Bob contracts to work for Central Construction Corporation (CCC) during July for $4,500. On June 30, CCC cancels the contract. Bob declines a similar job with Design Builders, Inc., which would have paid $4,000. Bob files a suit against CCC. As compensatory damages, Bob can recover
$500
$1000
$750

Answers

Answer 1

Answer:

Amount Receive from compensatory damage = $500

Explanation:

Given:

Amount Receive from Central Construction Corporation = #4,500

Amount Receive from new job = $4,000

Amount Receive from compensatory damage = ?

Computation of amount Receive from compensatory damage:

Amount Receive from compensatory damage = Amount Receive from Central Construction Corporation - Amount Receive from new job

Amount Receive from compensatory damage = $4,500 - $4,000

Amount Receive from compensatory damage = $500

Note: Bob contracts with CCC for $4,500 but the contract is severed. In the new job Bob finds he gets $4,000 where he loses $500. Bob will sue CCC and get compensation for $500.


Related Questions

Giles lives in a society where people are expected to solve their own problems. During business meetings, leaders do not waste time offering welcome or making social talk. Unfair treatment on the job is considered just the way life is. Which term best describes the type of culture Giles lives in?

Answers

Answer:

Giles lives in a low humane orientation society.

Explanation:

To begin with, humane orientation is the degree which a society promotes and rewards individuals for being altruistic (not selfish), fair, generous and friendly to others in the society. Any society that posses and encourages such good traits can be said to be a high humane orientation society.  

On the other hand, any society where people are selfish, unfair, not generous and unfriendly is a low humane orientation society. That is exactly the kind of society which Giles lives in.

At the beginning of Year 1, Mitchell Company purchased office equipment for $15,000. The machine has an estimated residual value of $1,000 and an estimated service life of 5 years. If Mitchell uses straight-line depreciation, it will make which of the following entries related to depreciation at the end of Year 1?

Answers

Answer:

Debit the depreciation expense for $2800

Explanation:

Straight line depreciation expense = (cost of asset - Salvage value) / useful life

($15,000 - $1,000) / 5 = $2,800

I hope my answer helps you

Whitley recently started her own tutoring firm for high school students. To help finance her new business, which had a very limited track record, she issued bonds that offered relatively high rates of interest and had higher inherent risks. Which of the following types of bonds is Whitley most likely using in this scenario?A. junk bondsB. floating-rate bondsC. debenture bondsD. secured bondsE. serial bonds

Answers

Answer: Junk bonds

Explanation:

Junk bonds are a high-yielding high-risk security, that are issued by a company which is seeking to raise capital quickly to finance a takeover.

Junk bonds represent bonds that are issued by companies that are financially struggling and possess a high risk of not paying the interest or repaying the principal to investors. Junk bonds are a good investment for the investors who need the higher return and those that can also afford the higher risk.

Answer:

A. Junk Bonds

Explanation:

Junk bonds are a form of high risk, high yielding bond. It is a bond that has high yield but comes with a huge form of risk than majority of the bonds issued by private organizations and governments. Bonds itself are financial instruments used in acquiring capital investment. People most times opt for junk bonds in situations where they have nothing to lose as the high returns can come at a cost of losing all. Only individuals that are able to afford high risks participate in this kind of bond.

Dessert Palaeice specializes in creating and selling unique bakes and ice creams. It introduces a specialty ice cream, served with a salty sauce instead of its usual array of sweet sauces. Dessert Palaeice's customers, though initially apprehensive, welcome the change in taste. Which of the following reactions is most likely responsible for the customers' cognitive categorization of the new product?
a. assimilation
b. apprehension
c. accommodation
d. contrast

Answers

Answer:

C. Accommodation

Explanation:

Accommodation occurs when schema is change in order to accommodate new information. It occurs when a stimulus has major characteristics of an existing category but not all characteristics. In accommodation, our existing schema is changed to accommodate new information. In this case, customers accommodated the changes in taste to the specialty ice cream and sauce taste that Dessert palaeice introduced after being initially apprehensive of the changes.

Customers likely engaged in accommodation, altering their cognitive schemas to accept and enjoy Dessert Palaeice's new specialty ice cream with a salty sauce, reflecting an adaptive response to new information.

The question is related to the reaction of Dessert Palaeice's customers to the new specialty ice cream served with a salty sauce. Based on Piaget's concepts of cognitive development, particularly assimilation and accommodation, the most likely reaction responsible for the customers' cognitive categorization of the new product is accommodation.

Assimilation involves fitting new information into pre-existing cognitive schemas without changing the schemas. In contrast, accommodation requires altering pre-existing schemas to incorporate new information. In this scenario, customers were initially apprehensive but eventually welcomed the change in taste, implying they had to adjust their existing schemas about what ice cream should taste like to include this new, salty sauce variant. Therefore, accommodation is the most appropriate answer since customers modified their existing concepts of dessert to accept and enjoy the new taste.

A sales invoice included the following information: merchandise price, $12,100; terms 1/10, n/eom; FOB shipping point with prepaid freight of $341 added to the invoice. Assuming that a credit for merchandise returned of $2,400 is granted prior to payment and that the invoice is paid within the discount period, what is the amount of cash that should be received by the seller?

Answers

Answer:

the amount of cash that should be received by the seller is $9,603

Explanation:

Transaction to be recorded on date of Sale

Trade Receivable $12,100 (debit)

Revenue $12,100 (credit)

Being Recognition of Revenue

Delivery Cost $341 (debit)

Bank $341 (credit)

Being Recognition of Delivery Costs

Credit for Merchandise Returned

Revenue $2,400 (debit)

Trade Receivable $2,400 (credit)

Payment made within the discount period

Discount Allowed $97 (debit)

Trade Receivable $97(credit)

Discount = ($12,100-$2,400)×1%=$97

Cash $9,603 (debit)

Trade Receivable $9,603 (credit)

Answer:

$10,041

Explanation:

The journal entries should be:

merchandise sold on account, terms 1/10, n/eom

Dr Accounts receivable 12,100

    Cr Sales revenue 12,100

prepaid freight charges $341, FOB shipping (when using FOB shipping point, the buyer pays the freight costs, when using FOB destination, the seller pays freight costs)

Dr Accounts receivable $341

    Cr Cash 341

some merchandise was returned

Dr Sales returns and allowances 2,400

    Cr Accounts receivable 2,400

invoice is paid within discount term

Dr Cash 9,944

Dr Sales discounts 97 (applies only to merchandise not freight)

    Cr Accounts receivable 10,041 (includes accounts receivables for merchandise sold and freight charges)

Bill is a yacht broker in the southeastern United States. For years he has had difficulty selling large yachts locally because there were few places to dock these boats. Yachts and spaces to dock them are an example of _________.

Answers

Answer:

complementary products

Explanation:

Yachts and spaces to dock are a clear example of complementary products.

If using more of good A requires using of more of good B, then those goods are complementary. In this case, for every additional Yacht sold, there must also be available space to dock, otherwise the value of the Yacht is hindered, thus making those products complementary.

What is the economic freedom of the world measure indicates that the united states

Answers

Answer:

It indicated that the United States of America experienced a fall in economic freedom since 2000 causing its rank among the top ten(10) freest economies in the world to drop.

Explanation:

The Economic Freedom of the World index is a measure of the consistency of a country's institutions and policies in relation to the way it organizes economic activity and protection of individuals and their properties from aggression by others with economic freedom. It was created by The Heritage Foundation and The Wall Street Journal in 2005.

According to the Economic Freedom of the World measure, between 2000 and 2009 the United States of America experienced a decline in economic freedom thereby causing its ranks to drop below high-income free economies countries such as Hong Kong, Switzerland, Singapore, Canada and New Zealand.

Answer:

The economic freedom of the world measure indicates that the united states has been on the lower rankings in recent years.

Explanation:

Index of Economic freedom is an annual index, correlation and ranking made in 1995 by The Heritage Foundation and The Wall Street Journal, used to measure or check the level of economic freedom enjoyed by the nations of the world. The Heritage Foundation's index of economic freedom grades countries based mostly on these twelve factors: Property rights, judicial effectiveness, integrity of its government, tax burden, government spending, fiscal health, business freedom, freedom associated with labour, monetary freedom, financial freedom, trade freedom and investment freedom. The United States of America was ranked 12th in 2019 with a total score of 76.8 which was mostly negatively influenced by its government spending and fiscal health. It was an actual improvement from their previous years' grade where they were consistently 17th.

Suppose that there is a financial crisis, and people choose to spend less. As a result, velocity drops by 5 percent. According to market monetarists, if the GDP target growth rate is 3 percent, the Fed would need to increase the money supply by ______________ percent in order to achieve their GDP target.

Answers

Answer:

Eight(8) percent

Explanation:

Base on the scenario been described in the question, the fed will need to the supply of money by eight (8) percent in to achieve their target.

When a​ firm's longminus−run average cost curve is horizontal for a range of​ output, then in that range production displays?

Answers

Answer:

constant returns to scale

Explanation:

Constant returns to scale describes a scenario when long run returns as the scale of production increases, when all input levels including physical capital usage are variable.

Financial statement data for two years for Townson Company are as follows: Year 2 Year 1 Sales $3,645,000 $4,250,000 Fixed assets: Beginning of year 880,000 820,000 End of year 520,000 880,000 All of the following statements are true regarding the company's fixed asset turnover ratio except a.Townson has become more efficient in generating sales with its fixed assets in Year 2 as compared to Year 1. b.since Year 1, it appears that Townson may have become more labor-intensive, requiring smaller amounts of fixed asset investments. c.Townson's fixed asset turnover ratio has decreased between Year 1 and Year 2. d.Townson's fixed asset turnover ratio has increased between Year 1 and Year 2.

Answers

Answer:

C) Townson's fixed asset turnover ratio has decreased between Year 1 and Year 2.

Explanation:

                      Year 2                               Year 1

Sales           $3,645,000                    $4,250,000

Fixed assets:

Beginning of year 880,000 820,000

End of year 520,000 880,000

fixed asset turnover (FAT) ratio = net sales / average fixed assets

FAT ratio year 1 = $4,250,000 / [($820,000 + $880,000) / 2] = 5

FAT ratio year 2 = $3,645,000 / [($880,000 + $520,000) / 2] = 5.2

Townson's fixed asset turnover ratio increased between year 1 and year 2.

When Maggie joined Techno-Nerds, Inc., she automatically joined an employee team. Team members each had base salaries, but they were also compensated through a __________ system, where they would receive bonuses for team improvements over the last time the team's performance was evaluated.


a) soft benefits

b) peer-to-peer multiple

c) gain-sharing

d) skill-based pay

Answers

Answer:

c) gain-sharing

Explanation:

Based on the scenario being described within the question it can be said that the team members were also compensated through a gain-sharing system. This term, also known as profit sharing, refers to an incentive plan that usually provides a direct or indirect payment to employees based on the company's profitability, usually in the form of shares of the company.

Answer:

Gain sharing

Explanation:

Gain sharing is a reward system where employees are rewarded based on improved performance. The essence of gain sharing is to encourage improvement in the performance of employees through increased motivation level.

It involves the payment of extra earnings , either in cash or any other means apart from the regular salary to the employees. However , there are conditions that must be met which serve as the basis for gain sharing.

Suppose an economy is initially in a steady state with capital per worker below the Golden Rule level.
If the saving rate increases to a rate consistent with the Golden Rule, then in the transition to the new steady-state consumption per worker will:

A) always exceed the initial level.
B) first fall below then rise above the initial level.
C) first rise above then fall below the initial level.
D) always be lower than the initial level.

Answers

Answer:

B) first fall below then rise above the initial level.

Explanation:

'Steady State' & 'Golden Rule' of capital per worker : are concepts of Solow model.

The model defines output (income) per worker as a function of capital per worker, increasing with it at a diminishing rate, & hence the curve is upward sloping swamp shaped. Depreciation is a constant slope straight upward sloping line. Saving is a function of income per worker.

Steady State level is the level of output at which savings (investment) by workers is equal to depreciation of capital stock. Golden rule capital level refers to the saving rate, which maximises steady state level or growth of consumption.

If the saving rate increases to a rate consistent with the Golden Rule: the consumption per worker will first fall below the initial level (as savings proportion out of income are more). But, when these savings will be invested back, capital per worker will increase. High capital per worker will imply high output  & income per worker. And, then the consumption per worker will rise.

This information relates to Sherper Co. 1. On April 5 purchased merchandise from Newport Company for $22,000, terms 2/10, n/10.

2. On April 6 paid freight costs of $900 on merchandise purchased from Newport.

3. On April 7 purchased equipment on account for $26,000.

4. On April 8 returned some of April 5 merchandise to Newport Company which cost $2,000.

5. On April 15 paid the amount due to Newport Company in full.

Assume that Sherper Co. paid the balance due to Newport Company on May 4 instead of April 15. Prepare the journal entry to record this payment. (Credit account titles are automatically indented when the amount is entered. Do not indent manually.)

Answers

Answer:

April 5, purchased merchandise on account terms 2/10, n/10

Dr Merchandise inventory 22,000

    Cr Accounts payable 22,000

April 6, paid freight costs

Dr Merchandise inventory 900

    Cr Cash 900

April 7, purchase equipment on account

Dr P, P & E - Equipment 26,000

    Cr Accounts receivable 26,000

April 8, returned some merchandise (April 5th purchase)

Dr Accounts payable 2,000

    Cr Merchandise inventory 2,000

April 15, paid merchandise invoice

Dr Accounts payable 20,000

    Cr Cash 19,600

    Cr Purchase discounts 400

         or

May 4, paid merchandise invoice

Dr Accounts payable 20,000

    Cr Cash 20,000

If the company pays the invoice on April 15th, it will get a 2% discount which must be recorded as a purchase discount.

Final answer:

Sherper Co. would record the payment to Newport Company on May 4 with a debit of $20,000 to Accounts Payable – Newport, and a credit of $20,000 to Cash.

Explanation:

The journal entry for this situation on May 4 would reflect the full payment to Newport Company. Here's how it would look:

Accounts Payable – Newport: $20,000 (Debit)Cash: $20,000 (Credit)

Sherper Co. had initially purchased merchandise for $22,000, but returned some goods worth $2,000. Therefore, the balance due would be $20,000. It doesn't include the freight cost of $900, because this is usually accounted for separately in the Freight-In account. The payment recorded in the journal entry is only for the goods kept.

Learn more about Accounts Payable here:

https://brainly.com/question/31316330

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Suppose you are advising a bank on the management of its balance sheet. In light of the financial crisis of 2007-2009, what arguments might you make to convince the bank to hold additional capital? During the financial crisis of 2007-2009, many banks failed and many more would have in the absence of government support. Holding additional capital will help avoid failure in the future by

Answers

Answer:

Holding additional capital will help avoid failure in the future by reducing solvency risk. During the 2007-2009 crisis, the market value of many assets held by banks was downgraded to garbage and became practically worthless. At the point the government had to intervene (with TARP) to save banks from collapsing.

Instead of cash, banks had huge reserves of financial assets that were worthless, which meant that they had very little to pay their clients when they would try get their money out. The only way to reduce the solvency risk (bank not being able to meet cash obligations) is to hold more cash and increase capital.

Holding additional capital can provide a buffer against unexpected losses, improve the bank's creditworthiness, reduce the risk of insolvency, and decrease the likelihood of a government bailout.

During the financial crisis of 2007-2009, banks with insufficient capital were unable to absorb losses from their assets, particularly those related to mortgage-backed securities and other complex financial products. This insufficiency led to a loss of confidence among depositors and investors, resulting in liquidity crises and, in some cases, bank failures. The argument for holding additional capital is multifaceted:

1. Buffer Against Losses: Additional capital serves as a cushion that can absorb unexpected losses. If a bank has a larger capital base, it can withstand a decline in the value of its assets without becoming insolvent. This is particularly important during economic downturns or when asset prices fall rapidly.

2. Improved Creditworthiness: A bank with a higher capital ratio is generally perceived as more creditworthy. This can lead to lower borrowing costs in the market and easier access to funding, even during times of financial stress.

3. Reduced Risk of Insolvency: Higher capital levels reduce the probability of insolvency. Insolvency occurs when a bank's assets are no longer sufficient to cover its liabilities. By maintaining a larger capital buffer, a bank is less likely to reach this critical point, even if it incurs significant losses.

4. Decreased Likelihood of Government Bailouts: The financial crisis demonstrated that the failure of large banks can have systemic consequences, leading to government interventions to prevent a complete collapse of the financial system. Higher capital levels can reduce the likelihood of such bailouts by making banks more resilient to shocks.

5. Enhanced Market Discipline: When banks hold more capital, market participants such as creditors and shareholders have more at stake. This can lead to better monitoring and discipline, as these stakeholders have a stronger incentive to ensure that the bank is managed prudently.

6. Compliance with Regulatory Standards: Post-crisis regulatory reforms, such as the Basel III accord, have increased the capital requirements for banks. Holding additional capital helps ensure compliance with these more stringent standards, thereby avoiding potential penalties and restrictions.

7. Competitive Advantage: Banks with stronger capital positions may be viewed as safer counterparties in financial transactions. This can provide a competitive advantage in attracting and retaining customers, particularly in wholesale banking markets.

8. Support for Economic Growth: A well-capitalized banking sector is better positioned to provide credit to the economy, even during downturns. This can help support economic growth and stability.

In conclusion, holding additional capital is a prudent strategy for banks to manage their balance sheets effectively. It enhances their ability to withstand financial stress, improves their standing in the market, and contributes to the overall stability of the financial system.

Francie drives into Gage’s Auto Service and asks Hong, a Gage’s employee, to replace a tire on Francie’s car.
After Hong replaces the tire, but before Francie pays for it, any contract between Francie and Gage’s is:

a) executed.
b) executory.
c) void.
d) unenforceable.

Answers

Answer:

Option B.

Explanation:

An executory contract is one in which unperformed obligations remain on both sides, or one where both parties in a contract have continuing obligations to perform. Therefore is a contract that is made by two parties in which the terms in the contract are to be fulfilled at a later date. The contract shows that both sides still have duties to perform before it will become executed.

For example, contracts for the sale of goods in which the goods have not been delivered by the seller and the buyer has not paid, are executory contracts.

Therefore, as we can see from the scenario above, the contract is executory because, although Hong has replaced the tire, Francie is yet to pay, therefore, Francie has not performed her pert in the contract, making it an executory contract.

Melissa Thomas leads the marketing research division at Tronics Inc., a manufacturing company based in Alabama. To improve future sales of the company's products, she has decided to collect customer opinions and feedback on the current products offered by her company. For this purpose, Melissa is looking for a highly flexible contact method which can be used to gather large amounts of data within the least possible time. In this instance, which of the following contact methods is most likely to hold the highest appeal for Melissa?A) online surveysB) in-depth interviewsC) telephone interviewsD) individual interviewsE) mail questionnaires

Answers

Answer:

Option A. Online Surveys.

Explanation:

An online survey refers to a questionnaire that can be completed by the target audience over the Internet. Online surveys are usually created as Web forms with a database to store the answers and statistical software to provide analytics.

Online surveys are generally considered to be a cheap and fast way of getting information about the target audience. They also have a potential for international reach and can be used to gather large amounts of data in a short time.

The merits of online survey include:

Ease of Data Gathering Minimal Costs Automation in Data Input and Handling Increase in Response Rates Flexibility of Design

Dufner Co. issued 15-year bonds one year ago at a coupon rate of 6.6 percent. The bonds make semiannual payments. If the YTM on these bonds is 5.5 percent, what is the current dollar price assuming a par value of $1,000?

Answers

Answer:

The answer is $1,106.43

Explanation:

Number of years is 28years[(15years - 1year) x 2]

Yield-to-maturity (YTM) is 2.75%(5.5% ÷ 2)

Present value(PV) = ?

Payment coupon(PMT) = $33[(6.6% ÷ 2) x $1,000]

Future Value(FV) = $1,000.

Using a Financial calculator;

Present value is $1,106.43

While watching a movie, Daysha notices that a few brands have been conspicuously integrated with its screenplay. The main character drives a particular brand of car and drinks only a specific brand of beer. Daysha figures out that this is a marketing strategy that employs _____.
product placement
preattentive effects
explicit memory

Answers

Answer:

product placement is the answer

When a taxpayer transfers property subject to a mortgage to a controlled corporation in an exchange qualifying under § 351, the transferor shareholder’s basis in stock received in the transferee corporation is increased by the amount of the mortgage on the property.a.trueb.false

Answers

Answer:

a. True

Explanation:

Under the U.S corporate tax laws, when a taxpayer transfers property subject to a mortgage to a controlled corporation in an exchange qualifying under section, § 351, the transferor shareholder’s basis in stock received in the transferee corporation is increased by the amount of the mortgage on the property.

The matrix of change was designed to help managers decide how quickly change should proceed, in what order changes should take place, whether to start at a new site, and whether the proposed systems are stable and coherent.
1. True
2. False

Answers

Answer:

True

Explanation:

This is true because The Matrix of Change can help managers identify the critical interactions among processes and deal with these issues

1. how quickly should the change proceed

2. in what order should changes take place,

3. whether to start at a new site, and

4. whether the proposed systems are stable and coherent. But the disadvantages of the Matrix is that it is limited in size.

When there is a surplus of snowboards, the A. supply of snowboards is greater than the demand for snowboards. B. quantity of snowboards demanded is greater than the quantity of snowboards supplied. C. demand for snowboards is greater than the supply of snowboards. D. quantity of snowboards supplied is greater than the quantity of snowboards demanded.

Answers

Answer:

D. Quantity of snowboards supplied is greater than the quantity of snowboards demanded.

Explanation:

Supply is the total amount of goods or services that a supplier is willing to make available to consumers. It is also the willingness and ability of suppliers to sell their products at a given price.

Surplus means excess to a layman.

In other words, when there is a surplus, it means that the quantity supplied for the particular product is greater than the quantity demanded.

The quantity demanded for a surplus product will always be lower than the quantity supplied because consumers would have little demand even at a reduced price due to the surplursity of the product.

Sarah just received an invoice for $12,000 with terms of 2/10, n/30. The invoice date was June. Her contract with the vendor indicates a charge of 1.5 percent per month on late payments.If Sarah pays this bill on June 15, she will send the vendor a check for:______.A) $11,760.B) $12,000.C) $12,180.D) Cannot answer without more information.

Answers

Answer:

B: $12,000

Explanation:

Sarah will pay $ 12,000 as the invoice has a term that indicates a cash discount (2/10) of 2% if payment is made with in 10 days from the date of invoice and (n/30) no discount is given if payment is made after 30 days.

As Sarah paid the invoice after 15 days of invoice assuming the invoice date was 1st June then no discount is received by Sarah.

No interest of late payment has also been charged as it pays the invoice with in the normal 30 days credit limit.  

7. Zee Best, a home improvement center, is developing a new lawnmower. The marketing strategy has already been created, and a prototype has been developed and tested. Once the lawnmower passes product tests, the next step is most likely to be: A. test marketing B. commercialization C. business analysis D. full-scale launch

Answers

Answer:

Option "A" is the correct answer to the following question.

Explanation:

Test marketing is a type of experiment conducted in a particular type of testing market or testing laboratory in which individuals participate to practice and experiment with new types of goods and services.

This process is done to understand the quality and social evaluation of its use before delivering that particular product to the final market.

After testing the Lawnmover in presentation status, it is also sent to the test market.

Temporary Housing Services Incorporated​ (THSI) is considering a project that involves setting up a temporary housing facility in an area recently damaged by a hurricane. THSI will lease space in this facility to various agencies and groups providing relief services to the area. THSI estimates that this project will initially cost $ 6 million to set up and will generate $ 23 million in revenues during its first and only year in operation​ (paid in one​ year). Operating expenses are expected to total $ 12 million during this year and depreciation expense will be another $ 2 million. THSI will require no working capital for this investment. ​ THSI's marginal tax rate is​ 35%.Ignoring the original investment of $5 million, what is THSI's free cash flow for the first and only year of operation?
a. $5.0 million
b. $3.75 million
c. $8.0 million
d. $6.25 million

Answers

Answer:

c.$8.0 million

Explanation:

 Free cash flows will be $23

Less; operating expenses ($12)  

Less; Depreciation             ($2)

Cash flows net                   $9

Tax at 35%                        ($3.15)

Net free cash flows          $5.85

Add; Depreciation             $2

Free cash flows                 $7.85 million (round off $8.0 million)

               

Glenda eats chips and dips, burgers and fries, and a couple of shakes. After her eating she goes to the gym and does 90 minutes of aerobics, spends an hour on the stair stepper, and then does weights for another hour. She also does not eat for 72 hours. This set of assumptions would lead to a diagnosis of:

Answers

Answer:

Bulimia Nervosa

Explanation:

Bulimia Nervosa is a type of eating disorder in which an individual tends to over eat by eating very large amount of food, like in this case, she eats chips and dips, burgers and fries, and a couple of shakes all at once, and then it is followed by purging to get rid of the extra calories. Also, in this scenario she uses lots of exercise routines and not eating for the next 72 hours as a means of getting rid of the extra calories. Bulimia can lead to death in some cases due to excessive electrolyte imbalance in the body system. It is made up of continuous episodes of eating followed up by serious techniques and efforts in avoiding weights.

Pulaski Plumbing Supply is planning to bring a new type of valve to market and is conducting a break-even analysis. For this analysis they are assuming a selling price of $2.50 per valve. The total fixed cost associated with producing the valve is $10,000. The variable cost to produce each valve is $2.10. In this analysis, what is the break-even point (BEP) for the valve?

Answers

Answer:

break-even point (BEP) = 25,000 items

Explanation:

given data

Selling price  = $2.50

Fixed costs = $10,000

Variable cost = $2.10

solution

we know that Revenue is sum of  Fixed costs and  variable costs

so we use here contribution margin method that is

Contribution margin = $ 2.50 - $ 2.10

Contribution margin  = $ 0.4

so

break-even point (BEP) for the valve is here

break-even point (BEP) = fixed cost ÷ Contribution margin    ...................1

put here value

break-even point (BEP) = [tex]\frac{10000}{0.4}[/tex]  

break-even point (BEP) = 25,000 items

The trial balance of a company included the following account balances: Cash, $25,000; Short-Term Investments, $10,000; Accounts Receivable, $40,000; Inventory, $90,000; and Prepaid Insurance, $12,000. Its quick assets total:

A. $35,000
B. $125,000
C. $75,000
D. $165,000
E. $50,000

Answers

Answer:

C. $75,000

Explanation:

All the current assets which can be quickly converted into cash are the quick assets. Inventory and Prepaid Insurance are not the p[art of this because these take much longer time to convert into cash than other current assets. Receivable has more liquidity than inventory because it takes less time to recover.

Cash                                 $25,000

Short-Term Investments $10,000

Accounts Receivable      $40,000

Total Quick Assets          $75,000

Answer:

Its quick assets total is $75,000. The right answer is C.

Explanation:

In order to calculate the company's quick assets total we need to check according to the data, which of the account balances of the company are quick assets.

Hence, Quick assets are the following:

Cash $ 25,000

Short Term Investments $10,000.

Accounts Receivable $40,000.

Therefore, Total Quick Assets=$ 25,000+ $10,000+ $40,000= $75,000

When there is a change in government spending or taxes to affect aggregate economic​ activity, this is referred to as A. political posturing. B. monetary policy. C. fiscal policy. D. aggregate policy. When the money supply is changed to affect aggregate economic​ activity, this is referred to as A. political posturing. B. aggregate policy. C. fiscal policy. D. monetary policy.

Answers

Answer:

fiscal policy.

Monetary policy

Explanation:

Fiscal policy is using government spending and tax to influence the economy.

Monetary policy are policies enacted by the Central bank to influence the economy using interest rate and money supply.

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Dealer markets are characterized by: no time-consuming search for a fair deal. a guarantee of order fulfillment because the dealer holds an inventory of securities. improved market efficiency because dealers provide continuous bid and ask prices for securities. all of the above characterize dealer markets.

Answers

Answer:

all of the above characterize dealer markets.

no time-consuming search for a fair deal. a guarantee of order fulfillment because the dealer holds an inventory of securities. improved market efficiency because dealers provide continuous bid and ask prices for securities.

Explanation:

A dealer market is a market where financial dealers post their trading prices (the buying and selling price of stocks, bonds, foreign currency, etc.). The largest dealer market in the US is Nasdaq where stocks are traded electronically. The main difference between a dealer market and a regular auction market like the NYSE is that no bidding takes place since operations are done in a split second.  

Last year, Nicole had to invest. She invested some of it in an account that paid simple interest per year, and she invested the rest in an account that paid simple interest per year. After one year, she received a total of in interest. How much did she invest in each account?

Answers

Since there are no values in the question asked, we will assign values and calculate in order to enhance understanding of this sort of question.

Let $12,000 be the total amount invested. Let the first account pay 14% simple interest and the second account pay 23% simple interest.

Let the total interest received after one year be $2,310.

Answer:

She invested $5,000 in the first account and $7,000 in the second account.

Explanation:

Please kindly check the attached files for explanation.

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