A review of Parson Corporation's accounting records found that at a volume of 144,000 units, the variable and fixed cost per unit amounted to $6 and $2, respectively. On the basis of this information, what amount of total cost would Parson anticipate at a volume of 137,000 units?

Answers

Answer 1

Answer:

1,110,000

Explanation:

Parson Corporation's

Volume of unit × Fixed cost per unit

144,000 unit ×2 cost per unit= 288,000

Volume of unit × Variable cost per unit

137,000 unit × 6 cost per unit = 822,000

Therefore

822,000+288,000= 1,110,000

Parson would anticipate 1,110,000 of total cost at a volume of 137,000 units.

Answer 2

Answer:

$ 1, 100,000

Explanation:

Total fixed costs=(2 x 144,000)= $288,000

Hence total cost at 137,000 units=Total fixed costs+Total variable costs

=$288,000 + (6 x 137,000)

=$1,110,000.


Related Questions

Suppose that Verizon Wireless has hired you as a consultant to determine what price it should set for calling services. Suppose that an individual's inverse demand for wireless services in the greater Boston area is estimated to be P = 100 − 25Q and the marginal cost of providing wireless services to the area is $1 per minute. What is the optimal two-part price that you would suggest to Verizon?

Answers

Final answer:

The optimal two-part price that I would suggest to Verizon is $400 per minute for calling services.

Explanation:

In order to determine the optimal two-part price that Verizon should set for calling services, we need to consider the inverse demand function and the marginal cost. The inverse demand function is given by P = 100 - 25Q, where P is the price and Q is the quantity demanded. The marginal cost of providing wireless services is $1 per minute.

To find the optimal two-part price, we need to find the quantity at which marginal revenue equals marginal cost. Marginal revenue is the derivative of the inverse demand function. So, taking the derivative of P = 100 - 25Q, we get dP/dQ = -25.

Setting dP/dQ equal to the marginal cost of $1, we have -25 = 1. Solving for Q, we find Q = 24. Substituting this value of Q into the inverse demand function, we can find the price P = 100 - 25(24) = $400.

Therefore, the optimal two-part price that I would suggest to Verizon is $400 per minute for calling services.

Aegis Industries Inc., is the biggest snowmobile manufacturer in the world. It reported the following amounts in its financial statements (in millions): 2012 2013 2014 2015 Net Sales Revenue $ 3,300 $ 2,760 $ 2,090 $ 1,670 Cost of Goods Sold 2,380 2,000 1,560 1,270 Average Inventory 330 280 220 210 Required: 1-a. Calculate the inventory turnover ratio for 2015, 2014, and 2013. 1-b. Calculate the average days to sell inventory for 2015, 2014, and 2013. 2. Is Aegis performing better than its competitor Snow Pack Corporation where the inventory turned over is 5.5 times in 2015 (66.4 days to sell). Both companies use the same inventory costing method (FIFO).

Answers

Answer:

The calculations are shown below:

Explanation:

The computation is shown below:

As we know that

Inventory turnover ratio is

= Cost of goods sold ÷ Average inventory

So

For year 2015, it is

= $1,270 ÷ $210

= 6.05 times

For year 2014, it is

= $1,560 ÷ $220

= 7.09 times

For year 2013, it is

= $2,000 ÷ $380

= 7.14 times

1-b Average days to sell inventory is computed by considering the

= Total number of days in a year ÷ inventory turnover ratio

So

For year 2015, it is

= 365 ÷ 6.05

= 60.33 days

For year 2014, it is

= 365 ÷ 7.09

= 51.48 days

For year 2013, it is

= 365 ÷ 7.14

= 51.12 days

2. As we can see that the aegis industries inc is performing better than the Snow Pack Corporation as aegis industries has 7.14 times in 2015 as compare to the 5.5 times in 2015  

A consumer products company wants more creativity in its research and development operations. The company has spent large amounts of money on creativity training sessions that have helped somewhat, but the VP of research and development believes that the fundamental work environment must be altered to foster more creativity.
Describe three conditions (other than training) that this organization should establish to increase the level of creativity in its research and development operations. Briefly explain how each condition might improve creativity.

Answers

Answer:

• Diversify the workplace

• Use creativity- and mind-stimulating games

• Use (a) flexible workplace(s)

Explanation:

1. Diversify the workplace

Employees consisting of different types of people, in terms of age, social status, race, gender and ethnicity, can help boost creativity in the workplace. Different backgrounds and experiences from the members will allow for different ideas to flow among the team.  Differences will also make the team appreciate each other and make the entire team versatile.

2. Use creativity- and mind-stimulating games

Games that are open ended and not structured can help boost creativity. Each participant will have a different response which will allow more development and inventive ideas. Research can be done through guessing games that stimulate the mind or  artistic games such as acting scenes, etc.  

3. Use (a) flexible workplace(s)

Office space with air-conditioners and four walls may restrict the amount of creativity and result in the same, dull, exhausted ideas over time. To increase the level of creativity, the team should use different workplaces randomly for a change of scenery. One day spent at a park, the next day could be spent in a laboratory and the next could be spent in a library. Different environments can spark new, fresh ideas that can assist with research and development.  

Answer:

Three conditions other than training  that this organization should establish to increase the level of creativity in its research and development operations is to:

1. Get new perspectives

2. Create a flexible workplace

3. Provide Incentives for employers

Explanation:

1. Get new perspectives: be open to new ideas, do not reject changes. Ask for a fresh perspective from your employees ans external professional source because that could be the game changer.

2. Create a flexible workplace: Allow your workers to explore remote work as well as regular office work. Try to switch up the work place mechanism a bit then reconvene to brainstorm about the experience.

3. Provide Incentives for employers: A little incentive such as a time out to play, reward for exceptional work and welfare packages every now and then can foster a kindred spirit among colleagues and stimulate creativity.

Suppose that you use duration to approximate the changes in bond price. When interest rate goes up, the absolute value of duration approximation is ____ than the absolute value of actual bond price changes. When interest rate goes down, the absolute value of duration approximation is ____ than the absolute value of actual bond price changes. A. smaller, larger B. smaller, smaller C. larger, larger D. larger, smaller

Answers

Answer:

Smaller , Larger A

Explanation:

When interest rates are changed , the  shorter the duration , the less the volatility and the higher the duration , the more the volatility. This explains the reason that duration decrease at a higher rate when interest increases and vice versa.

A slight increases in the interest rate triggers a higher fall in the duration and an slight decrease in the interest rate triggers a higher rise in the duration

Bengal Co. provides the following unit sales forecast for the next three months: July August September Sales units 5,000 5,700 5,560 The company wants to end each month with ending finished goods inventory equal to 25% of the next month's sales. Finished goods inventory on June 30 is 1,250 units. The budgeted production units for July are:

Answers

Answer:

The budgeted production of the units for the month of July are 5,175 units

Explanation:

The budgeted production of the units for the month of July is computed as:

Budgeted production units for July = July units + 25% of August units - Ending inventory of June

where

July units is 5,000 units

August units is 5,700

So, 25% will be:

= 5,700 × 25%

= 1,425

Ending inventory of June is 1,250 units

So, putting the units above:

Budgeted production units for July = 5,000 units + 1,425 units - 1,250 units

Budgeted production units for July = 6,425 units - 1,250 units

Budgeted production units for July = 5,175

Ms. Aura is a psychic. The demand for her services is given by Q= 2,000 –10P, where Qis the number of one-hour sessions per year and Pis the price of each session. Her marginal revenue is MR= 200 –0.2Q. Ms. Aura’s operation has no fixed costs, but she incurs a cost of $150 per session (going to the client’s house).a.What is Ms. Aura’s yearly profit?Find the number of sessions that Ms. Aura will provide by equating the marginal revenue to the marginal cost of a session: setting MR = MC yields 200 –0.2Q = 150 which solves as Q = 250. The price that would generate demand for 250 sessions is $175 as 2,000 –10(175) = 250. Thus, her annual profit is 175(250) –150(250) = $6,250 per year.

Answers

The answer is D that’s is the correct answer for you question

Bonita uses the periodic inventory system. For the current month, the beginning inventory consisted of 7300 units that cost $12.00 each. During the month, the company made two purchases: 3100 units at $13.00 each and 12000 units at $13.50 each. Bonita also sold 13100 units during the month. Using the average cost method, what is the amount of cost of goods sold for the month

Answers

Answer:

$169,514

Explanation:

[(7,300 × $12) + (3,100 × $13) + (12,000 × $13.50] ÷(7,300 + 3,100 + 12,000)

=87,600+40,300+162,000÷22,400

=289,900÷22,400

=$12.94

Hence;

$12.94 × 13,100 = $169,514

Therefore using the average cost method, the amount of cost of goods sold for the month will be 169,514

Robin waited before she bought voice over the Internet protocol (VOIP) phone service. Several friends were the first to use VOIP but many other friends were interested in Robin's opinions of the new phone service. Robin is a(n) ________________ in this product category.

Answers

Full question:

Robin waited before she bough voice over the Internet protocol (VOIP) phone service. Several friend were the first to use VOIP but many other friends were interested in Robin's opinions of the new phone service. Robin is a(n)___________ in this product category.

A.  Innovator

B.  Laggard

C.  Late majority

D.  Early majority

E.  Early adopter

Answer:

Robin is a(n)  Early adopter in this product category.

Explanation:

The title early adopter relates to a self or business that practices a new good, change, or technology ere others. Firms rely on early adopters to contribute feedback about product needs and to satisfy the cost of the product's analysis and improvement.

They’re usually termed as "lighthouse customers" because they work as a beam of light for the excess of the population to comprehend, which will take the technology or product mainstream. Early adopters obtain freakish admittance to a conceivably profitable new goods or technology.

A company has employed two workers A and B whose productivities are 20units and 15units respectively. The wage for A is k12 whilst B's is k8. Are these two employees optimally employed?​

Answers

Answer:

No they are not optimally employed

Explanation:

When comparing two employees to see if they are optimally employed we will look at the ratio of their productivity and the ratio of their wages.

Ideally the ratio of their wages should be above the ratio of their productivity for them to be optimally employed.

Productivity ratio of A and B= 15 ÷ 20= 0.75

Wage ratio of A and B= 8 ÷ 12= 0.6666

Wage ratio is less than productivity ratio so the employees are not optimally employed.

Assume the M&M with corporate taxes. The corporate tax rate is 40%. Your firm is currently unlevered with 100% equity. As of now, the value of the firm’s equity is $400K, and the firm’s cost of capital is 10%. Assume that your firm can borrow at 4% from a bank.Suppose that you decided to lever up by reducing equity and increasing debt. As the result, your firm now has $250K in debt. Your firm plans to maintain this debt amount forever. What is the present value of the interest tax shield?A. $40KB. $160KC. $80KD. $100K

Answers

Answer:

D. $100 K

Explanation:

Data provided

Debt = $250 K

Corporate tax rate = 40%

Corporate tax rate

The computation of present value of the interest tax shield is shown below:-

Present value of the interest tax shield = Debt × Corporate tax rate

= $250 K × 40%

= $100 K

Therefore for computing the present value of the interest tax shield we simply multiply the debt with corporate tax rate.

There are ten firms in an industry. Five of the firms each have a market share of 12 percent and five of the firms each have a market share of 8 percent. The Herfindahl index is Group of answer choices 1,000. 1,040. 100. 920. none of the above

Answers

Answer:

1,040

Explanation:

The Herfindahl index is an index that is used to measure the size of firms in relation to the industry and it also shows the level of competition among the firms in the industry. The Herfindahl index is also known as Herfindahl–Hirschman Index (HHI).

The Herfindahl index is calculated by summing the square of the market share of all firms in the industry. For this question, it can be calculated as follows:

Herfindahl index = (12^2 * 5) + (8^2 * 5) = 720 + 320  = 1,040.

Stephanie is a 40 percent partner in the SKY Partnership. During the current tax year, the partnership reported ordinary income of $210,000 before payment of guaranteed payments and distributions to partners. The partnership paid guaranteed payments to partners Stephanie, Kirsten, and Yule of $30,000 each ($90,000 total). How much will Stephanie's adjusted gross income increase as a result of the above items?

A. $88,000
B. $48,000
C. $78,000
D. $66,000

Answers

Answer:

The answer is Option B.

$48000

Explanation:

Guaranteed payment                                                 $30,000.00  

Balance distribution [($210000-$90000)*40%]         $48,000.00  

Stephanie's adjusted gross income                         $78,000.00  

Less : Guaranteed Payment every year                 $30,000.00  

Increase in Stephanie's adjusted gross income         $48,000.00  

The rule of 70 applies in any growth-rate application. Let’s say you have $3500.00 in savings and you have three alternatives for investing these funds. How many years would it take to double your savings in each of the following three accounts? In all cases, give your answers to two decimals.a. a savings account earning 0.50% interest b. a U.S. Treasury bond earning 3.50% interest c. a stock market mutual fund earning 8.00% interest years years years

Answers

Answer:

(a)140 years

(b)20 years

(c)8.75 years

Explanation:

The Rule of 70 is used in accounting to estimate the duration(number of years) it will take for the initial investment (P) to double in value given a particular interest rate (r) and an annual compounding period.

The Formula for the Rule of 70 is:

[tex]\text{Number of Years to Double}=\frac{70}{\text{Annual Rate of Return}}[/tex]  

(a)Savings account earning 0.50% interest

[tex]\text{Number of Years to Double}=\frac{70}{0.5}=140 years[/tex]

(b)A U.S. Treasury bond earning 3.50% interest

[tex]\text{Number of Years to Double}=\frac{70}{3.5}=20 years[/tex]

(c)A stock market mutual fund earning 8.00% interest

[tex]\text{Number of Years to Double}=\frac{70}{8}=8.75 years[/tex]

Required information P10-10 (Algo) Preparing a Bond Amortization Schedule for a Bond Issued at a Premium LO10-5 [The following information applies to the questions displayed below.] On January 1 of this year, Olive Corporation issued bonds. Interest is payable once a year on December 31. The bonds mature at the end of four years. Olive uses the effective-interest amortization method. The partially completed amortization schedule below pertains to the bonds: Date Cash Interest Amortization Balance January 1, Year 1 $ 32,566 End of Year 1 $ 1,792 $ 1,661 $ 131 32,435 End of Year 2 ? ? ? 32,297 End of Year 3 ? ? 145 ? End of Year 4 ? 1,640 ? 32,000

Answers

Answer:

Find attached complete schedule

Explanation:

Find attached bond amortization schedule.

In the preparing the schedule I divide $1792 first coupon interest by the face value of the bond of $32,000 ,I got 6% semiannual coupon rate

I divided the interest expense of $1661 by the carrying value at the beginning of year one of $32,566,I got 5.10% semiannual yield

Fish Fillet Incorporated obtains fish and then processes them into frozen fillets and then prepares the frozen fish fillets for distribution to its retail sales department. Direct materials are added at the initiation of the cycle. Conversion costs are incurred evenly throughout the production cycle. Before inspection, some fillets are spoiled due to nondetectible defects. Inspection occurs when units are 100% completed. Spoiled fillets generally constitute 3.5% of the good fillets.
Data for April 2013 are as follows:

WIP, beginning inventory 4/1/2013 40,000 fillets
Direct materials (100% complete)
Conversion costs (50% complete)
Started during April 75,000 fillets
Completed and transferred out 4/31/2013 100,000 fillets
WIP, ending inventory 431/2013 8,000 fillets
Direct materials (100% complete)
Conversion costs (20% complete)
Costs for April:
WIP, beginning Inventory:
Direct materials $55,000
Conversion costs 40,000
Direct materials added 145,100
Conversion costs added 188,065

Required:
a) What is the number of total spoiled units? Normal spoilage totals? Abnormal spoilage totals?
b) Compute the equivalent units for both direct materials and conversion costs using the weigh average method of process costing? What is the total cost per equivalent unit? Show computations.
c) How much costs are assigned to cost of goods manufactured and cost of ending inventory of work in process? Show computations.

Answers

Answer:

Total spoiled units = 7000

Normal spoilage total = 3500

Abnormal spoilage total = 3500

Total cost per equivalent unit = $3.80

Cost of goods manufactured = $224,000

Ending WIP = $201,165

Explanation:

Kindly check attached pictures

Final answer:

The solution involves calculating normal spoilage based on the percentage provided, computing equivalent units for direct materials and conversion costs using the weighted average method, and assigning costs to manufactured goods and ending inventory based on these computations.

Explanation:

To address the question regarding Fish Fillet Incorporated and its production process, let's break down the inquiry into parts for clarity. The problem involves calculating spoiled units, determining normal and abnormal spoilage, computing equivalent units using the weighted average method, and finally assigning costs to goods manufactured and ending inventory of work in process.

a) Spoiled Units Calculation

Given that spoiled fillets constitute 3.5% of the good fillets and 100,000 fillets were completed and transferred out, we can calculate the normal spoilage totals. Assuming all spoilage is considered normal, the calculation would be (100,000 / (1 - 0.035)) * 0.035 to find the spoiled units. However, without knowing the exact total produced before spoilage, a precise number for spoiled units cannot be readily provided without assumptions.

b) Equivalent Units for Direct Materials and Conversion Costs

To compute equivalent units for both direct materials and conversion costs using the weighted average method, one must account for the percentage completion of beginning work in process, units introduced and completed during the period, and the ending inventory's stage of completion. Direct materials are added at the beginning, making their equivalent units the total units started plus beginning inventory. Conversion costs, incurred evenly, would be calculated by weighting the percentage completion.

c) Cost Assignment to Goods Manufactured and Ending Inventory

The costs are assigned based on the equivalent units computed for direct materials and conversion costs, considering the costs added during the period and the beginning inventory costs. The total cost per equivalent unit would guide the allocation to the cost of goods manufactured and the ending inventory.

The first day of work for Prevosti Farms and Sugarhouse for all employees is February 4, 2019. February 8 is the end of the first pay period and includes work completed during the week of February 4–8. Compute the employee gross pay using 35 hours as the standard workweek for all employees except Mary Shangraw, who works 20 hours per week and receives overtime for any time worked past that point. The other hourly employees receive overtime pay when they work more than 35 hours in one week. Joel Schwartz has made $5,000 in case sales at a 3 percent commission rate during the 2/9 pay period. Joel Schwartz's sales are subject to commissions for the 2/22 pay period of $7,500. Remember that the employees are paid biweekly. Note that the first pay period comprises only one week of work, but the pay frequency for federal income tax purposes is biweekly.

Answers

Final answer:

To compute employee gross pay for Prevosti Farms and Sugarhouse, consider the standard workweek for all employees except Mary, who works 20 hours per week and receives overtime for any additional hours. Calculate regular pay for hourly employees based on standard and overtime hours. Compute Joel Schwartz's commission pay separately from employee gross pay.

Explanation:

To compute employee gross pay for Prevosti Farms and Sugarhouse, we need to consider the standard workweek for all employees, except Mary Shangraw. The standard workweek is 35 hours, and any hours worked beyond that are considered overtime. For Mary Shangraw, who works 20 hours per week, any time worked past 20 hours is considered overtime. The first pay period starts on February 4, 2019, and ends on February 8, 2019. Joel Schwartz's sales commissions are calculated separately from the employee gross pay.

Let's start by calculating the regular pay for the hourly employees (excluding Mary). The regular pay is calculated by multiplying the number of regular hours worked (up to 35) by the hourly rate. The overtime pay is calculated by multiplying the number of overtime hours (if any) by 1.5 times the hourly rate. To calculate Mary's pay, we will multiply her regular hours worked (up to 20) by the hourly rate and any overtime hours by 1.5 times the hourly rate. To calculate Joel Schwartz's pay, we will multiply his total sales for the pay period by the commission rate.

Once we have calculated the regular pay, overtime pay (if applicable), and commission pay for each employee, we can sum them to get the total employee gross pay for the pay period.

Learn more about Employee Compensation here:

https://brainly.com/question/33039344

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_________ focus on employee behaviors, either by comparing the performance of employees to that of other employees or by evaluating each employee in terms of performance standards without reference to others.

Answers

Answer:

Behavior-oriented rating methods

Explanation:

Performance appraisal method can be defined as the assessment of an employee level of conduct on the job. It also helps to evaluate employees skills and weaknesses.

Behavior oriented rating methods is a form of appraisal method in which the level of conduct is rated by comparison of the employee performance to that of other employees.

The employee performance appraisal process is essential for organizations to improve the rate of employee productivity which leads to the growth of the organization.

Lopez Corporation incurred the following costs while manufacturing its product Materials used in product Depreciation on plant Property taxes on store Labor costs of assembly-line workers 119,500 Sales commissions Factory supplies used $123,700 Advertising expense $48,000 17,800 28,200 40,600 57,600 62,600 Property taxes on plant 7,700 Delivery expense 26,200 Salaries paid to sales clerks Work in process inventory was $14,600 at January 1 and $17,500 at December 31. Finished goods inventory was $62,700 at January 1 and $50,000 at December 31. Compute cost of goods manufactured. Cost of goods manufactured s Compute cost of goods sold

Answers

Answer:

See attached file

Explanation:

A process currently services an average of 43 customers per day. Observations in recent weeks show that its utilization is about 90​ percent, allowing for just a 10 percent capacity cushion. If demand is expected to be 70 percent of the current level in five years and management wants to have a capacity cushion of just 8 ​percent, what capacity requirement should be​ planned?

Answers

Answer:

The correct answer is 31 customers per day.

Explanation:

Consider the current capacity requirement as = x

Management wants to have a capacity cushion = 8%.

So the utilization is required = 100% - 8% = 92%

A process of currently services an average of 43 customers per day and utilization is 90%.

Expected Demand=70%= 70 ÷ 100 = 0.70

Current utilization = 90% = 0.90

Let Capacity requirement = X

Capacity requirement ÷ required utilization  = Expected Demand rate × current service rate ÷ current utilization rate

X ÷ 0.92  = 0.70 × 43 ÷ 0.90

X = 0.70 × 43 ÷ 0.90 × 0.92

= 30.76  or 31

Needed capacity requirement is 31 customer per day.

The R.C.Willey furniture store has a sale for Memorial day weekend that if you purchase products that come over $499 a 60" TV can be purchased for only $300. This sales practice is known as ________.

Answers

Answer:

The correct answer is letter "C": bundling.

Explanation:

Bundling sales refers to marketing strategies by which one good is sold along with others usually offering the second at a discount price. The objective of this approach is to increase the company's sales moreover when a purchase has already taken place. Stores also use this practice to free items stored for long periods in their inventory.

The sales practice described in the question is known as a loss leader.

A loss leader is a product sold at a low price (at or below its market cost) to stimulate other profitable sales. In this case, the R.C.Willey furniture store offers a 60" TV for only $300 if the customer purchases other products totaling over $499.

This encourages customers to spend more on other items in order to qualify for the deeply discounted TV.For example, if a customer buys a sofa and a dining table for $500, they can then purchase the 60" TV at $300, which is a significant discount from its usual price. This strategy boosts overall sales and can increase customer traffic to the store.

You manage a risky portfolio with an expected rate of return of 21% and a standard deviation of 32%. The T-bill rate is 8%. Your client chooses to invest 65% of a portfolio in your fund and 35% in a T-bill money market fund. What are the investment proportions of your client’s overall portfolio, including the position in T-bills?

Answers

Answer: Treasury Bills - 35%

Stock A - 17.55%

Stock B - 23.4%

Stock C - 24.05%

Explanation:

Hello.

The question was a tad incomplete so I attached the relevant portion from a similar question as a guide.

The client already has 35% invested in T- bills so that would be the T- bill proportion.

Now we need the proportions of the other 3 stocks.

Stock A will be,

= 0.65 (proportion of total portfolio in the fund) * 0.27 (proportion of stock in fund)

= 0.1755

= 17.55% of total portfolio

Stock B will be,

= 0.65 (proportion of total portfolio in the fund) * 0.36 (proportion of stock in fund)

= 0.234

= 23.4% of total portfolio

Stock C will be,

= 0.65 (proportion of total portfolio in the fund) * 0.37 (proportion of stock in fund)

= 0.2405

= 24.05% of the total portfolio.

To check the figures we can add them up.

That would be

= 0.35 + 0.2405 + 0.234 + 0.1755

= 1

So those are the correct proportions of your client’s overall portfolio, including the position in T-bills.

Marigold Corp. sells radios for $50 per unit. The fixed costs are $545000 and the variable costs are 60% of the selling price. As a result of new automated equipment, it is anticipated that fixed costs will increase by $35000 and variable costs will be 50% of the selling price. The new break-even point in units is:

Answers

The new break-even point in units is: $23,200

Solution:

Given,

Marigold Corp. sells radios for $50 per unit

Fixed costs = $545000

Variable costs = 60%

As a consequence of the modern electronic facilities, the fixed costs are projected to rise by $35,000 and the variable costs would be 50% of the purchase price.

Now,

The new break-even point in units is:

= $545000 + $35000

= $580,000

=> 580,000/25 = $23,200

Why might fiscal stimulus crowd out​ investment? Fiscal stimulus that increases an existing government budget deficit​ ______ loanable​ funds, which​ ______ investment. A. decreases the demand​ for; decreases the real interest rate and increases B. increases the demand​ for; decreases the real interest rate and increases C. increases the demand​ for; increases the real interest rate and decreases D. decreases the supply​ of; increases the real interest rate and decreases

Answers

Answer:

C. increases the demand​ for; increases the real interest rate and decreases

Explanation:

Market congestion is an event that occurs when government involvement in one sector significantly affects the rest of the market, the supply or demand side of the market. A type of expansionary economic policy is often discussed when the private sector reduces investment costs. Government spending "out" investments because it seeks more borrowable funds and increases interest rates and therefore reduces investment spending. This basic analysis has been extended to multiple channels, which can change the overall output very little or very little.

Shuck Inc. bases its manufacturing overhead budget on budgeted direct labor-hours. The direct labor budget indicates that 8,100 direct labor-hours will be required in May. The variable overhead rate is $1.40 per direct labor hour. The company's budgeted fixed manufacturing overhead is $100,440 per month, which includes depreciation of $8,910. All other fixed manufacturing overhead costs represent current cash flows. The May cash disbursements for manufacturing overhead on the manufacturing overhead budget should be:

Answers

Answer:

May cash disbursement is $102,870

Explanation:

May cash disbursement for manufacturing overhead is the planned cash expenditure based on the budgeted manufacturing overhead for the month.

Cash would be paid to labor at $1.40 for every direct labor incurred for a total number of 8,100 direct labor hours i.e $11,340 cash in all($1.40*8100)

Also,company budgeted fixed manufacturing overhead would also require $91,530 in cash,which is the budgeted manufacturing  fixed overhead of $100,440 minus the depreciation charge included in it ($100,440-$91530)

In total cash disbursement is $102,870($11,340+$91,530)

onas is the only history tutor in his town. He has three potential customers. Xavier is willingto pay $70 for tutoring, Yasha is willing to pay $50 and Zander is willing to pay $25. SupposeJonas has to charge the same price to each of his customers, and each student he tutors costshim $15 (which mostly consists of the opportunity cost of his time). What price will Jonasset, and what will be the consumer surplus, producer surplus, and deadweight loss? AssumeJonas has no fixed costs to operate his tutoring bu

Answers

;

Answer:

a. $25

b. & c. $45, $25, $0

Explanation:

a. To charge the same price to each of his customers, Jonas will charge the least amount= $25 (offered by Zander)

b. Consumer surplus

I) For Xavier = $70 - $25 = $45

II) For Yasha = $50 - $25 = $25

III) For Zander = $25 - $25 = $0

c. Producer Surplus

I) For Xavier = $70 - $25 = $45

II) For Yasha = $50 - $25 = $25

III) For Zander = $25 - $25 = $0

When the unemployment rate is at a steady state: Group of answer choices the number of people finding jobs exceeds the number of people losing jobs. the number of people losing jobs exceeds the number of people finding jobs. no hiring or firings are occurring. the number of people finding jobs equals the number of people losing jobs.

Answers

Answer:

The number of people finding jobs equals the number of people losing jobs.

Explanation:

Unemployment rate can be defined as the percentage of unemployed workers that are present in the the labor force. The Labor force of a country comprises of both employed and unemployed individuals that are present in the country. Unemployment rate can also be described as the percentage of the total workforce of a country that is yet to be gainfully employed.

High unemployment rate poses an adverse effect on the economy, it leads to an increase in crime rate this is due to the fact that unemployed individuals have no source of income to take care of their respective families and as such have to turn to the life of crime inorder to earn money.

Lasko's has 250,000 shares of stock outstanding, $400,000 in perpetual annual earnings, and a discount rate of 16 percent. The firm is considering a new project that has initial costs of $350,000 and annual perpetual cash flows of $60,000. How many new shares must be issued to fund the new project

Answers

Answer:

Extra shares required is 1,314,975

Explanation:

Outstanding shares of a firm are those shares that have already been issued to the general public and finds have been received by the company in exchange.

Current price per share = (Total value of shares ÷ Number of shares) ÷ Discount rate

Current price per share= (400,000 ÷ 250,000) ÷ 0.16

Current price per share= $10

Value of firm with project= Initial cost + {(Value of outstanding stock + Annual Perpetual cash flow) ÷ Discount rate}

Value of firm with project= -350,000+ {(400,000+ 60,000)÷0.16}

Value of firm with project= $2,525,000

New price per share= 2,525,000 ÷ 250,000= $10.10

Extra amount needed for project= 2,525,000 - 400,000= 2,152,000

Extra shares required= (2,152,000 ÷ $10.10)÷ 0.16

Extra shares required= 1,314,975

A cap and trade system: 1. was used in nineteenth-century England to limit coal consumption. 2. encourages fair trade by limiting the amount of many vegetables that can be imported from Mexico. 3. reduces climate change by requiring individuals and firms to buy licenses to emit greenhouse gases. 4. exempts Chinese imports from Food and Drug Administration regulations.

Answers

Answer:

reduces climate change by requiring individuals and firms to buy licenses to emit greenhouse gases.

Explanation:

Cap and trade reduce emissions, such as those from power plants, by setting a limit on pollution and creating a market. ... It's a system designed to reduce pollution in our atmosphere. The cap on greenhouse gas emissions that drive global warming is a firm limit on pollution.

Today, cap and trade is used or being developed in all parts of the world. For example, European countries have operated a cap-and-trade program since 2005. Several Chinese cities and provinces have had carbon caps since 2013, and the government is working toward a national program.

the market-based pollution control system in which the government sets an overall limit on how much of a pollutant is acceptable from an entire industry or country and issues vouchers to pollute to each company; individual companies are then free to trade these vouchers.

Answer: 3. Reduces climate change by requiring individuals and firms to buy licenses to emit greenhouse gases.

Explanation:

The Cap and Trade system is a policy that seeks to reduce the emission of gases to the environment to the barest minimum.

There is a standard or cap which companies are expected to adhere to. Noncompliance to these standards attracts fines. It is a measure that seeks to combat global warming.

Trading ensures that companies who are able to cut down on their emissions can have extra allowances or revenue which can be sold to other companies.

On September 1, Year 1, the Central Illinois University ticket office sold $1,800,000 worth of season basketball tickets. Ten home games will be played: four games will be played during Year 1 and six games will be played during Year 2. What is the adjusted balance in Deferred Revenue account at December 31, Year 1?

Answers

Answer:

The adjusted balance in Deferred Revenue at the end of year 1 is $1,080,000.

Explanation:

Deferred revenue is also known as unearned revenue which means that income is received but not earned. In accrual basis accounting, we record revenues only after we deliver the goods or perform the services.

In this case, the $1,800,000 is received for 10 home games which means that per game we received 1,800,000/10 = 180,000.

Since only 4 games were played during the year, the revenue earned at the end of year 1 is: 180,000*4= 720,000

The remaining 6 games will be played in year 2 but we have already received the payment of games, so it will be considered as a Deferred Revenue. The amount of Deferred Revenue at the end of year 1 is:

⇒ 180,000*6 = 1,080,000

Final answer:

At end of Year 1, only 40% of the total basketball season games have been played so this proportion of the ticket revenue can be recognized. The remaining 60% of the ticket revenue ($1,080,000 from $1,800,000 paid) remains in the Deferred Revenue account, treated as a liability until the services (games) are fully delivered in Year 2.

Explanation:

The Deferred Revenue account represents money that has been received, but for which the goods or services have not yet been delivered, hence it is treated as a liability. In this case, the Central Illinois University has sold $1,800,000 worth of season basketball tickets, with four games being played during Year 1, and six games in Year 2. At the end of Year 1, only 40% (4 out of 10) of the games would have been played.

The revenue recognized in Year 1 should therefore be 40% of $1,800,000, which equals $720,000. The remaining 60%, or $1,080,000 should be the adjusted balance in the Deferred Revenue account at the end of Year 1 (December 31, Year 1). So, the answer is $1,080,000.

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Find the operating cash flow for the year for Harper Brothers Incorporated if they had sales revenue of $300,000,000, cost of goods sold of $140,000,000, sales and administrative costs of $40,000,000, depreciation expense of $65,000,000, and a tax rate of 40%.

Answers

Answer:

Operating cash flow for the year for Harper Brothers Incorporated is -$65,000,000

Explanation:

Operating Cash Flow is the total cash generated from operating business, within a specific time period.

The formula here applicable is

Operating Cash Flow= Total Revenue - Total Operating Costs

OCF= TR - TOC

The total revenue is sales revenue of $300million

Total operating cost= $140million + $40million + $65million + Tax amount which is 40% of sales revenue

40% of sales revenue is equal to 40% of $300milion = $120million

So total operating cost = $245,000,000 + $120,000,000 = $365,000,000

OCF= $300,000,000 - $365,000,000 = -$65,000,000

Final answer:

The operating cash flow for Harper Brothers Incorporated is calculated by adjusting the net income for non-cash expenses. The calculation yields an operating cash flow of $176,000,000 for the year.

Explanation:

To determine the operating cash flow for Harper Brothers Incorporated, we need to adjust the net income for non-cash expenses and changes in working capital. However, since we are not provided with changes in working capital, we will focus on the net income adjustment.

Calculating Operating Cash Flow

Start with total sales revenue: $300,000,000.

Subtract the cost of goods sold: $140,000,000.

Subtract sales and administrative costs: $40,000,000.

Add back the depreciation expense: $65,000,000 (since it's a non-cash expense).

Calculate the earnings before tax (EBT): $300M - $140M - $40M + $65M = $185,000,000.

Calculate the tax expense: $185,000,000 * 40% = $74,000,000.

Subtract the tax expense from EBT to get net income: $185M - $74M = $111,000,000.

Add the depreciation expense back to the net income to find the operating cash flow: $111,000,000 + $65,000,000 = $176,000,000.

The operating cash flow for Harper Brothers Incorporated for the year is therefore $176,000,000.

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