Which organisation is a structure combining 2 complementary structures, functional departmentation with project structure.
Also write it’s two salient features.

Answers

Answer 1

The matrix organization is a structure that combines two complementary structures: functional departmentation with a project structure. A matrix organization is a type of organizational structure in which employees are assigned to two different functional managers simultaneously.

These dual reporting relationships can lead to tension and conflict, but they can also provide employees with opportunities to learn and grow. This type of structure is especially useful in companies that have complex projects or multiple lines of business. There are two types of matrix organizations: a strong matrix and a weak matrix. Features of the Matrix OrganizationThe two main features of the Matrix Organization are:

1. Project Management Team- In a matrix organization, each project is assigned a project management team that is responsible for ensuring that the project is completed on time and within budget. This team is composed of individuals from different functional departments who work together to complete the project.

2. Functional Managers- In addition to the project management team, there are also functional managers who are responsible for overseeing the day-to-day operations of their respective departments.

To know more about Matrix Organization visit:

https://brainly.com/question/7437866

#SPJ11


Related Questions

a recent earthquake destroys 30 percent of the capital stock in your country. use the Solow growth model to trace the adjustment process of the economy towards a new capital stock. in the transition to the new steady state capital stock, explain what happens to the growth rate of output per worker and the capital per output.

Answers

The Solow growth model is a macroeconomic model that examines the long-term economic growth of a country. In the case of a recent earthquake that destroys 30 percent of the capital stock in the country, the Solow growth model can help us understand the adjustment process of the economy towards a new steady state capital stock. In the Solow growth model, output per worker (Y/L) and capital per output (K/Y) are key variables that determine the growth rate of an economy. The model assumes that capital accumulation and technological progress are the main drivers of long-term economic growth.

When a natural disaster such as an earthquake destroys a significant portion of the capital stock, the economy experiences a sudden decrease in its capital per output ratio. In the transition to the new steady state, several adjustments occur: Capital Stock Adjustment: After the earthquake, the capital stock in the country is reduced. As a result, the economy's capital per output ratio declines. To restore the capital stock, investment (savings) needs to increase. This increased investment helps in rebuilding the capital stock towards its new steady state level. Decreased Output per Worker: Initially, the economy experiences a decline in output per worker due to the loss of capital. With less capital available for production, the economy is not able to achieve the same level of output per worker as before the earthquake. Capital per Output: The destruction of capital leads to a decrease in the capital per output ratio. This means that each unit of output requires less capital. As the capital stock is rebuilt through increased investment, the capital per output ratio gradually rises towards its new steady state level.

Learn more about macroeconomic here

https://brainly.com/question/28489802

#SPJ11

A company has an overhead application rate of 128% of direct labor costs. How much overhead would be allocated to a job ft required direct labor costing $18,000? Multiple Choice $14,063 $230, 400 $23.040 $11520 $10.000

Answers

The amount of overhead allocated to a job that required direct labor costing $18,000 would be $23,040. Overhead allocated refers to the portion of indirect costs assigned or distributed to a specific job, product, or activity based on a predetermined rate or method. #SPJ11

To calculate the overhead allocated to a job, we multiply the direct labor cost by the overhead application rate. In this case, the overhead application rate is 128% of direct labor costs. The calculation is as follows: $18,000 (direct labor cost) x 128% (overhead application rate) = $23,040. Therefore, the correct answer is $23,040. This means that $23,040 of overhead costs would be allocated to the job, given the direct labor cost of $18,000 and the overhead application rate of 128%. The overhead application rate represents the proportion of overhead costs to be allocated to jobs based on their direct labor costs.

Learn more about overhead allocated here:

https://brainly.com/question/16373752

#SPJ11

Two years ago you took out a mortgage at 4.5%. The initial balance of the loan was $200,000 and it was for 25 years (300 months.) Today, you observe that you could take out a new loan at 4.25% (with a 300 month term), but you would have to pay $5,000 in closing and other fees.

a. What are your current monthly payments under the original mortgage?

b. What is your current outstanding balance? How much would you have to borrow to refinance this loan?

c. Assuming that you rolled the fees into the balance of the new loan, what would the monthly payment on this new loan be?

d. Taking into account all of the fees, how much would your wealth change if you were to refinance?

e.Should you refinance? Why or why not?

Answers

a. current monthly payments are $1,013.37. b. The current outstanding balance is $183,988.02. c. the monthly payment on the new loan would be $985.94. d. your wealth would decrease by $7,627.08. e. refinancing may not be beneficial in this scenario.

a. To calculate the current monthly payments under the original mortgage, we use the loan amount ($200,000), loan term (25 years), and interest rate (4.5%) in the formula for monthly mortgage payments. This results in a monthly payment of approximately $1,013.37.

b. The current outstanding balance can be calculated using the loan amount and the number of payments made. Since two years have passed (24 payments made), the outstanding balance is approximately $183,988.02. To refinance the loan, you would need to borrow the same amount to pay off the remaining balance.

c. To calculate the monthly payment on the new loan, we use the refinanced loan amount (including fees) and the new interest rate (4.25%) in the formula for monthly mortgage payments. This results in a monthly payment of approximately $985.94.

d. To calculate the change in wealth due to refinancing, we compare the total payments made under the original mortgage with the total payments under the new loan, including fees. The difference in wealth is approximately $7,627.08, which represents a decrease in wealth if you were to refinance.

e. Based on the calculations, refinancing may not be favorable in this scenario. While the monthly payment under the new loan is slightly lower, the overall decrease in wealth indicates that the costs associated with refinancing outweigh the potential benefits. It's important to consider the impact on long-term financial goals and assess whether the savings from the lower interest rate justify the upfront fees and potential decrease in wealth.

Learn more about refinancing here:

https://brainly.com/question/33535668

#SPJ11

The "Guide to Workplace Smoking Policies" recommends that employers should:

A. ban smoking entirely from the workplace due to its negative consequences.

B. not hire job applicants who smoke.

C. create separate ventilated smoking areas.

D. punish those employees who do not quit smoking within a sixmonth period.

E. offer incentives to employees who try to quit smoking

Answers

The "Guide to Workplace Smoking Policies" recommends that employers should offer incentives to employees who try to quit smoking. This approach is less intrusive than banning smoking entirely from the workplace or punishing those employees who do not quit smoking.

A six-month period and is more likely to promote positive behavior changes among employees.It is a well-known fact that smoking has a variety of negative health consequences, and smoking in the workplace can be a major problem. Employees who smoke may expose their colleagues to secondhand smoke, which can be harmful to their health. Secondhand smoke has been linked to an increased risk of lung cancer, heart disease, and stroke, among other health problems.Therefore, employers must take steps to address smoking in the workplace.

The "Guide to Workplace Smoking Policies" recommends that employers should provide incentives to employees who try to quit smoking. For example, an employer might offer a monetary reward to an employee who successfully quits smoking for a certain amount of time. Alternatively, employers may provide support and resources for employees who are trying to quit smoking, such as smoking cessation programs or counseling sessions.

To know more about Workplace visit:

https://brainly.com/question/33400329

#SPJ11

to discourage consumers from buying in gray markets, some manufacturers have

Answers

to discourage consumers from buying in gray markets, some manufacturers have implemented several strategies: 1. Warranty Limitations: Manufacturers can limit or void warranties for products purchased from unauthorized sellers or gray market channels.

By doing so, they discourage consumers from buying products from these sources since they won't receive the same level of support and protection as those who purchase from authorized channels.

2. Price Controls: Manufacturers can implement price controls and enforce minimum advertised prices (MAP) for their products. This helps maintain a consistent pricing structure across authorized retailers and makes it less appealing for consumers to seek cheaper alternatives in the gray market.

3. Authorized Dealer Networks: Manufacturers can establish exclusive authorized dealer networks. These networks consist of approved retailers who have met specific criteria and adhere to certain guidelines set by the manufacturer. By encouraging consumers to purchase from these authorized dealers, manufacturers can ensure that products are sold through legitimate channels.

4. Product Serialization and Tracking: Manufacturers can implement product serialization and tracking systems to monitor the movement of their products throughout the supply chain. This helps identify and trace gray market products, making it easier to take appropriate actions against unauthorized sellers.

5. Educational Campaigns: Manufacturers can run educational campaigns to raise awareness among consumers about the risks associated with purchasing from gray markets. They can highlight the potential issues such as counterfeit products, lack of warranties, and compromised quality, making consumers more cautious about their buying decisions.

6. Improved Distribution: By ensuring a robust and efficient distribution network, manufacturers can make their products readily available through authorized channels at competitive prices. This reduces the need for consumers to explore gray market options in search of better availability or pricing.

7. Legal Actions: In some cases, manufacturers may take legal actions against unauthorized sellers or distributors engaged in the gray market. These actions can include cease and desist letters, lawsuits, or other legal remedies to discourage and penalize those involved in unauthorized sales.

learn more about markets here :

https://brainly.com/question/32568603

#SPJ11

Define the short-run and long-run of the production process. Consider Lockheed-Martin (large producer of aircraft), Kellogg’s (large producer of breakfast cereals, and Wacky Jack’s (large producer of singing telegrams). For which of these firms is the short-run likely to be the shortest, and for which would it likely to be the longest? Explain why.

Answers

The short-run and long-run are concepts in the production process that refer to different time horizons during which firms can make adjustments to their inputs.

In the production process, the short-run refers to a period during which at least one input is fixed and cannot be changed. Firms can only make adjustments to variable inputs, such as labor or raw materials, to increase or decrease production levels. In contrast, the long-run is a period in which all inputs can be adjusted, including capital investments and technology.

For Lockheed-Martin, as a large producer of aircraft, the production process involves complex and capital-intensive operations. Adjustments to production levels or changes in technology require significant time and investment, making the short-run likely to be relatively long. The firm may need to plan and allocate resources for the production of aircraft over a longer timeframe.

On the other hand, for Wacky Jack's, a large producer of singing telegrams, the production process is likely to be less capital-intensive and more labor-dependent. With fewer fixed inputs, such as specialized equipment or facilities, the firm can quickly adjust its production levels in response to changes in demand. The short-run is therefore likely to be relatively short for Wacky Jack's.

Kellogg's, as a large producer of breakfast cereals, falls somewhere in between. While they have a significant investment in capital equipment and production facilities, the need for agility in responding to changes in demand and product variations may still allow for some degree of short-run flexibility. However, compared to Wacky Jack's, the short-run for Kellogg's is likely to be longer due to the complexity of their production processes and the scale of their operations.

Learn more about capital-intensive here:

https://brainly.com/question/14722921

#SPJ11

the benefits received by the business in a disability buy-sell policy are

Answers

The benefits received by the business in a disability buy-sell policy include

Ownership transitionFinancial security for the disabled ownerBusiness stability, Peace of mind for all involved parties.

The benefits received by the business in a disability buy-sell policy are:

Ownership Transition: A disability buy-sell policy ensures a smooth transition of ownership in the business, this allows for a seamless transfer of control and minimizes disruption to the business operations.Financial Security: This financial benefit helps them cope with the loss of income resulting from their disability and covers personal expenses.Business Stability: By facilitating the transfer of ownership and providing financial resources, the disability buy-sell policy helps maintain business stability. Peace of Mind: Having a disability buy-sell policy in place gives business owners peace of mind, knowing that they are protected against the potential financial and operational risks associated with a disability.

Learn more about buy-sell policy: https://brainly.com/question/32764134

#SPJ11

the internal document that initiates the procurement process is the

Answers

The internal document that initiates the procurement process is the purchase requisition.

A purchase requisition is an internal document used by an organization to request the procurement of goods or services. It is typically initiated by a department or individual within the organization when there is a need for a specific item or service. The purchase requisition includes details such as the description of the item or service, quantity needed, delivery date, budget information, and any other relevant specifications.

Once approved, the purchase requisition serves as the basis for initiating the procurement process, including obtaining price quotes, selecting suppliers, creating purchase orders, and ultimately receiving the requested goods or services.

For more questions like Internal document click the link below:

https://brainly.com/question/31416582

#SPJ11








a) 'Quality of supply management is about better transport systems' elaborate. 10 marks) b) Discuss the concept and variance of Buying locally and abroad. (10 marks)

Answers

a) Quality of supply management is about better transport systems:

Better transport systems are a vital component of supply chain management. Quality of supply management refers to the efficiency and effectiveness of the entire supply chain. Transportation plays a crucial role in ensuring that the goods and services reach their intended destination safely and on time.

Transportation plays a critical role in supply chain management. As a result, it is critical to have a well-established transportation system that can provide quick and dependable delivery of products. The primary aim of supply chain management is to ensure that goods and services are delivered to the end customer at the right time and place.

Quality supply chain management involves controlling the various factors that impact the movement of goods and services across the supply chain. This includes transportation, packaging, warehousing, inventory management, and order fulfilment. Poor transportation systems, such as those that are unreliable or inefficient, can have a significant impact on the entire supply chain. It can cause delays in product delivery, missed sales opportunities, and poor customer satisfaction.

Transportation is a critical component of supply chain management. Quality supply management is about ensuring that the supply chain is efficient and effective. This necessitates the use of well-established transportation systems that can provide dependable and timely delivery of goods and services. A well-designed and maintained transport system can aid in reducing transport costs, increasing efficiency, and improving customer satisfaction.

b) Discuss the concept and variance of Buying locally and abroad:

Buying locally involves purchasing goods from within a specific geographic area or region. Purchasing goods from abroad refers to buying products from other countries. The primary difference between buying locally and buying abroad is the distance between the buyer and seller.

The purchase of goods and services is critical to the success of any business. There are two primary ways to purchase goods: buying locally and buying abroad. Buying locally involves purchasing products from within a specific geographic area or region. On the other hand, purchasing goods from abroad refers to buying products from other countries.

The concept of buying locally has become increasingly popular in recent years. It is driven by a desire to support local businesses, reduce transportation costs, and promote the use of environmentally friendly transportation methods such as cycling or walking.

When a company purchases goods from abroad, they must take into account various factors such as shipping costs, import taxes, and exchange rates. These factors can affect the total cost of the goods and the company's ability to compete in the local market. Additionally, there are potential cultural and language barriers that must be overcome when purchasing goods from abroad.

Buying locally and abroad are two different ways of purchasing goods and services. The primary difference between these two methods is the distance between the buyer and seller. Buying locally can help support local businesses, reduce transportation costs, and promote environmentally friendly transportation methods. Buying abroad can result in additional costs, such as shipping and import taxes, as well as potential cultural and language barriers.

To know more about supply chain management visit

https://brainly.com/question/33203759

#SPJ11

Elam, a contractor, just signed a contract with a developer to provide services in a new housing development. The developer has agreed to pay Elam $32,475 in 5 years and another $69,404 13 years from today. Elam anticipates costs of $13,246 10 years from today and another $20,274 cost 18 years from today. What is the total present value of the contract to Elam if the interest rate is 4.52% compounded annually?

Answer Format:
INCLUDE ONLY NUMBERS AND DECIMALS IN YOUR ANSWER. Do not include "$" "," or any other formatting. Carry interim computations to at least 4 decimals.

Enter numerical answers as a positive number rounded to 2 decimal places (###.##)

Answers

To find the total present value of the contract, we calculate the present value of each cash flow using the given interest rate and time period, and then sum them up.

To calculate the total present value of the contract to Elam, we need to find the present value of each cash flow and then sum them up. We'll use the formula for present value:PV = CF / (1 + r)^n  .  where PV is the present value, CF is the cash flow, r is the interest rate, and n is the number of years.For the first cash flow of $32,475 in 5 years, the present value is:

PV1 = 32,475 / (1 + 0.0452)^5

For the second cash flow of $69,404 in 13 years, the present value is:

PV2 = 69,404 / (1 + 0.0452)^13

For the cost of $13,246 in 10 years, the present value is:

PV3 = -13,246 / (1 + 0.0452)^10 (negative sign because it's a cost)

For the cost of $20,274 in 18 years, the present value is:

PV4 = -20,274 / (1 + 0.0452)^18 (negative sign because it's a cost)

Now we can calculate the total present value:

Total PV = PV1 + PV2 + PV3 + PV4

Performing the calculations will give you the total present value of the contract to Elam.We calculate the present value of each cash flow using the given interest rate and time period, and then sum them up.

To learn more about present value click here

brainly.com/question/28304447

#SPJ11

Why do private equity firms want to be seen as Asset Managers and not as private equity firms?

Answers

Private equity firms may prefer to be seen as asset managers rather than explicitly identifying themselves as private equity firms due to various reasons.

By positioning themselves as asset managers, they can benefit from a broader perception that encompasses a wider range of investment strategies and asset classes. This can lead to enhanced reputation, increased access to capital, and potential regulatory advantages. Additionally, being perceived as asset managers may allow private equity firms to avoid some of the negative connotations associated with the private equity industry, such as job cuts or aggressive cost reductions.

Private equity firms often aim to be seen as asset managers because it offers several advantages. Firstly, the term "asset manager" has a broader connotation that encompasses a range of investment strategies and asset classes beyond private equity. By positioning themselves as asset managers, these firms can present themselves as more diversified and sophisticated, potentially attracting a broader investor base and expanding their access to capital.

Additionally, being perceived as asset managers may provide regulatory advantages. Private equity firms sometimes face stricter regulations and scrutiny compared to traditional asset managers. By presenting themselves as asset managers, they may benefit from a more favorable regulatory environment and potentially lighter compliance requirements.

Furthermore, the private equity industry has faced criticism in the past, often associated with job cuts, aggressive cost reductions, and leveraged buyouts. Presenting themselves as asset managers allows these firms to distance themselves from these negative connotations and focus on the positive aspects of their investment strategies, such as value creation and long-term growth.

In summary, positioning themselves as asset managers allows private equity firms to benefit from a broader perception, potential regulatory advantages, and the ability to mitigate negative associations with the private equity industry.

Learn more about private equity firms here: brainly.com/question/30074360

#SPJ11

Nick's Enchiladas Incorporated has preferred stock outstanding that pays a dividend of $3 at the end of each year. The preferred sells for $50 a share. What is the stock's required rate of return (assume the market is in equilibrium with the required return equal to the expected return)? Round the answer to two decimal places.

Answers

The required rate of return for Nick's Enchiladas Incorporated's preferred stock is 6%.

To calculate the stock's required rate of return, we can use the dividend discount model (DDM). The DDM states that the stock's value is equal to the present value of its future dividends. The formula for the DDM is as follows:

Stock Value= Dividend / Required Rate of Return

In this case, we are given that the preferred stock pays a dividend of $3 per year and sells for $50 a share. Therefore, we can rearrange the formula to solve for the required rate of return:

Required Rate of Return = Dividend / Stock Value

Required Rate of Return = $3 / $50

Required Rate of Return = 0.06 or 6%

Therefore, the stock's required rate of return is 6%.

This means that investors expect a 6% return on their investment in the stock, which is in line with the stock's current price and the dividend it pays. The required rate of return represents the minimum rate of return investors demand to justify their investment in the stock, considering its dividend payments.

To learn more about Stock Value click here:

brainly.com/question/32330808

#SPJ11

Which of the following is a correct statement about tax incidence?
a. Consumers share less of the tax burden if the tax is imposed on producers rather than consumers.
b. Consumers share more of the tax burden in the market as the supply curve becomes more inelastic
c. Consumers share more of the tax burden in the market as the demand curve becomes more inelastic
d. Consumers share more of the tax burden if the tax is imposed on consumers rather than producers

Considering demand only (assuming all other factors including the supply, equilibrium price, equilibrium quantity, tax, etc. are the same), a tax on which of the following goods would result in a largest tax revenue?
a. Gasoline (price elasticity of demand =0.5 )
b. medicine (price elasticity of demand =0.4 )
c. restaurant meals (price elasticity of demand = 1.1)
d. tobacco (price elasticity of demand =0.7 )

Answers

a. Consumers share less of the tax burden if the tax is imposed on producers rather than consumers.

This statement is generally true. When a tax is imposed on producers, it increases the cost of production for them. As a result, producers may pass on some or all of the tax burden to consumers by increasing the price of the goods or services. However, the extent to which consumers bear the burden depends on the price elasticity of demand and price elasticity of supply.

b. Consumers share more of the tax burden in the market as the supply curve becomes more inelastic.

This statement is incorrect. The burden of a tax is not directly related to the elasticity of the supply curve. The tax burden depends on the relative price elasticities of demand and supply. When supply is more inelastic, it means that producers have a limited ability to adjust their quantity supplied in response to changes in price. In such cases, consumers may bear a larger portion of the tax burden.

c. Consumers share more of the tax burden in the market as the demand curve becomes more inelastic.

This statement is correct. When the demand curve is more inelastic, it means that consumers are less responsive to changes in price. In such cases, consumers have a limited ability to reduce their quantity demanded in response to price increases due to the tax. As a result, they bear a larger share of the tax burden.

d. Consumers share more of the tax burden if the tax is imposed on consumers rather than producers.

This statement is generally true. When a tax is imposed directly on consumers, it increases the price they have to pay for the goods or services. As a result, consumers bear the burden of the tax in the form of higher prices.

Regarding the question about which goods would result in the largest tax revenue, the answer would depend not only on the price elasticity of demand but also on the current price, the tax rate, and the quantity of the goods being sold. Without additional information, it is not possible to determine which specific good would generate the largest tax revenue solely based on the price elasticity of demand provided.

#SPJ11

Learn more on taxes: https://brainly.com/question/30109497#

ABC stock is currently trading at $46 but you want to wait and see if it gets momentum. You will buy ABC if it rises to $48 in the next 2 weeks but you don't want to pay more than $50. What would you do? You will place a stop buy order with stop price =$48 You will place a limit buy order with limit price =$48 You will place a stop limit buy order with stop price =$48 and limit price −$50 You will place a stop limit buy order with limit price =$48 and stop price =$50

Answers

To execute the desired trade, you should place a stop limit buy order with a stop price of $48 and a limit price of $50.

A stop buy order is triggered when the stock price reaches or exceeds the specified stop price. Placing a stop buy order with a stop price of $48 means that if the stock price reaches $48 or higher, the order will be triggered.

However, to ensure that you don't pay more than $50 for the stock, you should also set a limit price. A limit buy order allows you to specify the maximum price you are willing to pay for the stock. Placing a limit buy order with a limit price of $50 ensures that if the stop price of $48 is triggered, your order will only be executed if the stock price remains at $50 or below.

Therefore, the appropriate choice is to place a stop limit buy order with a stop price of $48 and a limit price of $50. This order combines the trigger condition of the stop buy order with the price limit of the limit buy order, allowing you to control the maximum price you are willing to pay.

Learn more about different types of stock orders here: brainly.com/question/31970640

#SPJ11

a worrisome outcome of chronic inflation is that it tends to

Answers

A worrisome outcome of chronic inflation is that it tends to erode the purchasing power of money.

Chronic inflation refers to a persistent and sustained increase in the general level of prices in an economy over an extended period. When prices rise continuously, the value of money declines over time. This means that the same amount of money can buy fewer goods and services. As a result, individuals and businesses experience a decrease in their purchasing power.

This can lead to several negative consequences, including reduced standards of living, decreased savings and investment, distortions in economic decision-making, and increased uncertainty and instability in the economy. Therefore, chronic inflation tends to erode the purchasing power of money.

You can learn more about inflation  at

https://brainly.com/question/21586910

#SPJ11

You own $20,000,000 par value of a 10-year corporate bond. The current market value of this bond is $17490000. What is the Market PRICE of this bond?

Answers

The market price of the bond can be calculated using the following formula:

Market price of bond = (Market value of bond / Par value of bond) x 100

Given that you own $20,000,000 par value of a 10-year corporate bond and the current market value of this bond is $17,490,000, we can find the market price of this bond as follows:

Market price of bond = (17,490,000 / 20,000,000) x 100

Market price of bond = 0.8745 x 100

Market price of bond = 87.45

Therefore, the market price of the bond is 87.45.

#SPJ11

Learn more about "bond" https://brainly.com/question/29282058

All of the following are fraudulent health care practices EXCEPT:
A) continuing to counsel a client at risk of harming themselves, free of charge, after his or her health care benefits have run out.
B) providing family counseling services (which are not reimbursable) and reporting that individual counseling services are being provided (which are reimbursable).
C) waiving the co-payment when a co-payment is required.
D) billing for a missed session and indicating the client attended the session because missed sessions are not reimbursable.
E) reporting that an approved professional is providing direct services to a client when the services actually are being provided by a counselor who is not approved.

Answers

Waiving the co-payment when a co-payment is required is not a fraudulent health care practice. The correct option is option C.

What are Fraudulent Health care practices

Fraudulent healthcare practices are dishonest actions carried out in the healthcare sector with the intent of taking advantage of patients, making illegal financial gains, or abusing the healthcare systems. These procedures may involve healthcare workers, institutions, or people who knowingly commit fraud.

For fraudulent health care practice to be curtailed, it is crucial for patients, insurance companies, and regulatory bodies to remain vigilant in identifying and combating fraudulent healthcare practices to protect the integrity of the healthcare system and ensure patient safety.

Learn more about fraud practice here

https://brainly.com/question/14815861

#SPJ1

What is the basic regulatory conflict that exists within private equity firms as they market themselves to the stock market as Asset Managers?

Answers

The basic regulatory conflict that exists within private equity firms as they market themselves to the stock market as asset managers is the differing regulatory requirements for private equity firms and traditional asset managers.

Private equity firms often aim to access the public stock market to raise capital and expand their investor base. However, they must navigate regulatory frameworks that are primarily designed for traditional asset managers, which may impose stricter rules and reporting requirements. This conflict arises due to the distinct characteristics and investment strategies of private equity, which may not align perfectly with the regulatory expectations for asset management activities.

Private equity firms typically engage in investments in private companies, focusing on equity and debt financing, acquisitions, and restructuring. When these firms seek to market themselves as asset managers and access the stock market, they encounter regulatory conflicts.

Asset management activities are subject to specific regulations that aim to protect investors and ensure transparency. However, the regulatory frameworks are primarily designed for traditional asset managers who manage publicly traded securities and operate under different investment strategies.

Private equity firms often face challenges when they attempt to comply with regulations that are not tailored to their unique investment structures and practices. For example, reporting requirements, liquidity standards, and valuation methodologies may not align with private equity investments, which typically involve longer time horizons and illiquid assets.

As a result, private equity firms may need to navigate a complex regulatory landscape that requires them to adapt and find a balance between compliance with existing regulations and showcasing their value proposition to potential investors in the stock market.

Learn more about asset managers here: brainly.com/question/11239217

#SPJ11

The amount to present on the Statement of Financial Position associated with a bonds payable is: Not yet a. The maturity value of the bond payable. b. The fair value of the bond payable. c. The carrying value of the bond payable. d. The face value of the bond payable.

Answers

The correct answer is c. The carrying value reflects adjustments for discounts, premiums, and accrued interest on the bond payable.

The correct answer is c. The carrying value of the bond payable.

The carrying value represents the amount at which the bond payable is reported on the Statement of Financial Position, also known as the balance sheet. It is the face value of the bond adjusted for any unamortized discounts or premiums and any accrued interest.

When a bond is issued at a discount or premium, it means that its face value is different from its issue price. The discount or premium is amortized over the life of the bond, which affects the carrying value. The carrying value reflects the net amount that the company owes to bondholders at a given point in time.

The maturity value of the bond payable (a) represents the total amount the company will pay to bondholders at maturity and is not relevant to the Statement of Financial Position. The fair value of the bond payable (b) may fluctuate over time and is not used for reporting purposes. The face value of the bond payable (d) is the initial amount borrowed but does not reflect any subsequent adjustments or changes.

Learn more about bond payable here:

https://brainly.com/question/30638118

#SPJ11

If the marginal pioduct of labor (MPNA) is the beneft from employing an entra wonar, then exira rovenue to a firm is the marginal covenue poodus ef libor, given by A. MPḰ B. MRPN แPTMPN C. MPN=พ D. UC Uल

Answers

The correct answer is B. MRPN. Extra revenue to a firm is the marginal revenue product of labor, which is calculated as the marginal revenue (MR) multiplied by the marginal product of labor (MPN).

Marginal refers to the additional or incremental change resulting from a unit increase or decrease in a particular variable or factor. It is often used in economics to analyze the effects of small changes in quantities. Marginal analysis involves examining the impact of each additional unit on costs, benefits, or outcomes. For example, marginal cost represents the increase in total cost when one more unit is produced, while marginal utility measures the additional satisfaction or value gained from consuming an extra unit of a good. Understanding marginal concepts helps decision-makers evaluate the efficiency and effectiveness of their choices, optimize resource allocation, and assess the trade-offs involved in decision-making processes.

Learn more about marginal here:

https://brainly.com/question/31648480

#SPJ11

The Pharoah Pet Store sells Diva Doggie pet waste disposal systems for $50 each. The systems include the unit and a one-year supply of enzyme digester waste terminator. The cost of the unit and enzyme is $30. The only other costs are fixed costs of $2,700. During the current period, Pharoah sold 540 of the units through the store's new on-line catalog division. What is the contribution margin per unit? (Round answers to 0 decimal places, e.g. 25.) Contribution margin per unit $ eTextbook and Media What is the contribution margin ratio? (Round answers to 0 decimal places, e.g. 25.) Contribution margin ratio % What is the breakeven point in units? In dollars? (Use your answer of breakeven units to calculate the breakeven point in dollars. Round Breakeven units and point in dollar to 0 decimal places, e.g. 25,000.) Breakeven point in units units Breakeven point in dollars eTextbook and Media What is the margin of safety in units? In dollars? (Use your answer of margin of safety in units to calculate the margin of safety in dollars. Round Margin of safety units and point in dollar to 0 decimal places, e.g. 25,000.) Margin of safety in units units Margin of safety in dollars $

Answers

Contribution margin per unit: $20   Contribution margin ratio: 40%   Breakeven point in units: 135 units

Breakeven point in dollars: $6,750   Margin of safety in units: 405 units   Margin of safety in dollars: $20,250

To calculate the various metrics, we need to use the following formulas:

Contribution margin per unit = Selling price per unit - Variable cost per unit

Contribution margin ratio = (Contribution margin per unit / Selling price per unit) * 100

Breakeven point in units = Fixed costs / Contribution margin per unit

Breakeven point in dollars = Breakeven point in units * Selling price per unit

Margin of safety in units = Actual sales units - Breakeven point in units

Margin of safety in dollars = Margin of safety in units * Selling price per unit

Given data:

Selling price per unit = $50

Variable cost per unit = $30

Fixed costs = $2,700

Actual sales units = 540

Calculations:

Contribution margin per unit = $50 - $30 = $20

Contribution margin ratio = ($20 / $50) * 100 = 40%

Breakeven point in units = $2,700 / $20 = 135 units

Breakeven point in dollars = 135 units * $50 = $6,750

Margin of safety in units = 540 units - 135 units = 405 units

Margin of safety in dollars = 405 units * $50 = $20,250

Therefore, the results are as follows:

Contribution margin per unit: $20

Contribution margin ratio: 40%

Breakeven point in units: 135 units

Breakeven point in dollars: $6,750

Margin of safety in units: 405 units

Margin of safety in dollars: $20,250

To know more about Breakeven point visit :

https://brainly.com/question/27106216

#SPJ11

what are the steps to make a competitive analysis for green funeral home service which is in the industry of funeral?

Answers

To conduct a competitive analysis for a green funeral home service in the funeral industry, several steps can be followed. These include identifying key competitors, assessing their strengths and weaknesses, analyzing their pricing and service offerings, evaluating their marketing and branding strategies, and examining customer feedback and satisfaction. Additionally, considering market trends, regulatory factors, and potential opportunities for differentiation can provide valuable insights for developing a competitive advantage.

Identify key competitors: Begin by identifying other funeral homes in the area that offer similar green funeral services. This can include both local and national competitors.

Assess strengths and weaknesses: Analyze the strengths and weaknesses of each competitor, such as their reputation, experience, range of services, pricing, customer base, and resources. This evaluation will help identify areas where your funeral home can differentiate itself.

Analyze pricing and service offerings: Compare the pricing structure and service offerings of your competitors. Evaluate how they position themselves in terms of price, quality, and value for customers.

Evaluate marketing and branding strategies: Examine how competitors market their green funeral services. Look at their online presence, advertising tactics, social media engagement, and overall branding strategy. Assess their effectiveness in reaching and appealing to the target market.

Examine customer feedback and satisfaction: Seek customer feedback through online reviews, surveys, and testimonials for your competitors. Understand the strengths and weaknesses of their customer service, responsiveness, and overall customer satisfaction levels.

Consider market trends and opportunities: Identify emerging trends in the funeral industry, such as increased demand for eco-friendly options or personalized funeral experiences. Look for potential opportunities to differentiate your green funeral home service based on these trends.

By following these steps, you can gain valuable insights into the competitive landscape of the funeral industry and develop strategies to position your green funeral home service effectively. Understanding your competitors' strengths, weaknesses, pricing, marketing strategies, and customer satisfaction levels will enable you to identify opportunities to differentiate your business and provide unique value to your target market.

To know more about green funeral :

brainly.com/question/31097097

#SPJ11

Oriole corporation

Financial statements for the fiscal year June ended ($thousand)

Income statement

Net sales 1500

Cost 200

Net income 1300

Balance sheet

Assets 900000 debt 800

Equity 100

Total 900 000 total 900 000

Oriole management expects sales to increase by 17 percent next year. Assume that the financial statement accounts vary directly with changes in sales and that management has no financing plan at this time. If you assumes that all balance sheet items also vary with the change in sales, develop a pro forma balance sheet for oriole for the next fiscal year. ( enter months in thousands.)

Assume that the firm did not sell or repurchase stock, what is the cash dividend implied by the pro forma income statement and balance sheet?

Answers

The cash dividend implied by the pro forma income statement and balance sheet is $702.

The pro forma balance sheet for Oriole for the next fiscal year

Oriole Corporation

Financial statements for the fiscal year June ended ($thousand)

Income statement

Net sales

1500

Cost 200

Net income 1300

Balance sheet

Assets 900000

Debt 800

Equity 100

Total 900 000

Total 900 000

We need to calculate the various items of balance sheet for Oriole Corporation for the next year. As it is given that all balance sheet items vary directly with changes in sales. So, we can directly multiply the given items with the given growth rate of sales to get the pro forma balance sheet. The growth rate in sales is 17%.We get the following pro forma balance sheet for Oriole Corporation:

Assets: 900,000 * 1.17 = 1,053,000

Debt: 800 * 1.17 = 936

Equity: 100 * 1.17 = 117

Total: 1,053,000 + 936 + 117 = $1,053,053

Cash dividend implied by the pro forma income statement and balance sheet

Given that the firm did not sell or repurchase stock. We need to calculate the cash dividend implied by the pro forma income statement and balance sheet.

Cash Dividends = Net Income - Addition to Retained Earnings

Net Income for the next year will be calculated as a product of the growth rate and the current year's net income.

Net Income (Next year) = Net Income (Current year) * Growth Rate

Net Income (Next year) = $1300 * 1.17

= $1,521

Addition to Retained Earnings = Net Income - Dividend

Addition to Retained Earnings = $1,521 - Dividend

As we know that the Total equity for the next year will be $117, so:

Dividend = Addition to Retained Earnings - Change in Retained Earnings

Dividend = ($1,521 - Dividend) - ($117 - $100)

Dividend = $1,404 - Dividend

Dividend + Dividend = $1,404

Dividend = $702

To know more about the dividend, visit:

https://brainly.com/question/27873523

#SPJ11

Which of the following is not a condition that must be met for an engagement to evaluate compliance with laws, regulations, or other matters? Multiple Choice Management must accept responsibility for compliance. Management’s evaluation of compliance is capable of evaluation and is measured against reasonable criteria. Sufficient evidence is available to support management’s evaluation. Management provides a report attesting to satisfactory compliance.

Answers

The condition that is not necessary for an engagement to assess compliance with laws, regulations, or other matters is Management provides a report attesting to satisfactory compliance.

Engagement refers to an audit where an independent auditor examines a business's financial information to ensure that it is accurate and compliant with all relevant laws and regulations. The auditor provides an opinion on whether the financial statements are fairly presented in accordance with accounting standards.Auditing standards of the PCAOB (Public Company Accounting Oversight Board) define an engagement to assess compliance with laws, regulations, or other matters as a compliance audit.Condition that must be met for an engagement to evaluate compliance with laws, regulations, or other matters are as follows:Management must accept responsibility for compliance.Management's evaluation of compliance is capable of evaluation and is measured against reasonable criteria.Sufficient evidence is available to support management’s evaluation.What is not a condition for an engagement to evaluate compliance with laws, regulations, or other matters.The condition that is not necessary for an engagement to assess compliance with laws, regulations, or other matters is Management provides a report attesting to satisfactory compliance. This is because auditors must perform procedures to determine whether management's assertion of compliance is correct. They must not rely on management's assertion of compliance.

To know more about ,  Management   visit:

https://brainly.com/question/1276995

#SPJ11

Which alternative budget format provides for spending according to common public goals or purposes?
a) Traditonal Performance
b) Traditional
c) New performance or Results-oriented
d) Performance or functional

Answers

The correct option is c) New performance or Results-oriented is the alternative budget format provides for spending according to common public goals or purposes.

The alternative budget format that provides for spending according to common public goals or purposes is the "New performance or Results-oriented" budget format. This budgeting approach focuses on outcomes and results rather than simply allocating funds based on historical spending patterns or inputs. It aims to align budget allocations with the achievement of specific goals and desired outcomes.

In the Results-oriented budget format, spending decisions are driven by the expected outcomes and the performance measures associated with those outcomes. It emphasizes the accountability of government agencies and organizations in delivering measurable results and achieving public goals. This approach requires clear performance indicators, targets, and metrics to assess the effectiveness and efficiency of public spending.

By adopting the Results-oriented budget format, governments and public organizations can prioritize spending based on the desired outcomes and allocate resources in a manner that aligns with the common public goals or purposes.

The New performance or Results-oriented budget format enables spending according to common public goals or purposes by focusing on outcomes and aligning budget allocations with specific goals. This approach emphasizes accountability and the achievement of measurable results in public spending decisions.

Learn more about Results-oriented here:

brainly.com/question/33457495

#SPJ11

A business has current assets of 200 Million and current liabilities of 100 Million. Total assets are 800 Million, and total liabilities are 400 Million. Its Current ratio is __________ and its Debt to Equity ratio is _________

Answers

The Current ratio of the business is 2, and its Debt to Equity ratio is 0.5.

To calculate the Current ratio, we divide the current assets by the current liabilities. In this case, the current assets are $200 million, and the current liabilities are $100 million.

Current ratio = Current assets / Current liabilities = $200 million / $100 million = 2

The Debt to Equity ratio is calculated by dividing the total liabilities by the total equity. In this case, the total liabilities are $400 million.

Debt to Equity ratio = Total liabilities / Total equity = $400 million / ($800 million - $400 million) = $400 million / $400 million = 1

Therefore, the Current ratio is 2 and the Debt to Equity ratio is 0.5.

Learn more about financial ratios here: brainly.com/question/31531442

#SPJ11

a _____ is a formal iou issued by a corporation or government entity.

Answers

A bond is a financial instrument used by corporations or government entities to borrow money from investors.

What is a bond and how does it work?

It represents a formal agreement in which the issuer promises to repay the borrowed amount, known as the principal, along with periodic interest payments over a specified period of time. Bonds are typically issued with a predetermined interest rate, referred to as the coupon rate, and a maturity date when the principal is repaid in full.

Bonds serve as a means for corporations and governments to raise capital for various purposes, such as funding infrastructure projects, expanding operations, or managing debt. Investors who purchase bonds become creditors of the issuer and are entitled to receive the interest payments and the return of the principal amount at maturity.

Learn more about instrument

brainly.com/question/28572307

#SPJ11

An investor is in a 30% combined federal plus state tax bracket. If corporate bonds offer 10.25% yields, what yield must municipals offer for the investor to prefer them to corporate bonds? (Round your answer to 2 decimal places.) Minimum municipals offer %

Answers

Municipals must offer a minimum yield of 14.64% for the investor to prefer them over corporate bonds.

To calculate the minimum yield that municipals must offer for the investor to prefer them over corporate bonds, we need to consider the tax advantage of municipal bonds.

municipal bonds are generally exempt from federal income tax and sometimes from state and local income taxes as well, depending on the investor's residence and the specific bonds. in this case, we will assume that the municipal bonds are exempt from both federal and state income taxes.

the formula to calculate the equivalent taxable yield (minimum yield municipals must offer) is as follows:

equivalent taxable yield = municipal yield / (1 - tax rate)

given:tax rate = 30%

corporate bond yield = 10.25%

let's calculate the minimum yield municipals must offer:

equivalent taxable yield = 10.25% / (1 - 0.30) = 14.64% (rounded to 2 decimal places)

Learn more about bond here:

https://brainly.com/question/31994049

#SPJ11

An oil company supplies two distributors in the northwest from two​ outlets, S1 and S2. Distributor D1 needs at least 4000 barrels of​ oil, and distributor D2 needs at least 6000 barrels. The two outlets can each furnish up to 6000 barrels of oil. The costs per barrel to ship the oil are given in the accompanying table. There is also a shipping tax per barrel as given in the accompanying table. The oil company is determined to spend no more than ​$49,000 on shipping tax. Complete parts​ (a) and​ (b) below.

Tax per barrell

d1 d2
s1 2 6
s2 5 4
costs per barrel to ship oil

32 22
25
22

How should the oil be supplied to minimize shipping​ costs?

Outlet S1 should send ?? barrels to distributor D1.

Answers

To minimize shipping costs, we can use the transportation method known as the Northwest Corner Rule or the Minimum-Cost Method. This method involves starting from the northwest corner of the cost matrix and allocating shipments until the supply and demand constraints are met. Let's calculate the allocations:

Start by allocating as much as possible from S1 to D1: 4000 barrels (the minimum requirement of D1).

Allocate the remaining demand of D1 (6000 - 4000 = 2000 barrels) from S2 to D1.

Allocate the remaining demand of D2 (6000 barrels) from S2 to D2.

The allocations would look as follows:

Outlet S1 to Distributor D1: 4000 barrels

Outlet S1 to Distributor D2: 0 barrels

Outlet S2 to Distributor D1: 2000 barrels

Outlet S2 to Distributor D2: 6000 barrels

To determine the minimum shipping cost, we multiply the quantity of oil allocated with the corresponding shipping cost and sum them up:

Total shipping cost = (4000 * $32) + (0 * $22) + (2000 * $25) + (6000 * $22)

= $128,000 + $0 + $50,000 + $132,000

= $310,000

Therefore, to minimize shipping costs, Outlet S1 should send 4000 barrels to Distributor D1.

To know more about shipping costs click this link-

https://brainly.com/question/31118579

#SPJ11

Information for Question 1

Your house is valued at $200,000. Your car is worth $20,000. Your checking account has $3,000. Your saving account has $6,000. The value of your 401(k) account is $20,500.

Your outstanding 15-year mortgage balance is $140,000. Your outstanding 4-year student loan balance is $30,000. Your outstanding 5-year auto loan balance is $10,000. Your outstanding credit card balance is $1,000. You also have a utilities bill of $200, a medical bill of $300, and a property tax bill of $2,000.

PART A. What’s the total value of your assets?

a. $249,500

b. $229,000

c. $246,500

d. $243,500

PART B. What’s the total value of your liabilities?

a. $183,300

b. $181,200

c. $183,500

d. $173,500

PART C. What’s the value of your net worth?

a. $66,000

b. $73,000

c. $47,800

d. $60,200

PART D. Which of your assets are generally considered liquid assets?

a. Checking & Saving Accounts

b. 401(k)

c. Car

d. House

PART E. Which of your liabilities are generally considered long-ter

Answers

The outstanding 15-year mortgage balance is generally considered a long-term liability.The outstanding 15-year mortgage balance is generally considered a long-term liability because it has a long-term repayment period. Thus, the outstanding 15-year mortgage balance is generally considered a long-term liability.

Part A. Total value of assets are $249,500The value of the house is $200,000, the car is worth $20,000, the checking account has $3,000, the saving account has $6,000, and the value of the 401(k) account is $20,500. Thus, the total value of assets is:$200,000 + $20,000 + $3,000 + $6,000 + $20,500 = $249,500Therefore, the total value of the assets is $249,500.Part B. Total value of liabilities are $183,300

The outstanding 15-year mortgage balance is $140,000, the outstanding 4-year student loan balance is $30,000, the outstanding 5-year auto loan balance is $10,000, and the outstanding credit card balance is $1,000. Also, there is a utilities bill of $200, a medical bill of $300, and a property tax bill of $2,000.

Thus, the total value of the liabilities is:$140,000 + $30,000 + $10,000 + $1,000 + $200 + $300 + $2,000 = $183,300Therefore, the total value of the liabilities is $183,300.Part C. The value of your net worth is $66,200The value of assets is $249,500, and the value of liabilities is $183,300. Therefore, the value of net worth is:$249,500 - $183,300 = $66,200

To know more about mortgage visit:

https://brainly.com/question/31751568

#SPJ11

Other Questions
Which of the following is not an example of a primary enterprise system?A. Supply chain managementB. Customer relationship managementC. Enterprise revenue planningD. Enterprise resource planning The local government of a district is theA) ParliamentB) Regional CorporationC) Community CentreD) Ruling Party Ohio Shoe Stores is planning to sell its Brunswick, Warren, and North Ridgeville stores. The firm expects to sell each of the three stores for the same, positive cash flow of $E. The firm expects to sell its Brunswick store in Z years, its Warren store in Z years, and its North Ridgeville store in X years. The cost of capital for the Brunswick and Warren stores is J percent and the cost of capital for the North Ridgeville store is M percent. We know that Z> X> 0 and J> M > O. The cash flows from the sales are the only cash flows associated with the various stores. Based on the information in the preceding paragraph, which one of the following assertions is true? O The Warren store is the most valuable of the 3 stores O Two of the three stores have equal value and those two stores are more valuable than the third store or all three stores have the same value O The Brunswick store is the most valuable of the 3 stores O The North Ridgeville store is the most valuable of the 3 stores O Cannot be determined based on the information given Determine the formula for the compound formed between Ag and Se, being sure to indicate on the written portion how you found this formula. Write your formula in the format Ag x Se y and input the subscripts below, being sure to indicate the subscript of 1 if applicable (even though we don't usually write subscripts of 1 , you can't leave a box blank!) x= A y A commonly seen _____ symptom that occurs in schizophrenia is _____.A) negative; delusionsB) positive; alogiaC) negative; flat affectD) positive; avolition which of the following is not a meta search engine what is the difference between grey matter and white matter which word best describes president trumans policy to dealing with communism? Should Americans be willing to sacrifice some freedoms listed inthe Bill of Rights in order to provide a more secure society?Please cite at least one example from this weeks reading. Which of the following is a feature of whey protein?A. Regular consumption by athletes enhances performanceB. It is a waste product of cheese productionC. It is a high-priced protein supplementD. It is chemically extracted from gelatin What are the major costs of operating the establishment?Suppose last year, the original site had yielded total revenues of RM146,000, total cost of RM120,000 and hence a profit of RM26,000. Remy judged this profit level to be satisfactory. For the coming year, Remy expected due to increase recognition from the customers, total revenue will increase by 20 percent to RM175,200. What amount of profit should he expected from the site? From a 2.562 g sample containing only iron, sand, and salt, 0.572 g of iron and 1.347 g of sand were separated and recovered. What was the percent of salt in the original sample? Shoulder joint: extension; shoulder girdle: downward rotation and probably adduction.Subject: In a standing position with arm flexed to shoulder level then lower it until 45 degrees from side while resistance is applied.Assistant: Resist movement at underside of elbow.Observer: Palpate the latissimus dorsi and the pectoralis major.Do these two muscles contract with equal force throughout the movement? Explain your answer. -10=x-7 pls help meeeee A Horton Sphere (a spherical storage tank) of radius R contains a liquid and the height of the liquid free surface is a height H above the base of the tank. Derive an expression relating the surface area of the liquid free surface, A, to the height of the liquid above the base of the tank where H must be less than or equal to the radius of the tank (i.e. tank is not more than half). Hint: this is a real chemical engineering application of the theorem of Pythagoras! A(H)=(2RHH 2 Consider the chemical reaction that occurs when calcium nitrate is mixed with ammonium sulfate to form calcium sulfate and ammonium nitrate. How many dozen molecules of ammonium sulfate will you need to completely react with 56.8 dozen molecules of calcium nitrate? This is called a double displacement reaction. Enter your answer as a number. Do no include the words "dozen molecules". Numeric answer After going through the readings and watching the videos for this module, you should have a good sense of how hard it is for workers to unionize in the U.S. Use the case of Amazon to address the following questions. 1) In your opinion, what is it about the social, cultural, political and legal environment in the U.S. that makes it so difficult for workers to organize in a union? 2) How did the Amazon Labor Union succeed when so many others before them had failed? What are the lessons one can learn from this? 3) Can you think of a situation in your own personal experience (or reading) which indicated the importance/power of collective bargaining or collective action? The hydropathy of amino acids can help determine the folding of protein chains. True False (1) Moving to the next question prevents changes to this answer. Glacier Mining Co. acquired mineral rights for $148,352,000. The mineral deposit is estimated at 390,400,000 tons. During the current year, 49,868,000 tons were mined and sold. A. Determine the depletion rate. Round your answer to two decimal places. B. Determine the amount of depletion expense for the current year. C. Journalize the adjusting entry on December 31 to recognize the depletion expense. Refer to the Chart of Accounts for exact wording of account titles.A. Determine the depletion rate. Round your answer to two decimal places. per tonB. Determine the amount of depletion expense for the current year.C. Journalize the adjusting entry on December 31 to recognize the depletion expense. Refer to the Chart of Accounts for exact wording of account titles. The total cost (in dollars) of producing a product is given by C(x)=900x+0.1x+1200 where x represents the number of units produced. (a) Give the total cost of producing 10 units. $ (b) Give the value of C(100). C(100)= (c) Give the meaning of C(100). For every $100 increase in cost this many more units can be produced. For every additional 100 units created the cost (in dollars) decreases by this much. It costs $100 to produce this many units. This is the total cost (in dollars) of producing 100 units.