The basic issues of inspection include all of the following except whether to inspect in a centralized or on-site location O at what points in the process inspection should occur what will be the total cost involved whether to inspect attributes or variables how much to inspect and how often

Answers

Answer 1

The basic issues of inspection include all of the following except: what will be the total cost involved. The correct option is C.

The other aspects of inspection that are important to consider are: a) whether to inspect in a centralized or on-site location, which involves determining the most efficient and effective method of inspection for the particular process; b) at what points in the process inspection should occur, as it is crucial to identify the key stages where inspection can prevent defects and ensure quality;

c) whether to inspect attributes or variables, which entails choosing the appropriate method to measure the characteristics of the product or process; and e) how much to inspect and how often, which requires determining the optimal frequency and intensity of inspections to maintain the desired level of quality without unnecessarily increasing costs or slowing down the process. The correct option is C.

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Complete question:

The basic issues of inspection include all of the following except

a. whether to inspect in a centralized or on-site location

b. at what points in the process inspection should occur

c. what will be the total cost involved

d. whether to inspect attributes or variables

e. how much to inspect and how often


Related Questions

What are monopolistic competition and oligopoly? Order the industries based on increasing market power and ability to set prices, starting with the highest.

Answers

However, there are differences between the two.In monopolistic competition, there are many firms selling similar but not identical products. Each firm has some degree of control over the price it charges, but there are low barriers to entry and exit in the market.

This means that new firms can enter the market easily, which keeps prices competitive. Examples of industries with monopolistic competition include restaurants, clothing stores, and hair salons.In contrast, oligopoly is a market structure in which a few firms dominate the market. These firms have significant control over the price of their products because there are high barriers to entry for new firms. Examples of industries with oligopoly include telecommunications, airlines, and automobile manufacturers.

Therefore, the order of industries based on increasing market power and ability to set prices, starting with the highest, would be as follows: 1. Monopolistic competition industries (restaurants, clothing stores, and hair salons)
2. Oligopoly industries (telecommunications, airlines, and automobile manufacturers)
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what is the maximum additional child tax credit for tax year 2022?

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The child tax credit enables eligible tax filers to lower their tax obligation by up to $2,000 per child for the tax years 2022 through 2025.The maximum additional child tax credit (ACTC) amount for tax year 2022 will depend on a number of factors, such as the taxpayer's income, number of qualifying children, and other eligibility criteria.

The ACTC is a refundable tax credit that can provide additional tax benefits to eligible taxpayers who have already claimed the Child Tax Credit (CTC) but still have a portion of the credit left unused. The ACTC is generally calculated as 15% of the taxpayer's earned income above $2,500, up to a maximum of $1,400 per qualifying child.

However, the actual amount of the ACTC may vary depending on various factors and can only be determined by referring to the latest IRS guidelines and regulations. It's always a good idea to consult with a tax professional or refer to the IRS website for the most up-to-date information on tax credits and deductions.

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Matt and Alicia created a firm that is a separate legal entity and will share ownership of that firm on a 75/25 basis. Which type of entity did they create if they have no personal liability for the firm's debts?



a. Limited partnership


b. Corporation


c. Sole proprietorship


d. General partnership


e. Public company

Answers

The correct answer is b. Corporation.

By creating a separate legal entity and sharing ownership on a 75/25 basis, Matt and Alicia have established a corporation.

In a corporation, the owners are called shareholders, and their liability is typically limited to their investment in the company. This means that their personal assets are generally protected from the firm's debts or liabilities. Corporations have a distinct legal identity separate from their owners, allowing them to enter into contracts, own assets, and be responsible for their own obligations.

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Q1. A fellow graduate tells you he made a mistake on the project. He would like to ask for your advice before confessing his manager. At the same time, another graduate overhears the talk. They ask why the error occured on what should have been a project.
What is the best sollution for you? Also choose the least sollution .
1. say that you agree with the other graduate's proposal. The error could have been easily avoided.
2. Try to remain impartial, but permit your collegue know he can come and talk to you later.
3. kindly ask the other graduate for some space so that you are able to talk privately with your collegue.

Answers

The best solution in this situation is option 3, kindly ask the other graduate for some space so that you can talk privately with your colleague, hence option 3) is correct

The best solution in this situation is option 3, kindly ask the other graduate for some space so that you can talk privately with your colleague. This approach allows you to address your colleague's concern and offer advice without involving others or potentially damaging your colleague's reputation. It is important to create a safe space for your colleague to discuss the issue and provide support while not compromising the integrity of the project. You can also encourage your colleague to take responsibility for the error and approach the manager with a plan for rectifying the mistake.

Option 1 is not recommended because it does not provide constructive advice or support for your colleague. It may also be perceived as taking sides, which can cause tension among team members.

Option 2 is a neutral approach, but it does not address the issue or provide any guidance for your colleague. It may also be interpreted as avoiding the problem, which can damage your relationship with your colleague.

Overall, it is important to handle this situation with empathy, professionalism, and a focus on resolving the issue and preventing future mistakes. Therefore option 3) is correct.

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a) why is tripre1 excluded from the model? what happens if you include it in the regression?

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Tripre1 may have been excluded from the model due to a variety of reasons, including high multicollinearity with other variables, lack of significant impact on the dependent variable, or violating assumptions of the regression model.

Including it in the regression may change the results of the analysis and lead to a different interpretation of the relationship between the independent and dependent variables. It is important to consider the rationale for exclusion and carefully assess the impact of including Tripre1 before making any changes to the regression model. Additionally, other factors such as sample size, data quality, and research objectives should be taken into account when determining the best approach for analyzing the data.


If you include tripref1 in the regression despite its potential multicollinearity issue, it may result in the following consequences:
1. Inflated standard errors: The standard errors of the coefficients associated with the correlated variables will increase, which can lead to a higher chance of Type II errors (failing to reject a false null hypothesis).
2. Unstable coefficients: The estimated coefficients for the correlated variables can become highly sensitive to small changes in the model or data, leading to unreliable results.
3. Difficulty in interpreting coefficients: When independent variables are highly correlated, it becomes challenging to determine the individual impact of each variable on the dependent variable.

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the instrument used to guarantee service performance between a government entity, a, using the service, and government entity b, providing the service, is most likely a:

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The instrument used to guarantee service performance between a government entity A, using the service, and government entity B, providing the service, is most likely a Service Level Agreement (SLA).

An SLA is a formal document outlining the expectations, responsibilities, and performance metrics for both parties involved in the service provision.

SLAs are essential in ensuring that the service provider (entity B) meets the agreed-upon standards in terms of quality, efficiency, and reliability. They define measurable performance indicators, such as response times, availability, and success rates, which allow entity A to assess whether the provided services meet their requirements.

Furthermore, SLAs often include provisions for regular communication, reporting, and reviews to foster collaboration and continuous improvement. In the context of government entities, this is particularly important to ensure transparency, accountability, and optimal use of public resources.

In case the service provider fails to meet the specified performance criteria, SLAs may also outline remedies or penalties. This could include financial compensation, service credits, or adjustments to the service provisions.

In summary, a Service Level Agreement is the most likely instrument used to guarantee service performance between two government entities, providing a framework for establishing expectations, monitoring performance, and facilitating collaboration to ensure the effective delivery of services.

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Shaftel Ready Mix is a processor and supplier of concrete, aggregate, and rock products. The company operates in the intermountain western United States. Currently, Shaftel has 14 cement-processing plants and a labor force of more than 375 employees. With the exception of cement powder, all materials (e.g., aggregates and sand) are produced internally by the company. The demand for concrete and aggregates has been growing steadily nationally. In the West, the growth rate has been above the national average. Because of this growth, Shaftel has more than tripled its gross revenues over the past 10 years.
Of the intermountain states, Arizona has been experiencing the most growth. Processing plants have been added over the past several years, and the company is considering the addition of yet another plant to be located in Scottsdale. A major advantage of another plant in Arizona is the ability to operate year round, a feature not found in states such as Utah and Wyoming.
In setting up the new plant, land would have to be purchased and a small building constructed. Equipment and furniture would not need to be purchased; these items would be transferred from a plant that opened in Wyoming during the oil boom period and closed a few years after the end of that boom. However, the equipment needs some repair and modifications before it can be used. The equipment has a book value of $200,000, and the furniture has a book value of $30,000. Neither has any outside market value. Other costs, such as the installation of a silo, well, electrical hookups, and so on, will be incurred. No salvage value is expected. The summary of the initial investment costs by category is as follows:
After reviewing these data, Karl Flemming, vice president of operations, argued against the proposed plant. Karl was concerned because the plant would earn significantly less than the normal 8.3% return on sales. All other plants in the company were earning between 7.5 and 8.5% on sales. Karl also noted that it would take more than 5 years to recover the total initial outlay of $582,000. In the past, the company had always insisted that payback be no more than 4 years. The company's cost of capital is 10%. Assume that there are no income taxes.
. Prepare a variable-costing income statement for the proposed plant.
Shaftel Ready Mix
Income Statement
For the Proposed Plant
$
$
Less fixed expenses:
$
$
Compute the ratio of net income to sales. Enter as a percent, rounded to two decimal places.
%
Is Karl correct that the return on sales is significantly lower than the company average?
SelectYesNoCorrect 2 of Item 2
2. Compute the payback period for the proposed plant. Round to two decimal places.
years
Is Karl right that the payback period is greater than 4 years?
SelectYesNoCorrect 4 of Item 2
3. Compute the NPV and the IRR for the proposed plant. Round present value calculations and final NPV to the nearest dollar.
NPV $
IRR SelectThe IRR is between 16% and 18%The IRR is between 18% and 20%The IRR is between 20% and 25%The IRR is between 25% and 30%Correct 6 of Item 2
Would your answer be affected if you were told that the furniture and equipment could be sold for their book values?
SelectYesNoCorrect 7 of Item 2
If your answer would be affected if you were told that the furniture and equipment could be sold for their book values, repeat the analysis with this effect considered. If not, leave the entry boxes blank. Round present value calculations and final NPV to the nearest dollar.
NPV $
IRR SelectThe IRR is between 12% and 14%The IRR is between 14% and 15%The IRR is between 15% and 16%Correct 9 of Item 2
4. Compute the cubic yards of cement that must be sold for the new plant to break even. Round your answer to the nearest whole number.
cubic yards
Using this break-even volume, compute the NPV and the IRR. Round present value calculations and final NPV to the nearest whole dollar.
NPV $
IRR SelectThe IRR is between 9% and 10%The IRR is between 11% and 12%The IRR is between 10% and 11%Correct 12 of Item 2
Would the investment be acceptable?
SelectYesNoCorrect 13 of Item 2
*CONCEPTUAL QUESTION*: If so, explain why an investment that promises to do nothing more than break even can be viewed as acceptable.
5. Compute the volume of cement that must be sold for the IRR to equal the firm's cost of capital. Round your answer to the nearest whole number.
cubic yards
Using this volume, compute the firm's expected annual income. Round your answer to the nearest whole dollar.
$per year

Answers

To prepare a variable-costing income statement, we need to determine the variable costs per unit.

From the data given, we can calculate the variable cost per unit as follows:

Variable cost per unit = (Variable expenses - Depreciation) / Number of units produced

= ($6,840 + $5,000 + $7,200 + $9,000 + $17,500 + $8,000 - $23,000) / 250,000

= $20.68

Then, we can prepare the income statement as follows:

Shaftel Ready Mix Income Statement

For the Proposed Plant

Sales (250,000 cubic yards at $44 per cubic yard) $11,000,000

Variable costs (250,000 cubic yards at $20.68 per cubic yard) $5,170,000

Contribution margin $5,830,000

Fixed expenses:

Depreciation $23,000

Salaries and wages $1,500,000

Rent $60,000

Property taxes $25,000

Insurance $10,000

Utilities $12,000

Total fixed expenses $1,630,000

Net income $4,200,000

[tex]Ratio of net income to sales = (Net income / Sales) * 100%[/tex]

= ($4,200,000 / $11,000,000) * 100%

= 38.18%

Karl is correct that the return on sales is significantly lower than the company average, which is between 7.5% and 8.5%.

To compute the payback period, we need to calculate the cumulative net cash inflows for each year until the initial investment is recovered. The calculation is as follows:

Year 1: $4,200,000

Year 2: $4,200,000

Year 3: $4,200,000

Year 4: $4,200,000

Year 5: $4,200,000

Year 6: $2,580,000

The payback period is the point at which the cumulative net cash inflows equal the initial investment. In this case, the payback period is between year 5 and year 6.

Karl is correct that the payback period is greater than 4 years.

To calculate the NPV and IRR, we need to discount the net cash inflows at the company's cost of capital, which is 10%. The calculation is as follows:

Year 0: -$582,000

Year 1: $4,200,000 / 1.1 = $3,818,182

Year 2: $4,200,000 / 1.1^2 = $3,471,074

Year 3: $4,200,000 / 1.1^3 = $3,155,522

Year 4: $4,200,000 / 1.1^4 = $2,868,656

Year 5: $4,200,000 / 1.1^5 = $2,607,870

Year 6: $2,580,000 / 1.1^6 = $1,630,156

NPV = -$582,000 + $3,818,182 + $3,471,074 + $3,155,522 + $2,868,656 + $2,607,870 + $1,630,156

= $14,951

Using the NPV formula, we can calculate the IRR as follows:

[tex]NPV = 0 = -$582,000 + $4,200,000 / (1 + IRR)^1 + $4[/tex]

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a product owner came across a product idea that is unlikely to be prioritized for work in the near future. how should the product owner deal with this issue?

Answers

It is important to manage product ideas that are unlikely to be prioritized for work in the near future. Here are some steps that the product owner can take:

1)Document the idea

2)Share the idea

3)Prioritize

4)Monitor

As a product owner, it is important to manage product ideas that are unlikely to be prioritized for work in the near future. Here are some steps that the product owner can take:

Document the idea: Write down the product idea, along with any relevant information or research that was done to support it. This will help ensure that the idea is not forgotten and can be revisited at a later time.

Share the idea: Share the product idea with stakeholders, such as other members of the product team or key customers, to gather feedback and insights. This can help validate the idea and make it more compelling for prioritization in the future.

Prioritize: Prioritize the product idea against other ideas based on factors such as strategic alignment, business value, and customer impact. This can help determine when the idea should be worked on and how much effort should be allocated to it.

Monitor: Continuously monitor the product idea and its potential impact on the business. As the business landscape changes or new opportunities arise, the product owner may need to revisit the idea and adjust its priority accordingly.

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A share of preferred stock has equal quarterly dividends of $5 and this is expected to continue forever. The next dividend is 3 months from now. Given the risk of this stock, investors required a return of 6% EAR, however a surprising negative economic news announcement was just released, investors have become more risk averse and they now require a return of 9% EAR for this stock. By what percentage did this stock's price change due to the change in the required return? a. -50.0000% b. -33.3333% c. -32.6213% d. 32.6213% e. 33.3333%

Answers

The price of the stock decreased by 33.33% due to the increase in the required rate of return from 6% to 9% EAR. Therefore, the answer is (e) 33.3333%.

The price of a preferred stock is calculated as the present value of its future dividend payments, discounted at the required rate of return. Given the quarterly dividend payment of $5, the annual dividend payment is $20 ($5 * 4), and the present value of perpetuity can be calculated using the perpetuity formula as follows: Present value of perpetuity = Annual dividend payment / Required rate of return At the initial required rate of return of 6% EAR, the present value of perpetuity is: Present value of perpetuity = $20 / 0.06 = $333.33 When the required rate of return increases to 9% EAR, the present value of perpetuity becomes: Present value of perpetuity = $20 / 0.09 = $222.22 The percentage change in the stock's price due to the change in the required return can be calculated using the formula: Percentage change in price = (New price - Old price) / Old price * 100% Substituting the values, we get: Percentage change in price = ($222.22 - $333.33) / $333.33 * 100% = -33.33%. The price of the stock decreased by 33.33% due to the increase in the required rate of return from 6% to 9% EAR. Therefore, the answer is (e) 33.3333%.

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You buy an 7-year $1,000 par value bond today that has a 5.30% yield and a 5.30% annual payment coupon. In 1 year promised yields have risen to 6.30%. Your 1-year holding-period return was- . 0 -2.73% 0.43% 0.85% 0-4.87%

Answers

Therefore, your holding-period return for one year is 0.43%, which is lower than the initial yield of 5.30%. This is because promised yields have risen, causing the bond's value to decrease.

The holding-period return refers to the return an investor earns on an investment during the period they hold it. In this case, you bought a 7-year $1,000 par value bond with a 5.30% yield and a 5.30% annual payment coupon. This means that the bond will pay you $53 annually.
After one year, promised yields have risen to 6.30%. This means that new bonds issued are paying a higher yield of 6.30%. As a result, the value of your bond has decreased because it is now paying a lower yield compared to the new bonds in the market.
To calculate the holding-period return, we need to take into account the annual payment coupon and the change in the bond's value. The annual payment coupon of $53 remains the same, but the bond's value has decreased. Assuming that you hold the bond for only one year, the holding-period return is calculated as follows:
Holding-Period Return = (Annual Payment + Change in Value) / Initial Investment
Annual Payment = $53
Change in Value = (1,000 * 5.30%) - (1,000 * 6.30%) = -$10
Initial Investment = $1,000
Holding-Period Return = ($53 - $10) / $1,000 = 0.43%
Therefore, your holding-period return for one year is 0.43%, which is lower than the initial yield of 5.30%. This is because promised yields have risen, causing the bond's value to decrease. However, this holding-period return is still positive, which means that you have earned a return on your investment despite the rise in yields.

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what is the truck’s estimated residual value (hint: recall the purchase cost of the truck is $240,000)?

Answers

The estimated residual value of the truck is $0.

What is the truck's residual value ?

To estimate the residual value of the truck, we need to know the expected depreciation rate and the useful life of the truck. Let's assume that the truck has a useful life of 5 years and a straight-line depreciation rate of 20% per year.

Calculate the depreciation expense per year

Depreciation expense = (Purchase cost of truck - Estimated residual value) / Useful life

Depreciation expense = ($240,000 - Estimated residual value) / 5

Calculate the estimated residual value

Estimated residual value = Purchase cost of truck - (Depreciation expense x Useful life)

Estimated residual value = $240,000 - (0.20 x $240,000 x 5)

Estimated residual value = $240,000 - $240,000

Estimated residual value = $0

Based on the assumptions we made, the estimated residual value of the truck is $0. This means that after 5 years of use, the truck's value will have depreciated to the point where it is essentially worthless. However, it's important to note that this is just an estimate, and the actual residual value of the truck may be different based on factors such as market conditions, maintenance, and usage.

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Given that insurance companies aim to offset risk by setting premiums high enough to cover the losses of the highest-risk members, how would you expect this to affect low-risk insurance buyers? a. They may be discouraged from buying insurance at all. b. They will not be affected since they have no information about the risk levels of other insurance buyers c. If they buy insurance, they will pay a greater amount in premiums than what they get back in payouts. d. They will be rewarded for being low-risk by receiving a discount on what they're asked to pay for coverage

Answers

C. If low-risk insurance buyers decide to purchase insurance, they will likely pay more in premiums than what they would receive in payouts.

This is because insurance companies need to set premiums at a level that covers the potential losses of the highest-risk members.

Therefore, low-risk buyers are essentially subsidizing the coverage for the high-risk members. This can be seen as an unfair practice, as low-risk buyers are not receiving the full benefits of their coverage. However, it is important to note that having insurance can still provide protection and peace of mind, even if the premiums paid outweigh the payouts received.

Insurance companies aim to offset risk by setting premiums high enough to cover the losses of the highest-risk members. As a result, low-risk insurance buyers may end up paying higher premiums to cover the costs of high-risk members. Consequently, they may pay more in premiums than they receive in payouts, given their lower likelihood of filing claims.

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pepsico’s diversification strategyin 2018: will the company’s newbusinesses restore its growth?

Answers

PepsiCo is a global food and beverage company that operates in over 200 countries. The company has a long history of diversification, with a portfolio that includes iconic brands such as Pepsi, Gatorade, Frito-Lay, Quaker Oats, and Tropicana.

In 2018, PepsiCo announced a new diversification strategy aimed at restoring its growth. The strategy involves expanding the company's portfolio to include more healthy snack options, as well as investing in e-commerce and digital capabilities.

One of the key initiatives under this strategy is the acquisition of SodaStream, a maker of at-home carbonated beverage machines. The acquisition is part of PepsiCo's efforts to tap into the growing demand for healthier beverage options and reduce its reliance on sugary soft drinks.

Another key initiative is the launch of Bubly, a sparkling water brand aimed at competing with popular brands such as LaCroix and Perrier. Bubly has been successful in the US market, and PepsiCo plans to expand the brand globally.

PepsiCo is also investing in e-commerce and digital capabilities, such as the acquisition of Bare Foods, a maker of fruit and vegetable snacks, and the launch of a direct-to-consumer website for its snacks business.

Overall, PepsiCo's diversification strategy in 2018 has shown promising results. The company's revenue and profits have grown steadily since the implementation of the strategy, driven in part by the success of Bubly and the expansion of the company's healthy snack options.

However, it's important to note that diversification can be a double-edged sword. While it can help companies reduce their reliance on a single product or market, it can also spread a company's resources thin and lead to a lack of focus. PepsiCo will need to continue to carefully manage its diversification efforts to ensure they are generating long-term growth and profitability.

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Expected volume of output, degree of equipment flexibility, and variety of products/services offered are the main demand factors impacting process selection. O True O False

Answers

True. The expected volume of output, degree of equipment flexibility, and variety of products/services offered are key demand factors that impact process selection in operations management.

Expected volume of output refers to the estimated amount of products or services that a company is expected to produce or offer within a given period. This factor impacts the process selection as it determines the type of process that will be most efficient in meeting the required output volume. For instance, high-volume production requires a different process from low-volume production.

The degree of equipment flexibility refers to the extent to which equipment can be adjusted or modified to suit different production needs. This factor impacts process selection as it determines the ability of the company to adapt to changes in demand, especially when there is a need to produce different products.

Finally, the variety of products or services offered by a company also impacts process selection. A company that offers a wide variety of products or services will require a process that can handle diverse product types. This factor influences the choice of process in terms of the ability to handle different products without compromising efficiency.

In conclusion, the expected volume of output, degree of equipment flexibility, and variety of products/services offered are critical demand factors that should be considered in the process selection process.

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Coronado, Inc. issued 10200 shares of stock at a stated value of $7 per share. The total issue of stock sold for $13 per share. The journal entry to record this transaction would include a
debit to Cash for $71400.
credit to Common Stock for $71400.
credit to Common Stock for $132600.
credit to Paid-in Capital in Excess of Par for $132600.

Answers

The correct answer is credit to Common Stock for $71400 and credit to Paid-in Capital in Excess of Par for $132600. The correct answer is option c.

When a corporation issues stock, it can either issue it at par value or at a price above par value. In this case, the stated value of the stock is $7 per share, but it was sold for $13 per share, which is above par value. Therefore, the difference between the selling price and the par value is called "paid-in capital in excess of par."

The journal entry to record the issuance of the 10200 shares of stock would be:

Debit Cash for $132,600 (10200 shares x $13 per share)

Credit Common Stock for $71,400 (10200 shares x $7 per share)

Credit Paid-in Capital in Excess of Par for $61,200 ($132,600 - $71,400)

This entry reflects the cash received from the sale of stock, the par value of the stock issued, and the excess of the selling price over the par value.

The correct answer is option c.

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Which of the following best describes the accounting for costs benefitting more than one period?
a. Accounting standards requires companies to estimate the effective tax rate expected to be applicable for the full fiscal year and to use that rate in computing income taxes in an interim period.
b. Companies must estimate the effective tax rate for all interim reporting periods independently.
c. Companies are required to use the statutory tax rate for each interim reporting period and to adjust to the effective tax rate at the end of the year.
d. The tax rate used for interim reporting periods should not reflect tax benefits resulting from investment tax credits, foreign tax rates, and the like, unless those benefits are certain.

Answers

The appropriate accounting for costs benefitting more than one period is to allocate those costs to the periods in which they provide benefits, using a systematic and rational method. None of the options provided describes the accounting for costs benefitting more than one period.

When a company incurs costs that will benefit the company over multiple periods, it must determine how to allocate those costs to each period. This is typically done using one of two methods: the straight-line method or the accelerated method.

Under the straight-line method, the company evenly allocates the cost over the expected periods that will benefit from the cost.

For example, if a company purchases a machine that it expects to use for 10 years, it would allocate the cost of the machine evenly over those 10 years. This method is simple and easy to understand, but it may not accurately reflect the actual benefit received in each period.

Therefore, none of the options provided describes the accounting for costs benefitting more than one period.

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a valuation allowance is needed if _____ that some portion or all of a deferred tax asset will not be realized.

Answers

A valuation allowance is needed if management determines that some portion or all of a deferred tax asset will not be realized.

The need for a valuation allowance arises when a company has DTAs on its balance sheet, which represent the future tax benefits that a company expects to receive based on past transactions and events.

However, the realization of these future tax benefits is not guaranteed, and companies must consider all available evidence when assessing whether a valuation allowance is needed.

Factors that could trigger the need for a valuation allowance include recent losses, uncertainty about future profitability, changes in tax laws, or the expiration of tax carryforwards.

If the evidence indicates that it is more likely than not that some or all of the DTAs will not be realized, then a valuation allowance is required to reduce the carrying value of the asset.

Overall, a valuation allowance is needed to ensure that a company's financial statements accurately reflect the economic reality of its deferred tax assets and liabilities.

By recognizing the potential risks associated with DTAs, companies can provide investors and other stakeholders with a more accurate picture of their financial health and future prospects.

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If the sales price per unit increases because of competition but the cost structure remains the same the degree of combined leverage rises All of the options are true. the breakeven point declines the degree of financial leverage rises

Answers

If the sales price per unit increases because of competition but the cost structure remains the same, then the degree of combined leverage rises. This means that the company's fixed costs remain the same, but its sales revenue is increasing. Therefore, the company's operating leverage is increasing, resulting in higher combined leverage.

In this scenario, the company's breakeven point would decline because the increase in sales price per unit means that fewer units would need to be sold to cover the fixed costs. This would improve the company's profitability and increase its degree of financial leverage, as the company would be earning more profit for each dollar of debt it has.
However, it is important to note that an increase in competition can also lead to a decrease in sales volume, which could negatively impact the company's overall financial performance. Therefore, it is important for companies to have a strong competitive advantage and adapt to changes in the market to maintain profitability and sustainable growth.
Overall, an increase in sales price per unit due to competition can have both positive and negative effects on a company's financial leverage, depending on how it affects the company's sales volume and profitability.

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A bank has determined that the marginal cost of raising funds for a new loan is 3.5 percent and that the nonfunds operating costs are 3.20 percent. They have also estimated the default risk on this particular loan is 1.45 percent and that they want a profit margin of 1.20 percent. Using the cost-plus loan pricing method, what should the interest rate be on the loan?

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The cost-plus loan pricing method involves adding the costs and desired profit margin to determine the interest rate on the loan.

In this case, the bank has determined the following:

Marginal cost of raising funds = 3.5%

Non funds operating costs = 3.20%

Default risk = 1.45%

Desired profit margin = 1.20%

To find the interest rate, we need to add these costs and profit margin together:

Interest rate = Marginal cost + Nonfunds operating costs + Default risk + Desired profit margin

Interest rate = 3.5% + 3.20% + 1.45% + 1.20%

Interest rate = 9.35%

Therefore, the interest rate on the loan using the cost-plus loan pricing method should be 9.35%.

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following are selected ratios for logitech international sa for the company's 2019 fiscal year. compute and interpret the altman z-score.

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Interpreting the Altman Z-Score, a score of 2.975 indicates that Logitech International SA is in the "safe" zone, with a low probability of bankruptcy.

The Altman Z-Score is a tool used to predict the likelihood of a company's bankruptcy. To compute the Altman Z-Score for Logitech International SA, we need to use the following formula:

Z-Score = 1.2A + 1.4B + 3.3C + 0.6D + 1.0E
Where:
A = Working Capital/Total Assets
B = Retained Earnings/Total Assets
C = Earnings Before Interest and Taxes/Total Assets
D = Market Value of Equity/Total Liabilities
E = Sales/Total Assets
Using the selected ratios for Logitech International SA in 2019, we can compute the Altman Z-Score as follows:
A = (1,203,434 - 891,357)/2,696,053 = 0.118
B = 452,635/2,696,053 = 0.168
C = 307,274/2,696,053 = 0.114
D = 3,867,902/554,409 = 6.980
E = 2,792,564/2,696,053 = 1.032
Z-Score = 1.2(0.118) + 1.4(0.168) + 3.3(0.114) + 0.6(6.980) + 1.0(1.032) = 2.975
Interpreting the Altman Z-Score, a score of 2.975 indicates that Logitech International SA is in the "safe" zone, with a low probability of bankruptcy. Generally, a Z-Score of 2.7 or higher is considered safe, while a score of 1.8 or lower indicates a high probability of bankruptcy. Therefore, based on the Altman Z-Score, Logitech International SA is in a financially stable position.

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Question 1: $100 This practice involves purchasing components rather than producing them in house.
Define ___ - stock-out costs - the outsourcing - the two-bin inventory system - the the seasonal demand - total ordering costs

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The practice mentioned in the question is called outsourcing. Outsourcing refers to the practice of purchasing components or goods from external suppliers rather than producing them in-house.

Stock-out costs refer to the costs incurred when a company runs out of stock and is unable to fulfil customer orders. These costs can include lost sales, reduced customer satisfaction, and damage to the company's reputation. The two-bin inventory system is a method of inventory management where two bins are used for each inventory item. One bin is used for current stock, while the other bin is used as a backup or safety stock. When the current bin runs out of stock, the backup bin is used to fulfil orders, and a reorder is placed for the item.

Seasonal demand refers to the fluctuations in demand for a product or service throughout the year. Seasonal demand can be influenced by factors such as weather, holidays, and cultural events. Total ordering costs refer to the costs associated with ordering inventory from suppliers. These costs can include the cost of placing an order, the cost of transportation or shipping, and the cost of processing and receiving the order.

In the context of outsourcing, a company may choose to outsource certain components to external suppliers to reduce stock-out costs and better manage seasonal demand. The two-bin inventory system can also be used to manage inventory levels and reduce the risk of stock-outs. However, companies must also consider the total ordering costs associated with outsourcing and determine whether the benefits outweigh the costs.

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In 2009 , you purchased a $1,000 par value corporate bond with an interest rate of 6 percent. Today, comparable bonds are paying 5.50 percent. What is the approximate dollar price for which you could sell your bond? (Do not round intermediate calculations. Round your answer to 2 decimal places.)

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If today's comparable bonds are paying 5.50 percent then we could sell the bond for approximately $1,090.91.

To calculate the approximate dollar price for which you could sell your 2009 corporate bond, we need to first find the new price by comparing the bond's original interest rate (6%) with the current market interest rate for comparable bonds (5.50%).

To do this, we will use the formula: New price = (Old interest rate / Current interest rate) * Par value

New price = (0.06 / 0.055) * $1,000
New price = 1.0909 * $1,000
New price = $1,090.91

So, you could sell your bond for approximately $1,090.91.

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Given that most individuals can quickly identify medical errors that have happened to them, a friend, or a family member, why does the US public seem so reluctant to accept that medical errors constitute a threat to the quality of their health care?

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Medical errors are a serious problem that can lead to negative outcomes for patients, including injury, disability, and even death.

Despite this, many people seem reluctant to accept that medical errors are a real threat to the quality of their healthcare. One reason for this may be that people often view healthcare providers as infallible and assume that they always know what they are doing. When errors occur, patients may blame themselves or feel that they have done something wrong, rather than acknowledging that the error was caused by a mistake made by a healthcare provider.
Another reason why people may be reluctant to accept the reality of medical errors is that there is often a lack of transparency in healthcare. Healthcare providers may be hesitant to admit when they have made a mistake, and patients may not always be aware of the mistakes that have been made. This lack of transparency can make it difficult for patients to fully understand the risks and benefits of the treatments they are receiving, and may lead to a lack of trust in the healthcare system as a whole.

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during a project, if items were not in the scope of work but the owner wants the work done, a _____ is issued. task sheet call board change order vendor check list punch list

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When items are not originally included in the scope of work for a project, but the owner decides that they want the work to be completed, a change order is issued.

A change order is a document that outlines the modifications to the original scope of work and the associated costs. It also includes a timeline for completion and any other relevant details. Change orders are typically used when the owner requests additional work, modifications, or changes to the project, and they help to ensure that everyone is on the same page about what work needs to be done and how much it will cost. Vendors may need to be notified of the change order so that they can provide any necessary materials or services. In short, a change order is a way to formally document and manage any changes to the scope of work in a project.

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Phillip is an experienced HR manager at UPMC. In examining the content of a candidate's application form for a critical care nursing position, he knows he will definitely need to perform a background check all of the following information except:Group of answer choicesApplicant's employment at West Penn Health SystemsApplicant's claim to be a member of a protected classApplicant's previous job title of ER Nurse PractitionerApplicant's claim to have a master's degree in nursing from Michigan State University

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As an experienced HR manager at UPMC, Phillip will need to verify important information related to a candidate's qualifications for a critical care nursing position.

When examining the content of the application form, he will need to perform a background check on the following information:

1. Applicant's employment at West Penn Health Systems - to confirm work history and any relevant experience.
2. Applicant's previous job title of ER Nurse Practitioner - to verify their claimed expertise and role-specific knowledge.
3. Applicant's claim to have a master's degree in nursing from Michigan State University - to ensure they have the necessary education to perform the job duties.

However, Phillip does not need to perform a background check on the applicant's claim to be a member of a protected class. Membership in a protected class is related to the individual's personal characteristics such as race, gender, or age, and should not be considered when evaluating a candidate's qualifications for a position.

Instead, the hiring process should focus on verifying the applicant's work history, experience, and education to determine their suitability for the role.

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As an HR manager, Phillip must perform a background check on the candidate's application form to ensure that the information provided is accurate and truthful.

However, he should not consider the applicant's claim to be a member of a protected class while performing the background check. Protected classes include race, color, religion, national origin, sex, age, disability, and genetic information, and should not be considered in employment decisions. All other information, such as the applicant's previous employment at West Penn Health Systems, previous job title as an ER Nurse Practitioner, and claim to have a master's degree in nursing from Michigan State University, are relevant and should be verified through the background check process.

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explain eight steps that an auditor follows when understanding internal controls at the transaction level and developing an audit strategy

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When an auditor is tasked with understanding internal controls at the transaction level and developing an audit strategy, there are eight key steps they typically follow. These are:

1. Determine the audit objectives: The auditor must understand the purpose of the audit and the specific goals they are trying to achieve.

2. Identify significant accounts and transactions: The auditor needs to identify which accounts and transactions are most important to the financial statements and therefore require the most scrutiny.

3. Understand the control environment: The auditor must analyze the company's internal control environment, including the tone at the top, policies and procedures, and management's oversight.

4. Identify and assess key controls: The auditor needs to identify which controls are most important in preventing or detecting material misstatements and assess their effectiveness.

5. Test controls: The auditor must test the key controls identified in step 4 to ensure they are working as intended.

6. Identify control deficiencies: If any control deficiencies are identified during testing, the auditor needs to determine their impact on the financial statements and report them to management.

7. Develop an audit plan: Based on the results of steps 1-6, the auditor must develop an audit plan that outlines the scope, timing, and nature of the audit procedures to be performed.

8. Communicate results: Finally, the auditor needs to communicate their findings to management, including any control deficiencies identified and recommendations for improvement.

By following these eight steps, the auditor can gain a thorough understanding of the company's internal controls at the transaction level and develop an effective audit strategy that meets the audit objectives and identifies any potential issues that could impact the accuracy of the financial statements.

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The transaction level and developing an audit strategy.

Identify the relevant control objectives

Understand the control environment

Identify the control activities:

Evaluate the design of the controls

Test the operating effectiveness of the controls

Consider the impact of IT

Determine the extent of reliance on controls

Develop an audit strategy

Identify the relevant control objectives: The first step for an auditor is to understand the objectives of the internal control system relevant to the audit. These objectives can vary depending on the nature of the business and the risks involved. For example, the control objectives for a financial institution may differ from those of a manufacturing company.

Understand the control environment: The auditor needs to gain an understanding of the control environment in which the controls operate. This includes the organization's culture, management style, and internal policies and procedures.

Identify the control activities: The next step is to identify the specific control activities in place to achieve the relevant control objectives. This may include automated controls, manual procedures, or a combination of both.

Evaluate the design of the controls: The auditor needs to evaluate the design of the controls to determine if they are appropriately designed to achieve the control objectives. This involves considering the nature of the transactions and whether the controls are operating effectively.

Test the operating effectiveness of the controls: The auditor needs to test the operating effectiveness of the controls to determine if they are operating as intended. This may involve performing a walkthrough of the control process or testing a sample of transactions.

Consider the impact of IT: The auditor needs to consider the impact of IT on the control environment and the controls in place. This may involve testing automated controls and assessing the reliability of the IT system.

Determine the extent of reliance on controls: Based on the evaluation of the design and operating effectiveness of the controls, the auditor needs to determine the extent of reliance on the controls. This may include identifying areas where the controls are weak or ineffective and developing alternative audit procedures.

Develop an audit strategy: Finally, the auditor needs to develop an audit strategy based on the evaluation of the controls. This may involve modifying the audit approach or developing additional audit procedures to address identified risks or control weaknesses.

Overall, understanding internal controls at the transaction level and developing an audit strategy requires a detailed and systematic approach to ensure that the audit is comprehensive and effective.

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A laboratory within Bayer is considering the five indivisible investment proposals below to further upgrade their diagnostic capabilities to ensure continued leadership and state-of-the-art performance. The laboratory uses a 10-year planning horizon, has a MARR of 10%, and a capital limit of $1,000,000. For the original opportunity statement: a. Which alternatives should be selected to form the optimum portfolio for the lab? b. What is the present worth for the optimum investment portfolio? c. What is the IRR for the portfolio?

Answers

To determine the optimum portfolio for the laboratory, we need to evaluate the investment proposals based on their present worth and select the combination that maximizes the present worth while staying within the capital limit.

Without the specific details of the investment proposals, it is not possible to calculate the present worth, IRR, or determine the optimum portfolio. To proceed with the analysis, we would need information such as the initial cost, expected cash flows, and timing for each investment proposal.

Once we have these details, we can calculate the present worth of each proposal by discounting the cash flows to their present values using the MARR of 10%. The present worth represents the net value of the investment over the 10-year planning horizon.

To form the optimum portfolio, we would need to consider the capital limit of $1,000,000. We can select a combination of investment proposals that maximizes the present worth while ensuring that the total cost of the selected proposals does not exceed the capital limit.

Additionally, the IRR (Internal Rate of Return) for the portfolio can be calculated to assess the overall return on the combined investments. The IRR represents the discount rate at which the net present value of the investment becomes zero.

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A soybean farmer produces beans for soybean meal and soybean oil. She has fixed costs of $500 and variable costs of X On her X acres, she produces 50X pounds for meal and 100X pounds of for oil. The price she receives for meal and oil are $.55/pound and $1.00/pound, respectively. How many acres should she plant to maximize profit and what will that profit be?

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To maximize profit, the soybean farmer should plant the number of acres that will generate the highest profit margin.

To determine the number of acres the farmer should plant, we need to calculate the total revenue and total cost for each acre and then find the acreage that results in the highest profit.

Total revenue for each acre of soybeans can be calculated by multiplying the pounds of soybean meal and oil produced per acre by their respective prices.

Revenue per acre = (50X pounds of meal x $0.55/pound) + (100X pounds of oil x $1.00/pound)
Revenue per acre = $27.50X + $100X
Revenue per acre = $127.50X

Total cost for each acre can be calculated by adding the fixed cost of $500 to the variable cost of X.

Cost per acre = $500 + X

To determine the profit per acre, we subtract the total cost from the total revenue.

Profit per acre = (Revenue per acre) - (Cost per acre)
Profit per acre = ($127.50X) - ($500 + X)
Profit per acre = $126.50X - $500

To find the number of acres that will generate the highest profit, we need to find the derivative of the profit equation and set it equal to zero.

d/dX (Profit per acre) = 126.50 - 0 = 0

Solving for X, we get:

126.50X - $500 = 0
126.50X = $500
X = 3.95

Therefore, the soybean farmer should plant approximately 3.95 acres to maximize profit. To calculate the profit, we plug X into the profit equation:

Profit per acre = $126.50(3.95) - $500
Profit per acre = $498.68 - $500
Profit per acre = -$1.32

This means that the farmer will have a loss of $1.32 per acre. Therefore, she may want to consider other factors such as market demand and competition before deciding to plant the maximum number of acres.

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what is the purpose of the international monetary fund and the world bank

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The International Monetary Fund (IMF) and the World Bank are two of the most prominent international organizations tasked with promoting economic growth and development worldwide.

The IMF primarily focuses on maintaining financial stability in the global economy by providing loans to member countries experiencing balance of payments difficulties. The organization also provides policy advice and technical assistance to help countries manage their economies more effectively.



On the other hand, the World Bank primarily aims to reduce poverty and support economic development by providing loans, grants, and other forms of financial and technical assistance to member countries. The World Bank works with governments, private sector entities, and civil society organizations to support projects that promote sustainable development and social inclusion.


Both the IMF and the World Bank play crucial roles in maintaining economic stability and promoting development worldwide. While their mandates and areas of focus may differ slightly, both organizations are committed to addressing economic challenges and fostering sustainable growth in a rapidly changing global economy.

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If a project manager believes in a reactive rather than proactive risk management approach, he / she is using:
Acceptance / Assumption
Avoidance
Control / mitigation
transfer

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If a project manager believes in a reactive rather than proactive risk management approach, he/she is essentially using the acceptance/assumption approach. This approach involves acknowledging potential risks but not taking any proactive steps to address or mitigate them.

The project manager essentially accepts that the risks may occur and assumes that they will be able to handle them as they arise. This approach is not considered the best practice in risk management because it can lead to unexpected issues that could have been avoided. By not taking proactive steps to identify and mitigate risks, the project manager is essentially gambling on the success of the project. Additionally, this approach can result in increased costs, delays, and a negative impact on the project's quality.

On the other hand, a proactive approach to risk management involves identifying potential risks, assessing their impact, and taking steps to mitigate them before they occur. This may include avoidance, control, or transfer of risks, depending on the nature and severity of the risk. By taking a proactive approach, project managers can minimize the impact of risks, improve project outcomes, and ultimately increase the likelihood of project success.

In summary, project managers who believe in a reactive risk management approach are essentially accepting and assuming the risks associated with the project, rather than taking proactive steps to mitigate them. A proactive approach to risk management is generally considered the best practice and can lead to improved project outcomes.

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