomplete, the complete question is:

"A discretionary decision based on decision makers’ values and attitudes reflects?"-------------

Which of the following is essential to the application of good strategic assessment law and policy?

Select one:
a. Project-level evaluation of alternatives
b. Reactionary responses to broad-scale issues
c. Transparent processes that involve public engagement
d. Consistent application of methods and procedures

Answers

Transparent processes that involve public engagement is essential to the application of good strategic assessment law and policy.(C) A strategic assessment law and policy aims to understand how a law or policy will affect environmental, social, and economic aspects of the environment.

It involves the integration of ecological, social, and economic considerations into the policy formulation process in an attempt to minimize the negative impact of a policy on the environment and society. Transparent processes are important in ensuring that policy decisions are made in the public interest and that the public has input into the decision-making process. The public engagement process should be open, transparent, and inclusive to allow for diverse perspectives to be heard. It also provides a platform for stakeholders to ask questions, provide comments, and offer suggestions that may inform the policy decision. This helps to ensure that policy decisions are based on the best available science, knowledge, and understanding of the environmental, social, and economic impacts of the policy.

In conclusion, transparent processes that involve public engagement are essential to the application of good strategic assessment law and policy.

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Question 37 of 50 Suppose that Great Britain and the United States are trading partners. Assume that the initial exchange rate in Great Britain is £0.76= 1$. Now suppose that the opportunity cost of consumption in the United States begin to rise. Which of the following explain what is expected to happen in the British forex market? 1 points Save Answer The demand for British pounds will decrease, leading to a depreciation of the US dollar. O The supply of British pounds will increase, leading to an appreciation of the British pound. The supply of American dollars will decrease, leading to a depreciation of the British pound. The demand for American dollars will decrease, leading to an appreciation of the British pound.

Answers

In the British forex market the supply of British pounds will increase, leading to an appreciation of the British pound. Option B is correct.

When the opportunity cost of consumption in the United States rises, it implies that consumers in the United States have a higher preference for saving rather than spending. This leads to a decrease in the demand for British pounds as US consumers reduce their purchases of British goods and services. As a result, there is a decrease in the demand for British pounds in the foreign exchange market.

On the other hand, an increase in the supply of British pounds occurs because British exporters receive more US dollars for their goods and services due to the depreciation of the US dollar. This increases the supply of British pounds in the foreign exchange market.

The increase in supply and decrease in demand for British pounds lead to an appreciation of the British pound in relation to the US dollar.

Hence, B. is the correct option.

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--The given question is incomplete, the complete question is

"Question 37 of 50 Suppose that Great Britain and the United States are trading partners. Assume that the initial exchange rate in Great Britain is £0.76= 1$. Now suppose that the opportunity cost of consumption in the United States begin to rise. Which of the following explain what is expected to happen in the British forex market? 1 points Save Answer A) The demand for British pounds will decrease, leading to a depreciation of the US dollar. B) The supply of British pounds will increase, leading to an appreciation of the British pound. C) The supply of American dollars will decrease, leading to a depreciation of the British pound. D) The demand for American dollars will decrease, leading to an appreciation of the British pound."--

The Germaine Corporation was originally incorporated in the state of Ohio, but in 2021 transferred all of its assets to a newly formed corporation in Texas in exchange for all of the new company’s stock, which was then distributed to the shareholders as the Ohio company stock was cancelled and the old corporation was dissolved. How would you categorize this transaction or reorganization? Briefly state your reasoning

Answers

The Germaine Corporation’s reorganization should be classified as a D reorganization. This is because the transaction involves a transfer of all of the Ohio corporation's assets to a newly created corporation in Texas, in exchange for all of the new corporation’s stock.

The shareholders of the Ohio corporation then received the new corporation's stock as a distribution, and the old corporation was dissolved. D reorganizations are tax-free transactions under section 368(a)(1)(D) of the Internal Revenue Code. A D reorganization involves a transfer of assets and liabilities from one corporation to another corporation, where the transfer is solely in exchange for stock.

In this case, the transfer of assets and liabilities from the Ohio corporation to the newly formed Texas corporation was solely in exchange for the new corporation’s stock. Because the shareholders of the Ohio corporation received the new corporation's stock as a distribution, it suggests that the transaction is a D reorganization, and thus the reorganization is tax-free. The transaction is tax-free because no gain or loss is recognized on the transfer of assets and liabilities to the new corporation.

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keep track of your income and expenses for one month. list all your assets and liabilities (debts owed) in a spreadsheet. based on these documents, develop a monthly budget and a net worth statement.

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Monthly Budget:

- Income: $X (list sources)

- Expenses:

 - Housing: $X

 - Transportation: $X

 - Food: $X

 - Utilities: $X

 - Debt Payments: $X

 - Other Expenses: $X

Net Worth Statement:

- Assets: $X (list assets)

- Liabilities: $X (list debts)

- Net Worth: $X (Assets - Liabilities)

In the spreadsheet, I would track all income and expenses for a month, listing assets (e.g., savings, investments) and liabilities (e.g., loans, credit card balances). Based on this data, I would create a monthly budget by allocating income to various expenses. The net worth statement would calculate the difference between assets and liabilities, giving an overall snapshot of financial health.

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List all your assets and liabilities (debts owed) in a spreadsheet. Based on these documents, develop a monthly budget and a net worth statement

In considering the exchange rate and financial flows between two countries, the (uncovered) Interest Rate Parity theory says that:
A) the currency of the country with the higher interest rate is expected to depreciate in the future against the currency of the other country.
B) the expected future value of the currency with the higher interest rate must be above its current value.
C) contrary to popular opinion, an increase in a country’s interest rate, other things equal, will cause that country’s currency to depreciate.
D) other things equal, higher inflation will cause a country’s currency to depreciate.
E) the central bank must intervene when a country’s currency depreciates by too much.

Answers

Uncovered Interest Rate Parity theory refers to the assumption that an investor will always have the same return regardless of the currency he chooses to invest in. In considering the exchange rate and financial flows between two countries, the (uncovered) Interest Rate Parity theory says that the currency of the country with the higher interest rate is expected to depreciate in the future against the currency of the other country, which is option A. Option A is correct.Therefore, the answer is option

A) the currency of the country with the higher interest rate is expected to depreciate in the future against the currency of the other country.

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Today a 4-year zero coupon bond sells at a price that gives a yield to maturity of 3.57%. Today a 5-year zero coupon bond sells at a price that gives a yield to maturity of 3.81%. What is the implied forward rate of return (that is, the interest per year) a one-year zero coupon bond purchased four years from today? (value in decimal)

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The implied forward rate of return for a one-year zero coupon bond purchased four years from today is approximately 0.3927% per year.

To find the implied forward rate of return for a one-year zero coupon bond purchased four years from today, we can use the relationship between bond prices and yields to maturity. Let's denote the forward rate of return as [tex]\( r \).[/tex]

The price of a four-year zero coupon bond with a yield to maturity of 3.57% can be expressed as:

[tex]\[ P_4 = \frac{F}{(1+r)^4} \][/tex]

Similarly, the price of a five-year zero coupon bond with a yield to maturity of 3.81% can be expressed as:

[tex]\[ P_5 = \frac{F}{(1+r)^5} \][/tex]

Given that [tex]\( P_4 \) and \( P_5 \)[/tex] are known, we can set up the following equation:

[tex]\[ \frac{P_4}{P_5} = \frac{(1+r)^5}{(1+r)^4} \][/tex]

Simplifying the equation:

[tex]\[ \frac{P_4}{P_5} = 1 + r \][/tex]

Rearranging the equation:

[tex]\[ r = \frac{P_4}{P_5} - 1 \][/tex]

Now we can substitute the given bond prices:

[tex]\[ r = \frac{0.9657}{0.9619} - 1 \][/tex]

Calculating the implied forward rate of return:

[tex]\[ r \approx 0.003927 \][/tex]

Therefore, the implied forward rate of return for a one-year zero coupon bond purchased four years from today is approximately 0.3927% per year.

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below is a list of various changes in the economy. all else held constant, please match each change with the corresponding effect in the aggregate demand/supply framework.

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The projected inventory exceeds the target amount when aggregate demand is lower than aggregate supply. Businesses intend to restrict production output until aggregate demand and aggregate supply are equal in order to reduce the undesirable buildup in inventory.

Reduced aggregate supply worsens an economy's unemployment issues and inflation rates. A rise in the cost of manufacturing is frequently the root cause of a decline in aggregate supply. Inflation is 'pushed' higher if overall supply declines but overall demand does not. Governments that borrow must compete with everyone else in the economy for the limited amount of accessible savings. the outcome of this contest.

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Background: Imagine you are assigned to serve as a consultant to advise the CEO of a real multinational company (see choices below). You (and your team) will carry out necessary research, analyses, measurements given your company's unique position to enter a foreign market (see choices below), and make appropriate recommendations for international risk identification, measurement, management. The goal of this assignment is to give you an opportunity to role-play as a consultant to advise a top executive to revamp a company's risk management strategy in the post-globalization and post-COVID era. Company Choices (Choose only one): New York Times, CNN, AMC Theaters, GEICO Insurance, Marriott International, AirBNB, Lyft, or a local bar/nightclub currently operating in your area. Country Choices (Choose only one): Bangladesh, China, Nigeria, Pakistan, Turkey, South Africa, or Venezuela LO O Et 39% 1) Which of the given country locations should the focal company choose for its foreign market entry? 2) Given your location choice, identify and discuss your focal company's top three socio- political risks. 3) What is the extent of these risks given your focal company's operations in that country? How would you measure/quantify them (including them in your ROI calculations)? 4) Based on your research and analysis, critically evaluate, inform, and discuss the central issues facing international risk management with an outline to create a robust ERM (enterprise risk management) system for your focal company.

Answers

The company Marriott International should choose China for its foreign market entry. Here are the top three socio-political risks for Marriott International's operations in China:Governmental Regulations: The political environment of China is rigid, and the government monitors every aspect of the economy.

The Chinese government maintains tight control over the hotel industry and requires that any new hotel be licensed by the State Council. This control creates a situation where the government can impose arbitrary and unpredictable regulatory demands that can harm Marriott International's business operations.China's Labor Laws: China has strict labor laws, and if Marriott International fails to comply with them, the company can face heavy fines. Marriott International must understand that its employees in China have rights, and the company must respect them.

If the company violates these rights, it can lead to severe consequences for its reputation and legal standing.Political Unrest: China has a one-party political system, and opposition to the government is not tolerated. Protests and political unrest are handled severely. Any international company that operates in China must be aware of the potential for civil unrest. Marriott International should ensure that its operations are secure and protect its staff in the event of a potential unrest. These risks can be measured or quantified using different techniques.

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Exercise # 3. Suppose the short-term equilibrium corresponds to the Bertrand equilibrium with two firms, 1 and 2, facing the inverse demand P = 10-91-92 and incurring a constant marginal cost c₁ = C

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In the short-term Bertrand equilibrium, firms 1 and 2 will set prices to maximize their profits, considering the inverse demand function and constant marginal cost.

In the short-term equilibrium corresponding to the Bertrand equilibrium with two firms, 1 and 2, the inverse demand function is given by P = 10 - 9Q1 - 9Q2, where Q1 and Q2 represent the quantities produced by firms 1 and 2, respectively. Both firms face a constant marginal cost of c₁ = C.

In the Bertrand equilibrium, firms compete on price, assuming that they can adjust their output levels to meet any demand at the prevailing market price. Each firm aims to maximize its profits by setting a price that undercuts its competitor's price. If both firms set the same price, they will split the market evenly.

To determine the equilibrium, we need to consider the reaction functions of the firms. Firm 1's reaction function represents the price it will set as a response to the price set by firm 2, and vice versa.

Let's assume that firm 1 sets the price P1 and firm 2 sets the price P2. Firm 1's profit can be calculated as (P1 - c₁)Q1, and firm 2's profit as (P2 - c₁)Q2. Each firm wants to maximize its profit, so they will set prices such that their respective profits are maximized.

To find the reaction functions, we can differentiate the profit functions with respect to the respective firm's price and set the derivatives equal to zero. This will give us the optimal prices for each firm.

Once we have the optimal prices for each firm, we can substitute them back into the inverse demand function to determine the equilibrium quantities Q1 and Q2.

The specific calculations for finding the equilibrium prices and quantities depend on the specific values of the marginal cost c₁ = C and the demand function. With the given information, it is not possible to provide a precise numerical solution.

In summary, in the short-term equilibrium corresponding to the Bertrand equilibrium, firms 1 and 2 will set prices in a way that maximizes their profits, considering the inverse demand function and their constant marginal cost. The specific equilibrium prices and quantities depend on the specific values of the marginal cost and demand function.

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Peterson Company budgets overhead cost of $5,900,000 for the next year. The company uses machine hours as its overhead allocation base. If 100,000 machine hours are planned for the next year, what is the company's plantwide overhead rate? (Round your answer to two decimal places.)
Multiple Choice
a. $0.02 per machine hour.
b. $59.00 per machine hour.
c. $48.66 per machine hour.
d. $10.00 per machine hour.
e. $0.10 per machine hour.

Answers

The company's plantwide overhead rate is b. $59.00 per machine hour.

Overhead cost = $5,900,000

Machine hours = 100,000

The estimated base and estimated factory overhead amount are used to calculate the factory overhead rate, which is then used to add the cost of overhead to the tasks, goods, or work completed. The cost that is attributed to the manufacturing of a good or service can be thought of as the overhead rate. Usually, the overhead rate is determined before the period starts.

Calculating the plantwide overhead rate

Plantwide overhead rate = Overhead cost / Machine hours

= $5,900,000 / 100,000

= $59.00

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An electronics plant's production function is Q = 10KL, where Q is its output, L is the amount of labor it uses per period, and K is the amount of capital it uses per period. The price of labor is $52 per unit of labor, and the price of capital is $94 per unit of capital. The firm's vice president for manufacturing hires you to determine which optimal combination of inputs the plant should use to produce 12,220 units of output per period.
a. What advice would you give him for the optimal combination of inputs?
b. Suppose the price of labor decreases to $46 per unit. What effect will this have on output per unit of labor?
c. Is this plant subject to decreasing returns to scale? Why or why not?

Answers

The optimal combination of inputs to produce 12,220 units of output per period is K = 156.06 and L = 78.31.

a. To determine which optimal combination of inputs the plant should use to produce 12,220 units of output per period, we will need to find out the optimal K and L values at which the cost is minimum.

Let's proceed with the calculation; Q = 10KL = 12,220K

= (12,220/L)

Substitute the value of K into the total cost formula;

C(L) = $94K + $52LC(L)

= 94(12,220/L) + 52L

We will differentiate the cost function to find the minimum value of cost by equating the derivative of the cost function to zero.

C'(L) = 94 * (-12,220/L^2) + 52 = 0

Solving for L; L = √(94 * 12,220/52) = 78.31

K = 12,220/78.31

= 156.06

Therefore, the optimal combination of inputs to produce 12,220 units of output per period is K = 156.06 and L = 78.31.

b. When the price of labor decreases from $52 to $46 per unit, the new optimal combination of inputs is found as follows;

Q = 10KL = 12,220K = (12,220/L)C(L) = $94K + $46LC(L) = 94(12,220/L) + 46L

Find the derivative of the cost function;

C'(L) = 94 * (-12,220/L^2) + 46 = 0Solving for L;

L = √(94 * 12,220/46) = 91.18

K = 12,220/91.18 = 134.00

The new optimal combination of inputs to produce 12,220 units of output per period is K = 134.00 and L = 91.18.

The output per unit of labor will be; Q/L = 10K = 10(134.00) / 91.18 = 14.68 (rounded off to 2 decimal places)

The output per unit of labor will increase from 12.67 to 14.68 as the price of labor decreases from $52 to $46 per unit.

c. The production function Q = 10KL exhibits constant returns to scale since an increase in both capital and labor by a factor of λ will result in an increase of output by a factor of λ.

Q(λK, λL) = 10(λK)(λL)

= λQ(K,L)

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When a company uses economic profit as a performance metric, managers have an incentive to invest only in projects

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When a company uses economic profit as a performance metric, managers have an incentive to invest only in projects that have high economic profits.

They will only invest in projects that can bring in more revenue than the total opportunity costs. Economic profit is the difference between a company's total revenue and total costs, including both explicit and implicit costs. Explicit costs are expenses that can be directly linked to the production of a good or service, such as the cost of raw materials or salaries paid to workers. Implicit costs, on the other hand, are opportunity costs and include the benefits that are given up by choosing one alternative over another.

A company that uses economic profit as a performance metric will strive to maximize economic profit rather than accounting profit. By doing this, managers will only invest in projects that provide the highest possible economic profit. This will ensure that the company is using its resources efficiently and earning the highest possible return on investment.

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Short answer questions. Answer each in up to 200 words. .

Background Imagine that you work for the World Bank and you have been called to Ghana to aid the new president to come up with a new international trade strategy. . You are told that the new government is interested in moving away from agriculture and into manufacturing. To do so, the government wants to pursue a policy of import substitution industrialization (ISI). . You are given a brief about Ghana highlighting the following points: About half of Ghana’s population depends on agriculture, but Ghana still imports some of its food. The majority of Ghana's people live in rural areas and exist on a subsistence way of life. Ghana has one of the highest rates of income inequality in the world. Nearly half of the population is employed in agriculture. .

QUESTION B.1 Ghana imports and exports food from and to neighbouring Côte d'Ivoire. The latter nation is very similar to Ghana in most ways. It has a similar environment, a similar level of education, and similar institutional background. Would you argue that trade between the two countries can be explained by comparative advantage? Why or why not? . Ghana also exports food to Switzerland. The latter nation is very different to Ghana in most ways. Would you argue that trade between the two countries can be explained by comparative advantage? Why or why not?

.QUESTION B.2 Explain import substitution industrialisation and how it can affect Ghana. What role does learning by doing play and when does it make sense for the government to interfere?

QUESTION B.3 Ghana’s president’s ISI strategy is to ask Switzerland to adopt a voluntary export restraint (VER). He believes that this is likely to increase Ghanaian welfare. Using two diagrams (one for each country) explain the Ghanaian welfare consequences of this policy.

QUESTION B.4 Explain if the VER is likely to improve the average efficiency of Ghana’s farms? (5 marks) . QUESTION B.5 After a meeting with Ghana’s president, you learn that the government is also interested in repatriating migrants that went to European countries to study engineering a decade ago. Explain how this is likely to change Ghana’s comparative advantage.

Answers

B.1: Comparative advantage is the capability of one country to produce a particular commodity or service at a lower marginal and opportunity cost than other countries. Trade between Ghana and Côte d'Ivoire can be explained by comparative advantage as both countries are identical in most ways.

B.2: Import substitution industrialization (ISI) refers to a trade and economic policy that aims to reduce a country's foreign dependency on imported goods and promote the production of local goods. Ghana can implement ISI to move away from agriculture to manufacturing.

B.3: A voluntary export restraint (VER) is an agreement between two countries to limit the quantity of exports from one country to another.

B.4: The implementation of a voluntary export restraint (VER) is unlikely to improve the average efficiency of Ghana's farms.

They have similar environmental conditions, and institutional backgrounds, and education levels, and both specialize in producing different goods based on their competitive advantage. For instance, Ghana specializes in producing cocoa while Côte d'Ivoire specializes in producing coffee, and they both trade these commodities.

However, trade between Ghana and Switzerland cannot be explained by comparative advantage since Switzerland is different from Ghana in most ways, and they produce similar commodities. Thus, trade between Ghana and Switzerland is based on political and legal factors such as trade agreements and policies.

B.2: Import substitution industrialization (ISI) refers to a trade and economic policy that aims to reduce a country's foreign dependency on imported goods and promote the production of local goods. Ghana can implement ISI to move away from agriculture to manufacturing.

ISI can positively impact Ghana's economy by promoting local industries and creating jobs. Learning by doing plays a significant role in the ISI process since it enables local firms to acquire the necessary technical skills and expertise to produce goods effectively and efficiently. The government may interfere in the ISI process by providing subsidies and incentives to promote local industries and protect them from foreign competition.

B.3: A voluntary export restraint (VER) is an agreement between two countries to limit the quantity of exports from one country to another. Ghana's president's ISI strategy is to ask Switzerland to adopt a VER to increase Ghanaian welfare. The implementation of the VER by Switzerland will lead to an increase in the price of Swiss goods and a decrease in the quantity of goods exported to Ghana.

The effect of this policy on Ghanaian welfare can be illustrated in the graph below:represents the world price of Swiss goods, is the quantity of Swiss goods supplied in the world market, and represents the quantity of Swiss goods imported by Ghana. Ghanaian welfare will increase by area while Swiss welfare will decrease by area :

B.4: The implementation of a voluntary export restraint (VER) is unlikely to improve the average efficiency of Ghana's farms. The VER will lead to a decrease in the quantity of goods imported from Switzerland, leading to an increase in the price of goods in the Ghanaian market.

The increase in price of goods in the Ghanaian market will lead to an increase in the demand for locally produced goods, and this will put pressure on Ghanaian farmers to increase production. However, the increase in production may not lead to an improvement in the average efficiency of Ghana's farms since they may not have access to better technology, machinery, and infrastructure.

B.5: Ghana's comparative advantage is in agriculture, and repatriating migrants that went to European countries to study engineering a decade ago will affect its comparative advantage. The return of these migrants will lead to an increase in the supply of skilled labor and expertise in engineering, which will shift Ghana's comparative advantage from agriculture to engineering.

This shift will lead to a change in the composition of Ghana's exports and imports as the country will start exporting engineering products and importing agricultural products. This change will positively impact Ghana's economy since it will create new job opportunities and diversify the country's sources of income.

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Note- Diagram cant be done.

if a local bar in downtown san jose which is owned by san jose residents serves alcohol to an obviously intoxicated sjsu student who is minor also residing in san jose, and who thereafter injures him/herself or a third party the bar has:

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The bar can be held liable for serving alcohol to a visibly intoxicated minor, leading to potential injuries or damages.

If a local bar in downtown San Jose, which is owned by San Jose residents, serves alcohol to an obviously intoxicated SJSU student who is a minor also residing in San Jose, and who thereafter injures him/herself or a third party, the bar has committed a crime.

The bar will be held liable for the injuries and the damages that result from the act. They can be charged with violating the alcohol control laws, which impose strict restrictions on the sale of alcohol to minors and visibly intoxicated persons. In California, it is illegal to sell alcohol to minors. Therefore, if a minor is served, the bartender and the bar are violating the law.

It is illegal to serve someone who is visibly drinking or to allow an intoxicated individual to consume alcohol on the premises. In such a situation, the bar could be held liable for the injuries and damages that result from the person's. If the student injures themselves or a third party, the bar will be held liable for damages and the injuries caused.

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Consider a market where the two firms sell complementary products. The inverse demand functions of the two firms are: P₁ = 100 q₁ + 0.592 - P2 = 100 q2 + 0.591 q2 - In this market, the demand for good 1 increases with q2, and the demand for good 2 increases with q₁. The unit cost is 10 for both firms, and there is no fixed cost. (A) (15%) Find the equilibrium prices and quantities of the two firms. (B) (10%) Find the profits of the two firms in part (A). (C) (25%) Suppose that the two firms merge into one, and the objective is to maximize the joint profit. Find the prices and quantities of the two firms in this case. Is the profit of the merged firm greater than the sum of profits of the two firms in part (B)?

Answers

Equilibrium Prices and Quantities of the two firmsIn the given question, the inverse demand functions of the two firms are:P₁ = 100q₁ + 0.592P2 = 100q2 + 0.591 q2Also, the unit cost is 10 for both firms and there is no fixed cost.

The demand for good 1 increases with q2 and the demand for good 2 increases with q1.Now, let us find the equilibrium prices and quantities of the two firms. We know that at equilibrium, the quantity supplied by the two firms is equal to the quantity demanded by the consumers. Also, the price set by each firm is the same. Now, the total demand for each product is the sum of its individual demand and the impact of its complementary product.

The demand function for good 1 is:Q₁D = a - bP₁ + cQ₂Or Q₁D = a - bP₁ + c(A - bP₂)Here, a = 0.592, b = 100, c = 1. Now substitute the given values and simplify to get the following: Q₁D = 0.592 - 100P₁ + A - bP₂At equilibrium, the two firms produce the same quantity Q1=Q2=Q. Substituting Q1=Q2=Q, we get the following equations: Q = 0.592 - 100P + A - bPQ = 0.592 - 100P + A - bPNow, solving the above two equations simultaneously, we get: P = 30 - 0.5AQ = 0.2(B)Profits of the two firms in part (A)We know that Profit = Total Revenue - Total Cost.

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20. Determine the interest rate for a billing period with 31 days for a loan that charges an APR of 9%.

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The interest rate for a billing period of 31 days, based on a 9% APR, is approximately 0.764151%.

The percentage of the principal sum that is charged or paid for the use of borrowed funds is known as an interest rate and it is typically expressed as an annual percentage rate (APR). For lenders or investors it stands for the cost of borrowing or the return on investment.

APR to a decimal: 9% = 0.09.

APR for a year (the number of days in a year) = 0.09 / 365

     = 0.00024657534.

Multiply the daily interest rate by the number of days in the billing period (31) = 0.00024657534 × 31

     = 0.0076415094.

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Which of the following items would appear in the financing activities section of the statement of cash flows? Multiple Choice a. Cash outflow for the purchase of land. b. Cash inflow from sales revenue c. Cash inflow from issuance of common stock d. Cash outlow for the payment of accounts payable

Answers

Cash inflow from issuance of common stock would appear in the financing activities section of the statement of cash flows. Option C is the correct answer.

The cash flow statement is particularly useful since it gives an explanation of the balance sheet's beginning and ending cash. The hundreds of line items that may be included in financial statements make this analysis challenging for the majority of publicly listed firms, but it's still vital to comprehend the idea. Option C is the correct answer.

The portions of the balance sheet for long-term debt and equity are normally where a company's cash flow from operating expenses is related. The consolidated statement of equity is among the best areas to see changes in the finance section from cash flow. Typical cash flow items resulting from a company's financing activity include:

a. receiving money from the sale of stock or paying money to buy back shares.

b. receiving money as a result of issuing or paying off debt.

c. paying stockholders dividends in cash.

d. earnings from stock option exercises by workers.

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Duo Corporation is evaluating a project with the following cash flows. The company uses a discount rate of 11% and a reinvestment rate of 8% on all of its projects. Year 0 −$53,000 Year 1 16,700 Year 2 21,900 Year 3 27,300 Year 4 20,400 Year 5 −$8,600 1) Calculate the MIRR of the project using the discounting approach method. 2) Calculate the MIRR of the project using the reinvestment approach method. 3) Calculate the MIRR of the project using the combination approach method.

USING EXCEL FUNCTIONS PLEASE!

Answers

The MIRR of the project is approximately 3.53% using the discounting approach method, 3.17% using the reinvestment approach method, and 3.54% using the combination approach method.

To calculate the Modified Internal Rate of Return (MIRR) of the project, we can use different approaches: the discounting approach method, the reinvestment approach method, and the combination approach method.

Discounting Approach Method:

In this method, we calculate the present value of the cash inflows and outflows using the discount rate of 11%. Then we find the IRR of the resulting cash flows.

Year 0: PV = -$53,000 / (1 + 0.11)^0 = -$53,000

Year 1: PV = $16,700 / (1 + 0.11)^1 = $14,991.07

Year 2: PV = $21,900 / (1 + 0.11)^2 = $17,952.79

Year 3: PV = $27,300 / (1 + 0.11)^3 = $19,647.11

Year 4: PV = $20,400 / (1 + 0.11)^4 = $13,552.09

Year 5: PV = -$8,600 / (1 + 0.11)^5 = -$5,216.12

Net Present Value (NPV) = Sum of PV of inflows - Sum of PV of outflows

= $14,991.07 + $17,952.79 + $19,647.11 + $13,552.09 - $53,000 - $5,216.12

= $8,926.94

Now we solve for the IRR of the cash flows, including the initial investment and the final cash flow (Year 5).

IRR = Discount rate + [(NPV of inflows / PV of outflows) * (1 + Discount rate)]^(1 / Number of years) - 1

= 11% + [($8,926.94 / $53,000) * (1 + 11%)]^(1 / 5) - 1

= 11% + (0.1682 * 1.11)^(0.2) - 1

= 11% + 1.045^(0.2) - 1

= 11% + 0.0353 - 1

= 11.0353% - 1

= 0.0353 (3.53%)

Therefore, the MIRR of the project using the discounting approach method is approximately 3.53%.

Reinvestment Approach Method:

In this method, we calculate the future value of the initial investment and the future value of the cash inflows using the reinvestment rate of 8%. Then we find the IRR of the resulting cash flows.

Future Value (FV) of the initial investment = -$53,000 * (1 + 0.08)^5 = -$73,049.84

FV of Year 1 inflow = $16,700 * (1 + 0.08)^4 = $22,469.32

FV of Year 2 inflow = $21,900 * (1 + 0.08)^3 = $26,729.92

FV of Year 3 inflow = $27,300 * (1 + 0.08)^2 = $31,033.76

FV of Year 4 inflow = $20,400 * (1 + 0.08)^1 = $22,032

FV of Year 5 inflow = -$8,600 * (1 + 0.08)^0 = -$8,600

Net Future Value (NFV) = Sum of FV of inflows + FV of initial investment

= $22,469.32 + $26,729.92 + $31,033.76 + $22,032 - $73,049.84 - $8,600

= $21,615.16

Now we solve for the IRR of the cash flows, including the initial investment and the final cash flow (Year 5).

IRR = Reinvestment rate + [(FV of inflows / FV of outflows)^(1 / Number of years) - 1]

= 8% + [($21,615.16 / $73,049.84)^(1 / 5) - 1]

= 8% + (0.2957^(0.2) - 1)

= 8% + 1.0601^(0.2) - 1

= 8% + 0.0317 - 1

= 8.0317% - 1

= 0.0317 (3.17%)

Therefore, the MIRR of the project using the reinvestment approach method is approximately 3.17%.

Combination Approach Method:

In this method, we calculate the present value of the cash inflows and outflows using the discount rate of 11% and then calculate the future value of these present values using the reinvestment rate of 8%. Finally, we find the IRR of the resulting cash flows.

PV of Year 0 outflow = -$53,000

PV of Year 1 inflow = $14,991.07

PV of Year 2 inflow = $17,952.79

PV of Year 3 inflow = $19,647.11

PV of Year 4 inflow = $13,552.09

PV of Year 5 inflow = -$5,216.12

FV of PV of inflows = $14,991.07 * (1 + 0.08)^5 + $17,952.79 * (1 + 0.08)^4 + $19,647.11 * (1 + 0.08)^3 + $13,552.09 * (1 + 0.08)^2 - $5,216.12 * (1 + 0.08)^1

= $23,547.26 + $23,852.17 + $23,968.59 + $18,350.77 - $5,646.73

= $84,072.06

Now we solve for the IRR of the cash flows, including the initial investment and the final cash flow (Year 5).

IRR = Discount rate + [(FV of PV of inflows / PV of outflows)^(1 / Number of years) - 1]

= 11% + [($84,072.06 / $53,000)^(1 / 5) - 1]

= 11% + (1.5862^(0.2) - 1)

= 11% + 1.0839^(0.2) - 1

= 11% + 0.0354 - 1

= 11.0354% - 1

= 0.0354 (3.54%)

Therefore, the MIRR of the project using the combination approach method is approximately 3.54%.

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Assume LOGI Co. is a public listed company, having 20 million
number of shares, trading at $15 per share. The outstanding debt
has a book value of $150 million equal to its market value and the
equity

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Assume LOGI Co. is a public listed company, having 20 million number of shares, trading at $15 per share. The outstanding debt has a book value of $150 million equal to its market value and the equity  of LOGI Co. is $150 million.

Assuming LOGI Co. is a public listed company with 20 million shares trading at $15 per share, and the outstanding debt has a book value and market value of $150 million, we can calculate the equity of the company as follows:

Equity = Total Market Value of Shares - Outstanding Debt

Total Market Value of Shares = Number of Shares × Share Price

Total Market Value of Shares = 20 million × $15

Total Market Value of Shares = $300 million

Equity = $300 million - $150 million

Equity = $150 million

Therefore, the equity of LOGI Co. is $150 million.

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Which component of a financial plan is influenced by your life stage? a) Budgeting and tax planning b) Protecting your assets and income c) Investing your money d) Managing your financial resources

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The component of a financial plan that is influenced by your life stage is "c) Investing your money."

The life stage you are in significantly influences your investment decisions and strategies. Different life stages come with varying financial goals, risk tolerance, and time horizons. For example, a young individual in the early stages of their career may have a longer time horizon and higher risk tolerance, allowing them to allocate more of their investments towards growth-oriented assets like stocks or higher-risk investments.

On the other hand, someone approaching retirement may have a shorter time horizon and a lower risk tolerance. They may prioritize preserving their capital and generating a steady income, leading them to allocate more towards conservative investments like bonds or dividend-paying stocks.

Your life stage also affects the type of investment accounts you may choose, such as retirement accounts like IRAs or 401(k)s. Additionally, factors like financial obligations, family responsibilities, and future financial needs may influence the investment decisions you make.

Considering these factors, investing your money is an integral component of a financial plan that is tailored to your specific life stage and aligns with your financial goals and circumstances.

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A company estimates that warranty expense will be 5% of sales. The company's sales for the current period are $206,000. The current period's entry to record the warranty expense is:
Multiple Choice
Debit Warranty Expense $10,300 credit Sales $10,300.
Debit Warranty Expense $10,300 credit Estimated Warranty Liability $10,300.
O
O
Debit Estimated Warranty Liability $10,300 credit Warranty Expense $5,380.
O
Debit Estimated Warranty Liability $10,300 credit Cash $10,300.
No entry is recorded until the items are returned for warranty repairs.

Answers

The correct entry to record the warranty expense for the current period would be:

Debit Warranty Expense $10,300

Credit Estimated Warranty Liability $10,300.

This entry reflects the recognition of the estimated warranty expense ($10,300) as an expense on the income statement (debit Warranty Expense) and the creation of a liability (credit Estimated Warranty Liability) to account for the potential future costs associated with fulfilling warranty claims.

Option A (Debit Warranty Expense $10,300, Credit Sales $10,300) is incorrect because warranty expense should not be directly offset against sales. It is recognized as a separate expense.

Option C (Debit Estimated Warranty Liability $10,300, Credit Warranty Expense $5,380) is incorrect because it does not properly reflect the estimated warranty expense of 5% of sales.

Option D (Debit Estimated Warranty Liability $10,300, Credit Cash $10,300) is incorrect because cash is not involved in recording the warranty expense.

The correct entry is to debit Warranty Expense and credit Estimated Warranty Liability, reflecting the estimated expense and the associated liability.

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Give example to explain the benefits of the eurocurrency market.
Give examples to explain the benefits of FDI to host countries.

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1) The Eurocurrency market enables banks to make a profit on a variety of foreign currency deposits by borrowing and lending.

It is profitable for both lenders and borrowers because the absence of regulations reduces transaction costs.

2) Foreign Direct Investment (FDI) refers to the act of a firm investing in a different country. FDI brings a lot of advantages to host countries.

1) The eurocurrency market refers to the deposit and lending of currencies in countries outside the jurisdiction of the currencies issued by central banks.

The following are some of the benefits of the Eurocurrency market:

A reduction in Transaction Costs: Due to the Eurocurrency market's nature, there are fewer transaction expenses associated with it. It implies that it is less expensive to borrow from or lend to the market than from the central banks, which usually imposes regulations.Lower Interest Rates: As a result of the fewer transaction expenses and less regulation, Eurocurrency loans have a lower interest rate. It encourages borrowers to take out more loans, and the market becomes more competitive.More Sources of Financing: There are several sources of finance available in the Eurocurrency market. It means that individuals and organizations have more options to choose from in terms of financing their operations or activities.

2)The following are some examples of the benefits of FDI to host countries:

Technological Advancement: FDI brings a great deal of technology with it. When multinationals or other foreign corporations invest in a country, they bring cutting-edge technology that can help the host country improve its output and efficiency.Increased Employment: FDI leads to an increase in the number of job opportunities available in the host country. When multinationals invest in a new country, they must employ local personnel, which leads to an increase in the number of jobs available to residents.Improvement of the Balance of Payment: FDI helps to improve a host country's balance of payment. When multinationals invest in a new country, it increases the amount of money coming into the host country, which improves the host country's balance of payment.

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Discuss how prospect theory has a role in the explanation of the house money effect

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Prospect theory is a behavioral economic theory that attempts to explain how people make decisions when faced with uncertainty. This theory has a significant role in the explanation of the house money effect. The house money effect is a phenomenon in which people tend to be more willing to take risks when they perceive that they are playing with "found money," such as winnings from a casino or a bonus from work.

Prospect theory suggests that people's decision-making is influenced by the way that choices are framed and presented to them. According to this theory, people tend to weigh losses more heavily than gains when making decisions. This is known as loss aversion. As a result, people may be more willing to take risks when they perceive that they have nothing to lose, such as when they are playing with house money.
The house money effect can also be explained by the endowment effect, which is another principle of prospect theory. The endowment effect is the tendency for people to value things more highly when they own them. When people perceive that they have "won" some money, they may feel a sense of ownership over it, which can make them more willing to take risks with it.

Overall, prospect theory provides a useful framework for understanding the house money effect. By showing how people's decision-making is influenced by the framing and presentation of choices, this theory helps to explain why people may be more willing to take risks with money that they perceive as "found." This is important for policymakers and marketers to understand, as it suggests that people's behavior can be influenced by how choices are presented to them.

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Composing the First Draft with Effective Sentences Once you have researched, organized your information, and selected an organizational pattern, you are ready to compose your message. To compose a successful message, you must use effective sentences Being able to understand sentence structure and identify sentence types will help you write more effectively Read the following sentences, and then fill in the blanks. The presenter used visual aids to engage the audience. This is a simple sentence. The subject of the independent clause is presenter and the predicate verb e Once he reviewed fall sales, the store owner decided he needed to increase efforts to appeal to younger customers therefore, he hired a marketing consultant to develop a new strategy This is a compound-complex sentence. The subjects of the independent clauses are , and the predicate verbs are decided and hired During the composition process, focus on drafting clear sentences that avoid common sentence fauts t . from business e-mails, and identity the sentence f Chapter 5 Assignment Read the following excerpts from business e-mails, and identify the sentence faults. TED Thank you for taking the time to interview me for the program coordinator position. I enjoyed meeting everyone. And learning more about the company. calog fers This message contains a fragment ons ccess We will host focus groups on Thursday afternoon to hear from you firsthand, and we will summarize employee input for the CEO. Your participation is appreciated. enter to CENGAGE TED today! This message contains GRADE rn more You work in the Human Resources department of a large company and are asked to send a company-wide e-mail about an upcoming career development workshop. You have completed your first draft of the e-mail Read the draft below, and the answer the question that follows eedback The Human Resources department is happy to announce a career development workshop the workshop will be led by Joseph Pelletier. Joseph has 20 years of experience in career development training he will help you gain a clearer understanding of your career goals and will also discuss tools to work toward your career goals. The workshop will take place November 10 and 11 in the conference room nearest the parking lot on the third floor of the building. From 9:30a.m. in the morning to 5:30 pm in the evening unless goes longer or ends more quickly than expected. There will be coffee and tea in the morning, and then there will be lunch provided in the afternoon. Respond to this e-mail to sign up if you are interested in this career development workshop led by Joseph Pelletier. Because there . Anots a Successful Read the draft below, and then answer the question that follows. The Human Resources department is happy to announce a career development workshop the workshop will be led by Joseph Pelletier. Joseph has 20 years of experience in career development training he will help you gain a clearer understanding of your career goals and will also discuss tools to work toward your career goals. The workshop will take place November 10 and 11 in the conference room nearest the parking lot on the third floor of the building. From 9:30 a.m. In the morning to 5:30 p.m. In the evening unless it goes longer or ends more quickly than expected. There will be coffee and tea in the morning, and then there will be lunch provided in the afternoon. Respond to this e-mail to sign up if you are interested in this career development workshop led by Joseph Pelletier. Because there are only 40 spots. How could you improve this message? Check all that apply. Correct fragments. Use only complex sentences. Correct run-on sentences. Use only simple sentences. Reduce sentence lengths.

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Consider the following points to improve your message: Use only simple sentences, Fix the snippet Use only complex sentences, Correct the following sentences .

Consecutive sentences are formed when two or more independent sentences are accidentally combined or combined without proper punctuation. The original message did not contain any supplemental text and should not be changed.

In the sentence, "HR is pleased to announce a career development workshop led by Joseph Peltier," add a period after "workshop" to form two complete sentences. A compound clause contains both independent and dependent clauses. The original message already contains complex sentences and does not need to be changed.

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For whom, and why? 1) An airline charges a large person twice as much for a ticket because the person needs two seats 2) An airline charges last minute travelers a higher price to travel between two cities than people who bought their tickets three weeks in advance.3) A movie theater gives my child a student discount when I take him to the movies.4) A movie theater charges a lower price for matinee tickets that evening ticketsThe best answer isA. Only 2 and 3 are examples of price discrimination B.Only and examples of price discrimination C. Only 2 1 and 4 are examples of price discriminationD. Only 1 and 4 are examples of price discriminationE. No other answer is correct Concord Corporation's comparative balance sheets are presented below. Cash Accounts receivable Land Buildings Accumulated depreciation-buildings Total Accounts payable Common stock CONCORD CORPORATION Comparative Balance Sheets December 31 Retained earnings Total 2022 $14,600 21,600 20,500 70,200 (14,500) $112,400 $12,000 74,000 26,400 $112,400 2021 $10,300 23,900 25,900 70,200 (10,800) $119,500 $31,200 70,300 18,000 $119,500 Cash Flows from Operating Activities Net Income Adjustments to reconcile net income to Net Cash Provided by Operating Activities Depreciation Expense CONCORD CORPORATION Statement of Cash Flows For the Year Ended December 31, 2022 Loss on Disposal of Plant Assets Decrease in Accounts Receivable Decrease in Accounts Payable Net Cash Provided by Operating Activities $ 3,700 -5,400 2,300 -19,200 $ 22,900 -18,600 4,300 Cash Flows from Investing Activities Sale of Land Net Cash Provided by Investing Activities Cash Flows from Financing Activities Issuance of Common Stock Payment of Dividends Net Cash Used by Financing Activities Net Increase in Cash Cash at Beginning of Period Cash at End of Period eTextbook and Media $ 4,700 3,700 -14,500 4,700 LICH -10800 Please go to the Office of Management & Budget's website http://www.whitehouse.gov/omb/budget and select one of the fact sheets.Read through the fact sheet, and then answer the following:- Are the initiatives listed important to your state (New York)? If so, why? If not, why not?- Should your state use its federal funds for another program, organization, and/or services? (Preferred stockholder expected retum) You own 300 shares of Dalton Resources preferred stock, which currently sels for $38.32 per share and pays annual dividends of $2.50 per share a. What is your expected retum? b. If you require a return of 7 percent, given the current price, should you sell or buy more stock? a. Your expected return is percent. (Round to two decimal places) b. If you require a return of 7 percent, the value of the stock for you is $ Because the expected rate of return is preferred stock is and you should (Round to the nearest cent) your required rate of return or the intrinsic value, or because the current market price is the stock. (Select from the drop-down menus) $35.71, the Daton Resources The OPEC countries supply about 40% of the world's crude oil. Suppose that OPEC increases its oil production by 5%. Assume that no other oil suppliers change their production and that the price elasticity of demand for crude oil is-0:2. You predict that as a by result of the OPEC's increased production, its total revenue from oil will (increase/decrease) [Write your response here....] by [Type your answer here] % Applying the USC-CT Framework, develop a one page Memorandumregarding the Uniqlo case. Please break out each component of theframwork in your Memorandum. it is a full questionQUESTION 2 Professor Mohammed Ibrahim is a lecturer at the University of Professional Studies, Accra (UPSA). He is also a visiting lecturer at two universities in United States of America (USA). Durin Your investor promises you an investment opportunity that will yield a rate of return of 12% per year. He asks you to invest $10,000 now, and pay $7000 per year for 3 years starting 2 years from now. how you approach the Use of Funds, Sales Forecast and Break EvenAnalysis sections of the plan. an urn contains 12 balls identical in every respect except their color. there are 3 red balls, 7 green balls, and 2 blue balls. you draw two balls from the urn, but replace the first ball before drawing the second. find the probability that the first ball drawn is red and the second ball drawn is green. round to the nearest ten thousandth (4 decimal places). Find all the solutions to the congruence 21x 9 (mod165) The Imperial War Museum says that "The Holocaust was the systematic murder of Europe's Jews by the Nazis and their collaborators during the Second World War. This programme of targeted mass murder was a central part of the Nazis broader plans to create a new world order based on their ideology. " As Mrs. Gruwells students read the "The Diary of Anne Frank", how did they apply what happened to Anne in the Holocaust to their own lives? A: What is intertemporal price discrimination? full explanationB: Explain in detail with the help of your own example?full explanationC: Especially, explain why a profits maximizing monopoly can be better off if it can commit not to engage in intertemporal price discrimination.full explanation humans have, and have had in the past, great influence on the biological diversity in their surrounding environment as a result of: