View Policies Current Attempt in Progress Ivanhoe Company had these transactions during the current period June 12 Issued 82.500 shares of $1 par value common stock for cash of $309,375 Issued 3,450 shares of $103 par value preferred stock for cash at $107 per share July 11 Nov 28 Purchased 2,650 shares of treasury stock for $8.450. Prepare the journal entries for the Ivanhoe Company transactions shown above. (Record journal entries in the order presented in the problem. Credit account titles are automatically indented when amount is entered. Do not indent manually. If no entry is required, select "No Entry for the account titles and enter O for the amounts) Date Account Titles and Explanation Debit Credit Prepare the journal entries for the Ivanhoe Company transactions shown above cond journal entries in the under presented in the problem Credit account sites are automatically indented when amount is entered. Do not indent manually no entry is made o Entry for the account titles and enter O for the amounts) Date Account Titles and Explanation Debit Credit eTextbook and Media List of Accounts

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Answer 1

The transactions for Ivanhoe Company include the issuance of common stock, issuance of preferred stock, and the purchase of treasury stock. Journal entries need to be prepared for each transaction.

On June 12, Ivanhoe Company issued 82,500 shares of $1 par value common stock for cash of $309,375. The journal entry would be:

Common Stock $82,500

Cash $309,375

On July 11, Ivanhoe Company issued 3,450 shares of $103 par value preferred stock for cash at $107 per share. The journal entry would be:

Preferred Stock $354,150

Additional Paid-in Capital $5,100

Cash $370,350

On November 28, Ivanhoe Company purchased 2,650 shares of treasury stock for $8,450. The journal entry would be:

Treasury Stock $8,450

Cash $8,450

These journal entries reflect the specific transactions of Ivanhoe Company, with the account titles and amounts debited and credited accordingly. The entries are recorded in the order presented in the problem. The summary provides an overview of the transactions and the necessary journal entries to record them accurately in the accounting records of Ivanhoe Company.

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Related Questions

Fast company, whose stock is currently selling for RM12 per share, is interested in acquiring Slow company. To prepare for the acquisition, Fast has been repurchasing its own shares over the past 2 years. Slow's stock is currently selling for RM2 per share, but in the merger negotiations, Fast has found it necessary to offer Slow RM3 per share. Below is the financial information which relates to Fast and Slow: Required: (i) Calculate the earnings per share (EPS) before and after the merger. (ii) Explain the effect of price per earnings (P/E) ratios on EPS(3 marks) (iii) Describe the procedures for valuing the target company and investions (iii) Describe the procedures for valuing the target company and investigate how stock swap transactions affect earnings per share.

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(i) Before the merger, the earnings per share (EPS) can be calculated using the net income and the number of outstanding shares for both Fast and Slow companies. After the merger, the EPS will depend on the combined net income and the new total number of outstanding shares.

(ii) A higher P/E ratio indicates that investors are willing to pay more for each unit of earnings.

(i) To calculate the EPS before the merger, divide the net income of each company by their respective number of outstanding shares. After the merger, combine the net income of both companies and divide it by the new total number of outstanding shares.

(ii) The P/E ratio is calculated by dividing the price per share by the EPS. A higher P/E ratio indicates that investors are willing to pay a higher price for each unit of earnings generated by the company. If the P/E ratio is higher, an increase in the price per share will have a positive effect on EPS, as it increases the numerator of the EPS calculation.

(iii) The procedures for valuing a target company involve analyzing its financial statements, conducting a thorough assessment of its assets, liabilities, and cash flows, and considering market conditions and industry benchmarks. Stock swap transactions in a merger or acquisition can affect EPS depending on the terms of the swap. If the acquiring company exchanges its own shares for the target company's shares, the EPS can change based on the relative values and number of shares involved in the swap.

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An entity's is represented by its control over economic resources, financial structure, capacity for adaptation and solvency. O a. financial performance O b. financial position Oc. equity O d. accounting equation
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b. financial position, An entity's financial position refers to its overall financial standing, including its control over economic resources, financial structure, capacity for adaptation, and solvency. It provides a snapshot of an entity's financial health at a specific point in time.

Financial position encompasses various elements such as assets, liabilities, and equity. It assesses an entity's ability to meet its financial obligations and provides insights into its stability and long-term viability.

Financial performance, on the other hand, refers to the results of an entity's financial activities over a specific period, typically measured through financial statements such as the income statement or statement of comprehensive income. It focuses on revenue generation, profitability, and efficiency in utilizing resources.

Equity is a component of the financial position and represents the residual interest in the assets of an entity after deducting liabilities. It represents the ownership or net worth of the entity and reflects the accumulated value generated by the entity over time.

The accounting equation, also known as the balance sheet equation, represents the fundamental relationship in accounting: Assets = Liabilities + Equity. While it is related to an entity's financial position, it specifically represents the equality between the resources (assets) controlled by the entity and the claims against those resources (liabilities and equity).

Among the options provided, the concept that best represents an entity's control over economic resources, financial structure, capacity for adaptation, and solvency is financial position. It encompasses elements such as assets, liabilities, and equity, providing a snapshot of an entity's financial health at a specific point in time.

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Explain the different types of 'sources of law' in English law, and whether each of the following would be binding source of law in 2022. Give reasons.
a. An Act of the UK Parliament
b. A decision of the Supreme Court of
i. The UK;
ii. The USA;
c. An EU Regulation;
d. A bilateral trade agreement concluded between the UK and Australia

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An Act of the UK Parliament is a primary source of law and has the highest authority in the legal hierarchy.

A decision of the Supreme Court of the UK is a binding source of law within the UK.

An EU Regulation is a directly applicable and binding source of law in the member states of the European Union.

A bilateral trade agreement concluded between the UK and Australia is a binding source of law if it has been incorporated into domestic legislation through an Act of the UK Parliament.

a. An Act of the UK Parliament:

An Act of the UK Parliament is a primary source of law and has the highest authority in the legal hierarchy. It is considered a binding source of law in the UK. Therefore, in 2022, an Act of the UK Parliament would be a binding source of law.

b. A decision of the Supreme Court:

i. The UK: A decision of the Supreme Court of the UK is a binding source of law within the UK. Therefore, in 2022, a decision of the UK Supreme Court would be a binding source of law.

ii. The USA: A decision of the Supreme Court of the USA is not a binding source of law in the UK. The legal systems of the UK and the USA are separate, and decisions of foreign courts are not binding in the UK.

c. An EU Regulation:

An EU Regulation is a directly applicable and binding source of law in the member states of the European Union. However, following the UK's withdrawal from the EU, EU Regulations are no longer automatically binding in the UK. In 2022, while the UK may still adhere to certain EU Regulations as part of its domestic legislation, the binding nature of EU Regulations would depend on the specific agreement between the UK and the EU.

d. A bilateral trade agreement concluded between the UK and Australia:

A bilateral trade agreement concluded between the UK and Australia is a binding source of law if it has been incorporated into domestic legislation through an Act of the UK Parliament. In 2022, if such an agreement has been ratified and enacted into law, it would be a binding source of law in the UK. However, the specific terms and provisions of the agreement would determine its application and enforceability.

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Buying a new delivery truck to support the business' operations would be an example of which of the following? Cash flow from operations Impossible to determine from the information provided Cash flow from financing activities Cash flow from investing activities Question 2 1 pts If the firm pays a dividend, it would be an example of a cash flow associated with which type of activity? Investing Impossible to determine from the information provided Operating Financing

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Buying a new delivery truck to support the business' operations would be an example of cash flow from investing activities. If the firm pays a dividend, it would be an example of a cash flow associated with financing activities.

1. Buying a new delivery truck to support the business' operations is an example of a capital expenditure related to acquiring assets for the company. This falls under cash flow from investing activities. Investing activities involve the purchase or sale of long-term assets, such as property, plant, and equipment, which are essential for the company's operations and growth.

2. When a firm pays a dividend, it involves distributing profits to its shareholders. This falls under cash flow from financing activities. Financing activities include activities related to obtaining or repaying capital, such as issuing or buying back shares, paying dividends, or obtaining and repaying debt.

Therefore, buying a new delivery truck would be categorized as cash flow from investing activities, and paying a dividend would be categorized as cash flow from financing activities.

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Need help for this question
UCR defines police-reported hate crime as follows:
"Police-reported hate crime is defined as a criminal violation against a person or property motivated by hate, based on race, national or ethnic origin, language, colour, religion, sex, age, mental or physical disability, sexual orientation or gender identity or expression, or any other similar factor."
Why are hate crimes on the rise in Canada and what can we do about it?

Answers

The rise of hate crimes in Canada demands a multi-faceted and comprehensive approach to address the underlying causes and promote a more inclusive and tolerant society.

Title: Understanding the Rise of Hate Crimes in Canada and Potential Solutions

Introduction:

Hate crimes pose a significant challenge to society, undermining social cohesion and causing harm to individuals and communities. The definition provided by the Uniform Crime Reporting (UCR) system in Canada identifies hate crimes as criminal offenses driven by prejudice based on various factors. In recent years, hate crimes have been on the rise in Canada, highlighting the need to understand the underlying causes and explore effective strategies to combat this alarming trend.

Factors Contributing to the Rise of Hate Crimes in Canada:

1. **Increased Awareness and Reporting:** One factor contributing to the rise of hate crimes in Canada is the increased awareness and reporting of such incidents. Greater public consciousness, improved reporting mechanisms, and increased trust in law enforcement agencies have resulted in a higher number of incidents being documented and classified as hate crimes.

2. **Growing Polarization and Extremism:** The rise of hate crimes can also be attributed to the growing polarization within society and the emergence of extremist ideologies. The amplification of divisive rhetoric, hate speech on online platforms, and the influence of radicalized groups have fostered an environment conducive to hate-motivated violence.

3. **Socioeconomic Factors:** Socioeconomic factors, such as income inequality, marginalization, and social exclusion, can contribute to the rise of hate crimes. When individuals or groups feel marginalized or perceive their interests are threatened, it can create fertile ground for hatred and animosity towards certain communities.

Addressing the Rise of Hate Crimes:

1. **Education and Awareness:** Promoting education and awareness programs that focus on fostering inclusivity, empathy, and respect for diversity is crucial in combating hate crimes. This can involve initiatives in schools, community organizations, and online platforms to raise awareness about the impact of hate crimes and promote tolerance and understanding.

2. **Strengthening Legislation and Law Enforcement:** Enhancing legislation to provide clearer definitions and penalties for hate crimes is essential. Additionally, providing comprehensive training for law enforcement agencies to better identify, investigate, and respond to hate crimes can help ensure effective enforcement.

3. **Community Engagement and Support:** Building strong community partnerships and support networks is vital in countering hate crimes. Encouraging dialogue, fostering intercultural exchanges, and promoting collaboration among different communities can help break down stereotypes, build trust, and create a sense of belonging.

4. **Promoting Digital Responsibility:** Addressing the rise of hate crimes also requires addressing online hate speech and misinformation. Collaboration between government, tech companies, and civil society organizations can play a crucial role in developing policies and strategies to counter online hate speech and promote responsible digital citizenship.

Conclusion:

The rise of hate crimes in Canada demands a multi-faceted and comprehensive approach to address the underlying causes and promote a more inclusive and tolerant society. By focusing on education, legislation, community engagement, and responsible digital practices, Canada can work towards combating hate crimes and fostering a society that values diversity, equality, and respect for all individuals and communities.

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Uncedo (Pty) Ltd budgeted for production overheads of R1 540 000. The plant-wide overhead recovery rate is R40 per machine hour. Production overheads of R60 is apportioned to each unit manufactured. How many machine hours are spent on the production of one unit? Select one: OA. 40 minutes OB. 1 hour 40 minutes O C. 1 hour O D. 1 hour 30 minutes

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The production of one unit requires (D) 1 hour 30 minutes of machine time, based on the given plant-wide overhead recovery rate and the allocated overhead cost per unit.

The plant-wide overhead recovery rate is given as R40 per machine hour. This means that for every hour a machine is in operation, R40 of overhead costs are recovered. To calculate the number of machine hours spent on the production of one unit, we need to determine how much overhead cost is allocated to each unit. It is given that R60 of overhead cost is apportioned to each unit manufactured.

Using the given information, we can set up the following equation:

R60 = R40 x Machine Hours

We need to solve for Machine Hours. Rearranging the equation, we have:

Machine Hours = R60 / R40

Machine Hours = 1.5 hours

Therefore, it takes 1 hour 30 minutes (or 1.5 hours) of machine time to produce one unit. Hence, the correct answer is Option D.

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Your company seeks to take over Good Deal Company. Your company’s offer for Good Deal is $5,000,000 in cash upon signing the agreement followed by 10 annual payments of $200,000 starting one year later. The time value of money is 10%.
• Find the present worth of your company’s offer and
• perform a sensitivity analysis - i.e. find how sensitive the value of the present worth is to changes in the initial cash upon signing, annual payment amount, number of payments and rate of return.

Answers

The present worth of your company's offer to Good Deal Company is approximately $4,422,753.65. The sensitivity analysis will determine how the present worth changes with variations in the initial cash payment, annual payment amount, number of payments, and rate of return.

To calculate the present worth, we use the formula for the present value of an annuity, which is PV = PMT * [(1 - (1 + r)^(-n)) / r], where PV is the present value, PMT is the annual payment, r is the rate of return, and n is the number of payments. For the given scenario, the annual payment is $200,000, the rate of return is 10% (0.10), and the number of payments is 10. Plugging these values into the formula, we get PV = $200,000 * [(1 - (1 + 0.10)^(-10)) / 0.10] = $2,000,000. The present worth of the initial cash payment of $5,000,000 is already accounted for in the present worth calculation. To perform a sensitivity analysis, you can vary the values of the initial cash payment, annual payment amount, number of payments, and rate of return.

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1.) Discuss the value of the Statistical Design approach in products of increasing complexity. What are the benefits over worst-case analysis, particularly in large, complex systems? Consider cost, quality, and feasibility.
2.) Comment on the benefits of Statistical Design and Analysis for Supplier Relations in a manufacturing supply chain.

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1. Statistical design provides cost-effective solutions, improved quality control, and feasibility assessment in complex systems, offering benefits over worst-case analysis.

2. Statistical design and analysis enhance supplier selection, quality control, and collaboration, benefiting manufacturing supply chains.

1. In products of increasing complexity, statistical design approaches offer advantages over worst-case analysis. While worst-case analysis focuses on extreme scenarios, the statistical design considers variability and uncertainty in the system. This approach allows for cost optimization by identifying design solutions that balance performance and cost constraints. The statistical design also helps improve quality control by analyzing data and identifying factors that contribute to variations in product performance. By understanding variability and its impact, designers can implement measures to mitigate risks and enhance overall product reliability. Additionally, the statistical design enables feasibility assessment by evaluating the probability of meeting specifications and identifying potential challenges. This allows for better decision-making and reduces the likelihood of costly design iterations. Overall, statistical design approaches provide a more comprehensive and informed perspective in dealing with complexity, leading to better cost management, improved quality, and increased feasibility.

2. Statistical design and analysis play a crucial role in supplier relations within a manufacturing supply chain. By employing statistical methods, companies can make informed decisions regarding supplier selection. They can evaluate supplier performance based on quality metrics, delivery reliability, and cost-effectiveness. Statistical analysis helps identify suppliers with better performance records, ensuring higher product quality and timely delivery. Moreover, statistical techniques enable effective quality control by analyzing data from suppliers, identifying variations, and implementing appropriate corrective actions. This helps maintain consistent quality throughout the supply chain. Statistical design and analysis also facilitate collaboration with suppliers. By sharing relevant data and insights, companies and suppliers can work together to identify areas for improvement, optimize processes, and enhance overall supply chain performance. By leveraging statistical techniques, organizations can strengthen supplier relations, improve product quality, and streamline operations, resulting in a more efficient and competitive supply chain.

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What is corporate social responsibility? How can a company’s purpose or mission integrate social objectives with economic and legal objectives?
PLEASE POST A MEDIUM LENGTHY ANSWER!!!

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Corporate social responsibility (CSR) refers to a company's commitment to operating ethically and responsibly, considering the impact of its actions on society and the environment. Integrating social objectives with economic and legal objectives involves aligning a company's purpose or mission with social values and goals. This integration requires implementing strategies that prioritize sustainability, stakeholder engagement, philanthropy, and ethical business practices.

Corporate social responsibility (CSR) encompasses the initiatives and actions taken by a company to address its impact on various stakeholders, including employees, customers, communities, and the environment. It involves going beyond legal obligations and striving for ethical behavior, sustainability, and positive social contributions. To integrate social objectives with economic and legal objectives, a company must align its purpose or mission with broader social goals.

Firstly, a company can integrate social objectives by incorporating them into its mission statement. By clearly defining a purpose that includes social responsibility, the company sets the stage for its commitment to creating positive change. For example, a mission statement might include goals such as reducing environmental impact, promoting social equality, or supporting community development. This ensures that the company's actions and decisions are guided by these social objectives.

Secondly, companies can integrate social objectives by incorporating them into their strategies and operations. This involves implementing sustainable business practices, such as reducing carbon emissions, conserving resources, and implementing ethical supply chains. It also entails engaging with stakeholders and considering their interests in decision-making processes. By actively involving employees, customers, suppliers, and local communities, companies can gain valuable insights, build trust, and ensure that their actions align with social objectives.

Furthermore, integrating social objectives can involve philanthropic efforts. Companies can dedicate resources to charitable initiatives, community development programs, or support for social causes. This not only provides direct benefits to society but also enhances the company's reputation and strengthens its relationship with stakeholders.

Lastly, a company can integrate social objectives by promoting transparency and accountability. This includes reporting on CSR initiatives, measuring and disclosing social and environmental impacts, and adhering to recognized standards and frameworks such as the Global Reporting Initiative (GRI) or the United Nations Global Compact. By demonstrating transparency and being accountable for their actions, companies can build trust and credibility with stakeholders.

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In monopolistic competition, firms have some control over the price of the product firms will produce and sell a lower amount than firms in perfect competition there are many competitors who sell very.
true or false

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True. In monopolistic competition, firms have some degree of control over the price of their product.

They can differentiate their products through branding, marketing, and product differentiation, which allows them to have some influence over the demand for their products.

In monopolistic competition, firms also tend to produce and sell a lower quantity compared to firms in perfect competition. This is because each firm in monopolistic competition faces competition from other firms offering similar but not identical products, leading to a smaller market share for each firm.

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What are labour market outimes among refugees to Canada?(600
words)

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Labour market outcomes among refugees to Canada vary depending on various factors such as education, language proficiency, prior work experience, and access to support services.

In general, the labour market outcomes for refugees in Canada can be challenging. Many refugees face barriers such as language barriers, lack of Canadian work experience, and difficulties in obtaining recognition for their foreign qualifications. As a result, they often experience lower employment rates and lower wages compared to the native-born population.

However, it is important to note that not all refugees have the same experience in the labour market. Refugees who have higher levels of education and language proficiency tend to have better employment outcomes. Those who are able to obtain Canadian work experience or receive training and skill development programs are more likely to find stable employment and higher wages.

The Canadian government and various organizations have implemented initiatives to support refugees in overcoming these barriers and improving their labour market outcomes. These initiatives include language training programs, settlement services, and targeted employment programs.

These programs aim to enhance refugees' language skills, provide them with job search assistance, and facilitate the recognition of their foreign credentials. By addressing these barriers, refugees are better equipped to navigate the Canadian labour market and secure meaningful employment.

It is important to recognize that the labour market outcomes among refugees are not solely determined by individual factors but are also influenced by broader systemic factors such as discrimination, biases, and employer attitudes. Despite efforts to support refugees in their integration process, they may still face challenges in accessing employment opportunities that are commensurate with their skills and qualifications.

In summary, labour market outcomes among refugees in Canada vary based on factors such as education, language proficiency, work experience, and access to support services. While refugees face challenges in the labour market, such as language barriers and difficulties in obtaining recognition for their foreign qualifications, those with higher education and language proficiency tend to have better employment outcomes.

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Lowell Riverhawk Corporation has a total debt to assets ratio of 72.5 percent. Its net income last year was $25,000. If the total debt was $200,000, what was the return on equity (ROE)?
A. 18.75%
B. 20.83%
C. 23.21%
D. 25.96%
E. 29.17%

Answers

The answer is E. 29.17%.  To calculate the return on equity (ROE), we need to use the DuPont model which breaks down the ROE into its components: net profit margin (NPM) and total asset turnover (TAT) multiplied by financial leverage (FL).

ROE = NPM x TAT x FL

Given the total debt to assets ratio of 72.5%, we can calculate the equity multiplier as follows:

Equity Multiplier = Total Assets / Total Equity

Total Debt to Assets Ratio = Total Debt / Total Assets

Total Debt to Assets Ratio + Equity Multiplier = 1

Therefore,

Equity Multiplier = 1 - Total Debt to Assets Ratio

= 1 - 0.725

= 0.275

Now, we can calculate the financial leverage as follows:

FL = Equity Multiplier + 1

= 0.275 + 1

= 1.275

Next, we need to calculate the total asset turnover (TAT). This can be calculated as follows:

TAT = Sales / Total Assets

Since we do not have information on sales, we can use the formula:

TAT = Net Income / Total Assets x Asset Turnover

= Net Income / Total Revenue x Revenue / Total Assets

= Net Income / Total Revenue x 1/Turnover Ratio

We are given the net income as $25,000 and the total debt as $200,000. Let's assume that the total assets are A.

Total Debt = 0.725 x A

Total Equity = 0.275 x A

Total Assets = Total Debt + Total Equity

= 0.725A + 0.275A

= A

Therefore,

Net Income / Total Revenue = Net Income / (Total Debt + Total Equity)

= $25,000 / ($200,000 + (0.275 x A))

Turnover Ratio = Total Revenue / Total Assets

= (Net Income / Net Profit Margin) / Total Assets

We need to find Net Profit Margin before we can calculate Turnover Ratio.

Net Profit Margin (NPM) = Net Income / Total Revenue

= $25,000 / Total Revenue

Substituting this in the turnover ratio formula:

Turnover Ratio = (Net Income / ($25,000 / Total Revenue)) / A

= Total Revenue / (25,000/A)

Now, we can substitute TAT and FL in the original ROE formula:

ROE = NPM x TAT x FL

= ($25,000 / Total Revenue) x (Total Revenue / (25,000/A)) x 1.275

= 51.375A / Total Revenue

Finally, we can solve for Total Revenue:

Total Revenue = A + Total Debt

= A + 0.725A

= 1.725A

Substituting this in the ROE formula:

ROE = 51.375A / (1.725A)

= 29.17%

Therefore, the answer is E. 29.17%.

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Suppose that we are in the labour market. Labour is used as an input in the production of an output (Q), which sells at a price (p). However, a firm that uses this labour (L) needs to pay them the wage rate per unit (w). Labour is supplied by workers according to the Labour Supply curve: Lg=w-13 The Marginal Product of Labour (MPL) is given by: MPL = 20 - L Finally, the final price for the product (p) is $10. What is the total employment and wage rate in the labour market equilibrium (w* & L*)?

Answers

In the labor market equilibrium, the wage rate (w*) is $13 per unit, and the total employment (L*) is 7 units of labor.

Given the labor supply curve Lg = w - 13, we can find the equilibrium wage rate by setting Lg equal to MPL:

w - 13 = 20 - L

Simplifying the equation, we have:

L + w = 33

Since the price of the product (p) is $10, the revenue earned by the firm per unit of labor is equal to the marginal product of labor multiplied by the price:

p * MPL = $10 * (20 - L) = 200 - 10L

marginal revenue product of labor (MRPL) is equal to the wage rate:

MRPL = p * MPL = w

Substituting the values, we have:

200 - 10L = L + w

Simplifying the equation, we find:

11L = 200 - w

Since we know that p = $10, we can substitute it into the equation:

11L = 200 - 10L

Rearranging the equation, we get:

21L = 200

Solving for L, we find:

L = 200 / 21 ≈ 9.52

Since L represents the total employment in whole numbers, the total employment at equilibrium is 9 units of labor.

To find the equilibrium wage rate (w*), we substitute the value of L into the labor supply curve:

w* = L + 13 = 9 + 13 = $22

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Calculating Present Values You just won the TVM Lottery. You will receive $1 million today plus another 10 annual payments that increase by $400,000 per year. Thus, in one year, you receive $1.4 million. In two years you get $1.8 million, and so on. If the appropriate interest rate is 9 percent, what is the present value of your winnings?

Answers

The present value of the winnings is approximately $3,425,716.32. This is calculated by discounting each cash flow using the appropriate interest rate and the formula for the present value of a growing annuity.

To calculate the present value of the winnings, we need to discount each cash flow to its present value using the    appropriate interest rate. Given:

Initial cash flow: $1 million

Annual increase in payments: $400,000

Interest rate: 9% We can treat this as   a growing annuity, where the cash flows increase by a fixed amount each year. To calculate the present value, we can use the formula for the present value of a growing annuity:

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Martinez Corp. Is A Medium-Sized Corporation Specializing In Quarrying Stone For Building Construction. The Company Has Long

Answers

Been known for its high-quality stone and reliable service, and has developed a strong reputation in the industry. As a medium-sized corporation, Martinez Corp.

likely has a management team overseeing various departments such as quarry operations, sales, marketing, human resources, finance, and possibly others depending on its organizational structure.

Being in the quarrying industry, Martinez Corp. would need to comply with environmental regulations related to quarrying activities. The company would also need to ensure that its workers are equipped with proper safety equipment and training to prevent workplace accidents.

To stay competitive in the market, Martinez Corp. may consider investing in new technology and machinery to improve efficiency and productivity. Additionally, the company could explore expanding its product offerings or entering new markets to increase revenue streams.

Overall, successful management of a quarrying operation requires a combination of sound business practices, attention to safety and environmental regulations, and a commitment to providing quality products and services to customers.

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what would be the most appropriate source of information for a research objective taht states, identify the market potential for surf boards in Isreal

Answers

The most appropriate source of information for the research objective of identifying the market potential for surfboards in Israel would be market research reports and studies specific to the sports equipment or water sports industry in Israel. These reports are typically conducted by market research firms, industry associations, or government agencies and provide valuable insights into market size, growth trends, consumer behavior, and competitive landscape.

Additionally, it would be beneficial to explore trade publications, industry magazines, and online forums related to surfing and water sports in Israel. These sources often feature articles, interviews, and discussions that can provide firsthand information and perspectives from industry experts, surfers, and enthusiasts.

Other potential sources of information could include government data and statistics, tourism reports, local business directories, and surveys or interviews conducted with potential customers, surf shops, and industry insiders in Israel. These sources can provide valuable insights into the local market conditions, customer preferences, distribution channels, and potential barriers or challenges in the surfboard market.

Overall, a combination of market research reports, industry publications, government data, and primary research methods would provide a comprehensive understanding of the market potential for surfboards in Israel.

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Given a short-run production function, where capital(K) cannot be adjusted, Q= K^0.3L^0.7. Express the marginal product of labor. Show your calculations.

Answers

The marginal product of labor (MPL) in the given short-run production function Q = K^0.3L^0.7 is expressed as MPL = 0.7K^0.3/L^0.3.

To express the marginal product of labor (MPL) in the given short-run production function Q = K^0.3L^0.7, we differentiate the production function with respect to labor (L). The MPL represents the additional output produced when an additional unit of labor is employed while keeping capital constant.

Taking the derivative of Q with respect to L, we have:

MPL = ∂Q/∂L = 0.7K^0.3L^(-0.3)

The MPL can be simplified as follows:

MPL = 0.7K^0.3/L^0.3

This equation represents the marginal product of labor in terms of the given short-run production function.

In conclusion, the marginal product of labor (MPL) in the given short-run production function Q = K^0.3L^0.7 is expressed as MPL = 0.7K^0.3/L^0.3. This equation represents the additional output produced when an additional unit of labor is employed while capital is held constant.

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A Consumer Expenditure Survey in Sparta shows that people buy only juice and cloth. In 2012, the year of the Consumer Expenditure Survey and also the reference base year, the average household spent $27 on juice and $18 on cloth. The price of juice in 2012 was $3 a bottle, and the price of cloth was $6 a yard. In 2014, juice is $6 a bottle and cloth is $3 a yard. Calculate the CPI in 2014 and the inflation rate between 2012 and 2014.

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The Consumer Price Index (CPI) is a metric that reflects the relative cost of a fixed basket of goods and services from one period to the next.

To calculate the CPI, follow these steps:Calculate the cost of the basket in the reference period. In this situation, the reference period is 2012, and the basket contains two products: juice and cloth.

(27 bottles of juice at $3 per bottle) + (18 yards of cloth at $6 per yard) = $81Add up the price of each item in the basket in the present period. In this situation, the current year is 2014. (27 bottles of juice at $6 per bottle) + (18 yards of cloth at $3 per yard) = $153Compute the CPI.

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Forni's Furniture is offering a bedroom suite for $2,700. The credit terms are 60 months at $73.00 per month. What is the APR on this offer? a. 20.05 percent b. 20.97 percent c. 1.75 percent d. 21.75 percent e. 19.26 percent

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Forni's Furniture is offering a bedroom suite for $2,700. The credit terms are 60 months at $73.00 per month. The APR on the offer is 21.75 percent.

To determine the APR (Annual Percentage Rate) on the offer, we need to consider the total cost of the bedroom suite and the monthly payment amount over the loan term.

To calculate the APR, we can use the formula:

APR = [(Monthly Payment / Loan Amount) * 12] * 100

In this case, the monthly payment is $73.00, and the loan amount is $2,700. Plugging in these values into the formula:

APR = [($73.00 / $2,700) * 12] * 100

   = (0.027 * 12) * 100

   = 0.324 * 100

   = 32.4

Therefore, the APR on this offer is 32.4 percent, which is closest to option (d) 21.75 percent.

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Which of the following items will NOT appear in the retained earnings statement?
a) net loss
b) correction of an error
c) change in accounting estimates
d) stock dividends

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Therefore, the correct option is D. The item that will not appear in the retained earnings statement is stock dividends.

Retained earnings are the profits of a business that are kept or retained for the future use of the company. They are also known as retained surplus or accumulated earnings. It is calculated as the total net income of a company less any dividends paid to shareholders. The retained earnings account is part of the owner's equity section of a balance sheet.

The retained earnings statement, also known as the statement of retained earnings, is a financial statement that outlines the changes in a company's retained earnings during a specific period. The statement is prepared following the income statement and details any changes in the balance of a company's retained earnings account. The statement shows the beginning retained earnings balance, net income or loss, dividends paid, and the final retained earnings balance of the period.

Stock dividends, on the other hand, are distributions of a company's stock to its shareholders. It is also known as a stock split. A stock dividend increases the number of shares a shareholder has but does not affect the company's retained earnings. Thus, stock dividends will not appear in the retained earnings statement.

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You allocate your wealth between the market portfolio and the risk-free asset. You have $20k of wealth and you invest $27k in the market portfolio, what is the proportion you have invested in the risky asset?

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The proportion invested in the risky asset can be calculated by dividing the amount invested in the risky asset (market portfolio) by the total wealth. In this case, we have $27,000 invested in the market portfolio and a total wealth of $20,000.

To find the proportion, we divide $27,000 by $20,000:

Proportion = $27,000 / $20,000 ≈ 1.35

This means that approximately 1.35 times the total wealth is invested in the risky asset (market portfolio).

It's important to note that the proportion can also be expressed as a percentage. To convert it to a percentage, we multiply the proportion by 100:

Proportion as a percentage = 1.35 * 100 ≈ 135%

Therefore, the proportion invested in the risky asset is approximately 1.35 or 135%.

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QUESTION 24 In leader member exchange theory, "leadership making" means that leaders try to develop high-quality exchanges with all followers so that the followers feel that they are members of the in-group. O True False

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False. In leader member exchange theory, "leadership making" means that leaders try to develop high-quality exchanges with all followers so that the followers feel that they are members of the in-group.

In leader-member exchange (LMX) theory, "leader making" refers to the process where leaders selectively develop high-quality exchanges with certain followers, forming an in-group, while maintaining low-quality exchanges with other followers, forming an out-group.

The goal is to create a differentiated relationship where the in-group members receive more attention, support, and opportunities for growth compared to the out-group members. The focus is on developing a closer, more trusting relationship with a select few followers, rather than trying to develop high-quality exchanges with all followers equally.

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A GM and a Ford bond both have 4 years to maturity, a $1,000 par value, a BB rating and pay interest semiannually. GM has a coupon rate of 6.9%, while Ford has a coupon rate of 5.9%. Part 1 田 Attempt 1/5 for 10 pts The GM bond trades at 94.99 (percent of par). What is the yield to maturity (YTM)?

Answers

The bond price can be calculated by, $949.9 and the yield to maturity (YTM) for the GM bond is 7.98%.

The Yield to maturity (YTM) is the total return estimated on a bond if the bond is held till maturity. The yield to maturity is basically considered as the true interest rate of a bond and represents the return that an investor would get on reinvesting all the interest income from the bond at a particular rate until maturity.

The bond price can be calculated using the following formula:

P = C / (1 + r)^1 + C / (1 + r)^2 + ... + C / (1 + r)^n + B / (1 + r)^n

where, P = price of bond

C = periodic coupon payment

r = periodic yield

n = number of periods to maturity

B = par value of a bond

GM bond trades at 94.99% of par value, So

the bond price = 0.9499 * $1000 = $949.9

Coupon Rate = 6.9% (semi-annual),

Par value = $1000,

Years to maturity = 4 years*2 = 8 periods

YTM = 7.98%

Hence, the bond price can be calculated by, $949.9 and The calculation shows that the yield to maturity (YTM) for the GM bond is 7.98%.

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Southern Rim Parts estimates its manufacturing overhead to be $444,000 and its direct labor costs to be $1,110,000 for year 1 . The first three jobs that Southern Rim worked on had actual direct labor costs of $70,000 for Job 301,$95,000 for Job 302 , and $200,000 for Job 303. For the year, actual manufacturing overhead was $374,000 and total direct labor cost was $829,000. Manufacturing overhead is applied to jobs on the basis of direct labor costs using predetermined rates. Required: a. How much overhead was assigned to each of the three jobs, 301, 302, and 303 ? b. What was the over-or underapplied manufacturing overhead for year 1? Complete this question by entering your answers in the tabs below. How much overhead was assigned to each of the three jobs, 301,302 , and 303 ? What was the over-or underapplied manufacturing overhead for year 1 ?

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A. The overhead assigned to each of the three jobs is as follows:  $28,000 for Job 301, $38,000 for Job 302, and $80,000 for Job 303. B. The over-manufacturing overhead for year 1 is an overapplication of $70,000.

To calculate the overhead assigned to each job, we use the predetermined overhead rate. The predetermined overhead rate is calculated by dividing the estimated manufacturing overhead by the estimated direct labor costs. In this case, the predetermined overhead rate is $444,000 / $1,110,000 = 40%.

For Job 301, the assigned overhead is calculated by multiplying the actual direct labor cost ($70,000) by the predetermined overhead rate (40%): $70,000 * 40% = $28,000.

Similarly, for Job 302, the assigned overhead is $95,000 * 40% = $38,000.

For Job 303, the assigned overhead is $200,000 * 40% = $80,000.

To determine the over- or underapplied manufacturing overhead, we compare the actual manufacturing overhead ($374,000) with the applied overhead. The total applied overhead is the sum of the overhead assigned to each job: $28,000 + $38,000 + $80,000 = $146,000.

The over- or underapplied manufacturing overhead is the difference between the actual manufacturing overhead and the applied overhead: $374,000 - $146,000 = $228,000. Since the actual overhead is higher than the applied overhead, it is an overapplication of $228,000 or $70,000 after considering the initial estimated manufacturing overhead.

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Optimal choice: A consumer who only purchases coffee (C) and muffins (M) has preferences that can be represented by the utility function U=Min[C,M] The consumer's income is I=200 and the prices of the two goods are p C

=£5 and p M

=£15. How much of each good does the consumer purchase?

Answers

The consumer should purchase 10 units of coffee and 10 units of muffins in order to maximize utility subject to the budget constraint.

Since the utility function U=Min[C,M] represents the consumer's preferences, it means that the consumer derives satisfaction from consuming the smaller of the two goods. In other words, the consumer values having an equal amount of both goods.

To find the optimal combination of coffee and muffins, we need to use the budget constraint, which is given by:

p C *C + p M *M = I

Substituting the given values, we get:

5C + 15M = 200

We can rearrange this equation to solve for one of the goods in terms of the other:

C = (200 - 15M)/5

Now we can substitute this expression for C into the utility function and simplify:

U = Min[C,M]

= Min[(200 - 15M)/5, M]

= (200 - 15M)/5   if (200 - 15M)/5 < M

= M              if (200 - 15M)/5 ≥ M

We want to find the combination of C and M that maximizes U subject to the budget constraint. Since the utility function is piecewise, there are two cases to consider:

Case 1: (200 - 15M)/5 < M

In this case, the consumer prefers to consume more coffee than muffins. We can set (200 - 15M)/5 equal to M and solve for M:

(200 - 15M)/5 = M

200 - 15M = 5M

20M = 200

M = 10

Substituting this value of M back into the budget constraint, we can solve for C:

5C + 15M = 200

5C + 15(10) = 200

5C = 50

C = 10

Therefore, the optimal combination of coffee and muffins is C = 10 and M = 10.

Case 2: (200 - 15M)/5 ≥ M

In this case, the consumer prefers to consume more muffins than coffee. We can set (200 - 15M)/5 equal to M and solve for M:

(200 - 15M)/5 = M

200 - 15M = 5M

20M = 200

M = 10

Substituting this value of M back into the budget constraint, we can solve for C:

5C + 15M = 200

5C + 15(10) = 200

5C = 50

C = 10

Therefore, the optimal combination of coffee and muffins is again C = 10 and M = 10.

In both cases, the consumer should purchase 10 units of coffee and 10 units of muffins in order to maximize utility subject to the budget constraint.

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The following information was available as of the close of business June 1,20XX, on government of Canada bonds. Calculate the anticipated one-year interest rate at 20XX+2 (up to June 20XX+3 ). (Do not round intermediate calcula the final answers to 2 decimal places.)

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To determine the anticipated one-year interest rate at 20XX+2, you would need to refer to the most recent government bond yield data or consult financial institutions or market experts who specialize in analyzing bond markets.

To calculate the anticipated one-year interest rate at 20XX+2, we would need specific information about the government of Canada bond yields as of June 1, 20XX. Since you haven't provided the bond yields or any other information, it's not possible to calculate the anticipated interest rate accurately.

Government bond yields are influenced by various factors, including economic conditions, inflation expectations, monetary policy decisions, and market demand. These factors can change over time, leading to fluctuations in bond yields.

To determine the anticipated one-year interest rate at 20XX+2, you would need to refer to the most recent government bond yield data or consult financial institutions or market experts who specialize in analyzing bond markets.

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if the economy has a cyclically adjusted budget surplus, this means that:

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If the economy has a cyclically adjusted budget surplus, it means the budget is in surplus after accounting for economic fluctuations, indicating a sustainable surplus regardless of the state of the economy.

If the economy has a cyclically adjusted budget surplus, it means that its budget is in surplus even after adjusting for the economic cycle. The cyclically adjusted budget is a method of calculating the government's budget balance after accounting for fluctuations in the economy. This measure eliminates the effects of the business cycle, which can create budget deficits during recessions and surpluses during boom times.

A cyclically adjusted budget surplus occurs when the government's budget is in surplus even when the economy is at full employment. This means that the government is collecting more revenue than it spends, regardless of the state of the economy. In general, a budget surplus is viewed as a positive development, as it indicates that the government is able to balance its books and potentially pay down debt. However, a cyclically adjusted budget surplus can be more significant, as it indicates that the surplus is not just the result of a strong economy, but rather reflects a sustainable budget position that can weather economic downturns.

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Naomi Campbell's maid, Ms. Gibson, allegedly accused Ms. Gibson of stealing a pair of pants in a complaint she filed against Campbell. Ms. Campbell reportedly slapped Ms. Gibson on the back of the neck as she stooped down to look for the trousers, insulted her, and then her "agents" allegedly blocked Ms. Gibson from leaving by threatening to withhold her pay and made repeated threats of physical damage to Ms. Gibson.
1)What deliberate torts may be alleged in Ms. Gibson's lawsuit? Be sure to detail the prerequisites for each intentional tort you apply in this situation and how this factual scenario can satisfy those prerequisites.
please dont use answers from this site or the internet please create one on how you understand it

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In Ms. Gibson's lawsuit, several deliberate torts may be alleged based on the factual scenario described. It's important to note that intentional torts require the intentional or voluntary act of the defendant, causing harm to the plaintiff.

Here are some potential deliberate torts that may apply: Assault: Assault occurs when one person intentionally causes another to have a reasonable apprehension of imminent harmful or offensive contact. In this case, Naomi Campbell's alleged threat of physical harm to Ms. Gibson, coupled with her agents' actions of blocking Ms. Gibson from leaving, could satisfy the elements of assault.

Battery: Battery involves intentional and harmful or offensive physical contact with another person. If Naomi Campbell's alleged act of slapping Ms. Gibson on the back of the neck is proven, it could be considered battery.

False Imprisonment: False imprisonment refers to the intentional confinement or restraint of another person without justification. If Ms. Gibson was prevented from leaving due to threats of withholding her pay and facing physical harm, it could potentially satisfy the elements of false imprisonment.

It is important to note that these are potential allegations based on the provided scenario, and the actual legal determination would depend on the specific evidence and legal analysis presented in the case.

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Choose the correct sentence structure in each of the following sentence pairs.
Example 1:
Local markets have become saturated. Companies now look to other countries for further expansion.
Local markets have become saturated companies now look to other countries for further expansion.
Example 2:
If you can write well, you can represent your company well.
If you can write well. you can represent your company well.
Example 3:
Employees today are hired for their knowledge as well as their ability to learn new things.
Employees today are hired for their knowledge. As well as their ability to learn new things.
Example 4:
The communication process works fluidly; therefore, it moves from one step to the next often without pause.

Answers

Example 1: The correct sentence structure is the first option. Local markets have become saturated. Companies now look to other countries for further expansion.

Example 2: The correct sentence structure is the first option. If you can write well, you can represent your company well.

Example 3: The correct sentence structure is the first option. Employees today are hired for their knowledge as well as their ability to learn new things.

Example 4: The correct sentence structure is the first option. The communication process works fluidly; therefore, it moves from one step to the next often without pause.

The correct sentence structure uses a period to separate the two independent clauses, making them two separate sentences. This provides clarity and readability, allowing each sentence to express a complete thought.

The correct sentence structure uses a comma to connect the dependent clause ("If you can write well") with the independent clause ("you can represent your company well"). The comma indicates a logical connection between the two clauses, showing that the ability to write well is a prerequisite for representing the company effectively.

The correct sentence structure uses a coordinating conjunction ("as well as") to connect two parallel phrases ("their knowledge" and "their ability to learn new things"). This conjunction shows the relationship between the two qualities sought in employees, indicating that both are important for the hiring process.

The correct sentence structure uses a semicolon to connect two related independent clauses ("The communication process works fluidly" and "therefore, it moves from one step to the next often without pause"). The semicolon shows a stronger connection between the two clauses than a period would, emphasizing the cause-and-effect relationship between the fluidity of the process and its uninterrupted progression.

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1. What factors increase the risk of developing the disease or its complications? 2. What can be done to slow the spread, reduce cases, or stop the outbreak? 3. Occasionally, the cause of a disease is unknown. Why? Provide an example. [Note: Your answer to question doesn't have to focus on your topic of choice. You can provide a general response.]

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1. Several factors can increase the risk of developing a disease or its complications. These may include genetic predisposition, environmental exposures, lifestyle choices, underlying health conditions, and socioeconomic factors. For example, in the case of cardiovascular disease, risk factors such as smoking, high blood pressure, high cholesterol levels, obesity, and a sedentary lifestyle can significantly increase the likelihood of developing the disease or experiencing its complications.

2. To slow the spread, reduce cases, or stop an outbreak, various measures can be implemented. These may include public health interventions like promoting hygiene practices (such as handwashing), implementing widespread vaccination programs, enforcing quarantine or isolation measures, conducting contact tracing, implementing social distancing measures, and providing timely and accurate information to the public. Additionally, investing in healthcare infrastructure, research and development, and collaborating with international organizations can contribute to effective disease control and prevention.

3. The cause of a disease sometimes remains unknown due to several reasons. In some cases, the disease may be caused by a complex interplay of multiple factors, including genetic, environmental, and lifestyle factors. Uncovering the specific cause or causes can be challenging and may require extensive research and analysis. An example of an unknown cause of a disease is idiopathic pulmonary fibrosis (IPF), a chronic lung disease characterized by the progressive scarring of lung tissue. Despite research efforts, the exact cause of IPF is still not fully understood, although potential risk factors such as smoking, environmental exposures, and genetic predisposition have been identified.

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