Special Ice company produces and sells bottled water. the following cost are available for year ended December, 31. 2020. At the beginning of 2020 the company had 500,000 bottles of water in the beginning inventory. During 2020 7500000 bottles were produced and 7500000 were sold.

Variable Cost per unit

Prime Cost 0.15

Variable Manufacturing Overhead 0.08

Variable Selling and Administrative expenses 0.02

Annual fixed Cost and expenses

Manufacturing Overhead 500000

Selling and Administrative expenses 100000

Prepare income statement for special ice company using the Absorption method of costing

Answers

Answer 1

The Absorption Method of costing, also known as Full Costing or Traditional Costing

 Is a managerial accounting approach that assigns all indirect expenses to products in a systematic way. Here is the income statement for Special Ice Company using the Absorption Method of costing: Income Statement of Special Ice Company for the Year Ended December 31, 2020Sales (7500000 x $0.25) = $1875000Less: Cost of goods sold: Beginning inventory, January 1, 2020 = 500000Add: Bottles produced during the year = 7500000Total units = 8000000Variable costs: Prime cost = $0.15Variable manufacturing overhead = $0.08Variable selling and administrative expenses = $0.02Total variable cost per unit = $0.25

Fixed manufacturing overhead = $500000Fixed selling and administrative expenses = $100000Total fixed cost = $600000Total cost of goods sold = (8000000 x $0.25) + ($600000/8000000) = $2000000Gross profit = Sales - Cost of goods sold= $1875000 - $2000000 = ($125000)Net loss = Gross profit - Operating expenses= ($125000) - ($500000 + $100000) = ($725000)Therefore, Special Ice Company has incurred a net loss of $725,000 in the year ended December 31, 2020, using the Absorption Method of costing.

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Related Questions

Consolidated financial statements are the financial statements
of a group in which the assets, liabilities, equity, income,
expenses and cash flows of the parent and its subsidiaries are:
a. presented

Answers

Consolidated financial statements are an important part of financial reporting.

Consolidated financial statements are the financial statements of a group in which the assets, liabilities, equity, income, expenses, and cash flows of the parent and its subsidiaries are presented. A parent company owns and controls subsidiaries, and they operate as a single entity. These statements provide an overview of the overall financial health of the company as a whole. In accounting, the objective of consolidated financial statements is to provide investors, creditors, and stakeholders with a picture of the combined economic entities' financial position, performance, and cash flows. Consolidated financial statements' presentation provides stakeholders with a more comprehensive view of the financial situation of a group, resulting in more meaningful information. Thus, consolidated financial statements are an important part of financial reporting.

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A portfolio has 75 shares of Stock A that sell for $43 per share and 115 shares of Stock B that sell for $31 per share.
(a) What is the portfolio weight of Stock A?
HINT: The portfolio weight is the percent of the portfolio's total value that is invested in Stock A.
0.4750
0.4850
0.4236
0.6011
0.4650

Answers

The portfolio weight of Stock A is approximately 0.4750. Option A is the correct answer.

To calculate the portfolio weight of Stock A, we need to determine the total value of the portfolio and the value of Stock A in the portfolio.

The total value of the portfolio can be calculated as follows:

Total Value = (Number of shares of Stock A × Price per share of Stock A) + (Number of shares of Stock B × Price per share of Stock B)

Total Value = (75 × $43) + (115 × $31)

Total Value = $3,225 + $3,565

Total Value = $6,790

Now, we can calculate the portfolio weight of Stock A:

Portfolio Weight of Stock A = (Value of Stock A / Total Value)

Portfolio Weight of Stock A = ($3,225 / $6,790)

Portfolio Weight of Stock A ≈ 0.4750

Therefore, the portfolio weight of Stock A is approximately 0.4750.

The correct answer is option A: 0.4750.

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true/false. nested tags automatically adopt the properties of tags that are higher in the tag structure.

Answers

False. In HTML and XML, nested tags do not automatically adopt the properties of tags higher in the tag structure.

Each tag's properties and behaviors are defined independently, and nesting tags only affects their hierarchical relationship, not their inherent properties. The properties of a nested tag are typically specified separately within its own tag definition or through cascading stylesheets (CSS).

In HTML and XML, each tag has its own set of properties and behaviors defined by its associated element type or defined explicitly through attributes. While nested tags create a hierarchical structure, they do not inherently inherit the properties of their parent tags. Instead, specific properties can be applied to nested tags through CSS, which allows for cascading styles from higher-level tags. This separation of properties and behaviors provides flexibility in designing and styling web content.

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sam paid the following expenses during october 2022 for his son aaron's spring 2023 college expenses: spring 2023 semester begins in january 2023: tuition $ 18,000 housing 8,000 meal plan 3,500 in addition, aaron's uncle paid $500 for college fees on behalf of aaron directly to the college. aaron is claimed as sam's dependent on his tax return. how much of the paid expenses qualify for purposes of the education credit deduction for sam in 2022?

Answers

All of the paid expenses, totaling $18,500, qualify for the education credit deduction for Sam in 2022.

Let's calculate the correct amount of expenses that qualify for the education credit deduction for Sam in 2022.

The expenses paid by Sam in October 2022 for Aaron's spring 2023 college expenses are:

Tuition: $18,000

Housing: $8,000

Meal plan: $3,500

In addition, Aaron's uncle paid $500 for college fees directly to the college on behalf of Aaron.

To determine the qualifying expenses for the education credit deduction, we need to consider the IRS rules. Qualified education expenses are eligible for the deduction if they are required for enrollment or attendance at an eligible educational institution.

Based on the given information, all of the expenses paid by Sam, including tuition, housing, meal plan, and the payment made by Aaron's uncle for college fees, qualify as qualified education expenses.

Therefore, the correct answer is:

D) $18,500.

All of the paid expenses, totaling $18,500, qualify for the education credit deduction for Sam in 2022.

The correct question is:

Sam paid the following expenses during October 2022 for his son Aaron's spring 2023 college expenses: Spring 2023 semester begins in January 2023:

Tuition $ 18,000

Housing $ 8,000

Meal plan $ 3,500

In addition, Aaron's uncle paid $500 for college fees on behalf of Aaron directly to the college. Aaron is claimed as Sam's dependent on his tax return. How much of the paid expenses qualify for purposes of the education credit deduction for Sam in 2022?

A) $0.

B) $20,000.

C) $18,000.

D) $18,500

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Sugar Industries has provided the following data for its 2022 operations (ignore income taxes): 2022 revenues were $150,900. 2022 expenses were $76,500. Dividends declared and paid during 2022 totaled $15,450. Total assets at December 31, 2022 were $289,500. Total liabilities at December 31, 2022 were $181,500. Common stock at December 31, 2022 was $66,000. Which of the following is correct? Total stockholders' equity at December 31, 2022 was $351,600. 2022 net income was $58,950. Retained earnings at December 31, 2022 were $58,950. Retained earnings at December 31, 2022 were $42,000.

Answers

The correct statement is "Retained earnings at December 31, 2022 were $58,950.

2022 revenues: $150,900

2022 expenses: $76,500

Dividends declared and paid in 2022: $15,450

Total assets at December 31, 2022: $289,500

Total liabilities at December 31, 2022: $181,500

Common stock at December 31, 2022: $66,000

Total stockholders equity at December 31, 2022:

Total Stockholders Equity = Total Assets - Total Liabilities

Total Stockholders Equity = $289,500 - $181,500

Total Stockholders Equity = $108,000

2022 net income:

Net Income = Revenues - Expenses

Net Income = $150,900 - $76,500

Net Income = $74,400

Retained earnings at December 31, 2022

Retained Earnings = Net Income - Dividends

Retained Earnings = $74,400 - $15,450

Retained Earnings = $58,950

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Welch Company is considering three independent projects, each of which requires a $5 million investment. The estimated internal rate of return (IRR) and cost of capital for these projects is presented below:

Project H (High risk): Cost of capital = 15% IRR = 19%
Project M (Medium risk): Cost of capital = 13% IRR = 11%
Project L (Low risk): Cost of capital = 8% IRR = 10%

Note that the projects' costs of capital vary because the projects have different levels of risk.

The company's optimal capital structure calls for 30% debt and 70% common equity, and it expects to have net income of $12,494,000.

If Welch establishes its dividends from the residual dividend model, what will be its payout ratio? Round your answer to two decimal places.

Answers

Welch Company's payout ratio under residual dividend model will be 2238322.8% (rounded to two decimal places).

Residual Dividend Model Residual dividend model refers to a method of estimating the dividends paid to the shareholders of a company. Under this model, the dividend paid to shareholders is calculated by deducting the equity investment's minimum required return from the firm's net income.

The residual amount available after paying dividends is then retained by the company as internal equity for its operations. Calculation of payout ratio under residual dividend model is done by dividing dividends paid per share by earnings per share.

To compute the dividends per share under the residual dividend model, the amount of earnings that is not needed to finance capital expenditures and any additional working capital requirements is distributed to shareholders. If a company employs a residual dividend model, the payout ratio can fluctuate depending on the amount of capital expenditure required for future operations.

Welch Company's payout ratio under residual dividend model is calculated as follows: To determine the amount of dividends paid per share, subtract equity's minimum required return from the net income. The amount remaining after paying dividends is retained by the company as internal equity.

The formula for dividends paid per share is as follows: Dividends paid per share = Net income - (Equity investment × Minimum required return)To determine the residual amount available, multiply the amount of equity by the minimum required rate of return, which is the rate of return that equity investors demand for their investment. Minimum required return is also known as the cost of equity.

The formula for the residual amount available is as follows: Residual amount available = Equity investment × Minimum required return Substitute the values given in the question.

Dividends paid per share = $12,494,000 - (0.70 × $12,494,000 × 0.10) = $3,745,200Residual amount available = 0.70 × $12,494,000 × 0.10 = $87,458Payout ratio = Dividends per share / Earnings per share We need to find the earnings per share, which are calculated using the following formula: Earnings per share = Net income / Total shares outstanding Substitute the values given in the question. Earnings per share = $12,494,000 / 7,500,000 = $1.67Payout ratio = $3,745,200 / $1.67 = 2,238,322.8% (rounded to two decimal places)

Therefore, Welch Company's payout ratio under residual dividend model will be 2238322.8% (rounded to two decimal places).

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PLEASE HELPP!!

Financial Statement Analysis Portfolio

The Income Statement for Pumpkin Co. is shown below:

Pumpkin Co.IncomeStatement
for the Month Ended October 21, 2010

revenues- blank

sales
$120,000.00

operating expenses-blank

salary expense
$10,000.00

supplies expense
$14,000.00

depreciation expense
$4,000.00

net income
$92,000.00

Pumpkin Co. is about to embark on a project that will have a total cost of $300,000.00 over a 10-year period.

1. Calculate the expected annual rate of return on this project.

2.Calculate the cash payback on this project.

Answers

Answer:

Explanation:

what do you need help with', though

The expected rate of return over the project will be 30.67%; whereas, the cash payback for the same will be 3.12 years.

What is rate of return?

A financial ratio used to calculate the returns over monetary engagement during a financial period is generally regarded as the rate of return over such investment.

Using the given information, the expected rate of return will be computed as,

[tex]\rm Rate\ of\ Return= \dfrac{Net\ Income}{Investment}\ x\ 100\\\\\rm Rate\ of\ Return= \dfrac{92000}{300000}\ x\ 100\\\\\rm Rate\ of\ Return= 30.67\%[/tex]

Similarly, when such return is earned, the cash payback will be computed as,

[tex]\rm Cash\ Payback= \dfrac{Investment}{Cash\ Inflow}\\\\\rm Cash\ Payback= \dfrac{300000}{92000}\\\\\rm Cash\ Payback= 3.125[/tex]

Hence, the expected rate of return over the project will be 30.67%; whereas, the cash payback for the same will be 3.12 years.

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Earl obtained a loan for 20000 dollars. He will pay it back in 21 months with an interest rate of 9 yearly compunded monthly. Each payment will be $500 larger than the previous payment. Calculate the amount of the last payment.

Answers

The amount of the last payment will be $29,060.49. Let x be the amount of Earl's first payment, and y be the amount of the last payment.

In this problem, we know that Earl obtained a loan for $20,000, which he will pay back in 21 months with an interest rate of 9 yearly compounded monthly. We also know that each payment will be $500 larger than the previous payment. Thus, we can use the formula for the present value of an annuity due to calculate the first payment:

PV = (PMT/i) x (1 - (1+i)^-n)where PV is the present value, PMT is the payment amount, i is the interest rate per period, and n is the total number of periods.

In this case, we can use the following values:

PV = $20,000 (since that is the amount Earl borrowed)

i = 9%/12 (since the interest rate is 9% yearly compounded monthly)

n = 21 (since he will make payments for 21 months)Solving for PMT, we get:

PMT = (PV x i) / (1 - (1+i)^-n)

PMT = ($20,000 x 0.0075) / (1 - (1+0.0075)^-21)

PMT ≈ $1,021.27

Since we know that each payment will be $500 larger than the previous payment, we can use this formula to find the last payment:

y = x + ($500 x 20)where x is the first payment.

To find x, we can use the PMT we calculated above, and the same formula for the present value of an annuity due:

PMT = (x/i) x (1 - (1+i)^-n)

Solving for x, we get:

x = (PMT/i) x (1 - (1+i)^-n)x = ($1,021.27/0.0075) x (1 - (1+0.0075)^-21)x ≈ $19,060.49

Now we can use the formula for y:y = $19,060.49 + ($500 x 20)y = $29,060.49

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Rachel bought a motor vehicle for £25,000. The vehicle has an estimated useful life of 3 years and an estimated residual value of £2,500. If depreciation is to be provided on the straight-line basis, which of the following statements is true? a. Depreciation will be provided at 33% on cost. b. Depreciation will be provided at 30% on cost. c. Depreciation will be provided at 10% on cost. d. Depreciation will be provided at 37% on cost.

Answers

Depreciation will be provided at 30% on costIf Rachel bought a motor vehicle for £25,000, the vehicle's estimated useful life is 3 years, and its estimated residual value is £2,500,

the depreciation is to be provided on the straight-line basis; we are required to find out the rate at which depreciation is to be provided. On the straight-line basis, the same amount of depreciation is charged every year over the useful life of the asset. Straight-line depreciation is calculated as the difference between an asset's cost and its salvage value divided by the number of years it is expected to be in use.

Depreciation for a fixed asset is computed by subtracting its residual value from its cost and dividing the result by the asset's useful life. Here, the vehicle's cost is £25,000 and the residual value is £2,500. The vehicle's depreciable value is £22,500 (£25,000 – £2,500). We are going to divide the depreciable value by the asset's useful life of three years:Depreciation = Depreciable Value / Useful lifeDepreciation = £22,500 / 3Depreciation = £7,500 per year

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21.
Question Content Area
A business operated at 100% of capacity during its first month
and incurred the following costs:
Production costs (19,800 units):
Direct materials
$178,700
Direct

Answers

A business operated at 100% of capacity during its first month and incurred production costs of $380,700. The per-unit cost of direct materials is $9.01 while the per-unit conversion cost is $5.17.

The per-unit cost of direct materials is found using the given data and the formula, $178,700 / 19,800 units = $9.01.

The per-unit conversion cost is found by subtracting the per-unit direct materials cost from the per-unit production cost. Therefore, per-unit conversion cost is $14.18 - $9.01 = $5.17.The total production cost is the sum of the total direct materials cost and the total conversion cost.

Therefore, total production cost is $178,700 + $102,000 = $280,700. In addition, total cost of goods sold is equal to total production cost.

Thus, the answer to the question is:During its first month of operation, the business operated at 100% of capacity and incurred production costs of $380,700. The per-unit cost of direct materials is $9.01 while the per-unit conversion cost is $5.17.

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(b) Analyse from an investor's point of view if common stock is riskier than bond. (10 marks)

Answers

We can see here that common stock is riskier than bond from an investor's point of view.

The reasons common stock is riskier than bond:

Unpredictable returnsLimited voting rightsPotential for loss of investment

Who is an investor?

An investor is an individual, organization, or entity that allocates funds or resources, typically with the expectation of generating a financial return or achieving a specific goal.

Investors engage in various investment activities to grow their wealth, preserve capital, or support ventures they believe in. They commit their funds to assets, projects, or securities with the aim of generating income or capital appreciation over time.

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In this activity, you will create a Worksheet/Spreadsheet to help you understand some of the financial considerations marketing managers must think about when calculating costs/expenses and projected revenue for introducing a new product to the marketplace. COSTS: Think about the product you and your team are planning on introducing to your target market. What do you think are some of the specific variable and fixed costs you need to consider? .

Now look at projecting revenues for a new product implementation. Assuming your product will hit the market on January of the next year, project what you think your product will bring in revenue over the first year by month; the 2nd year by quarter and the 3rd year by quarter. For example, if your product is a new type of running shoe and you are implementing it regionally starting in New England, you likely will sell more in the spring and summer than in the winter. Think about those kinds of variations when doing your projections by month and by quarter.

Answers

This worksheet is designed to help marketing managers calculate costs/expenses and projected revenue for a new product launch. It aims to identify specific variable and fixed costs and project product revenue for the first three years by month and quarter.

Marketing managers need to be aware of the financial considerations involved in launching a new product to the market. It is important to consider the various costs involved such as variable and fixed costs.Variable costs are costs that vary depending on the level of output. In contrast, fixed costs remain the same regardless of the level of output. Some examples of variable costs include raw materials, production labor, and sales commissions. On the other hand, examples of fixed costs are rent, salaries, and insurance.The financial considerations also involve projecting revenues for the new product implementation. The projected revenues are usually done by month for the first year and by quarter for the second and third years. The product's seasonality needs to be considered, for instance, a new running shoe may sell more in spring and summer than in winter.The worksheet helps marketing managers understand the costs associated with introducing a new product. It can also help them project revenue for the first three years by considering the product's seasonality and variations by month and quarter.

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what risk does the hotel face for not training staff to converse with arriving guests?

Answers

The risk that a hotel faces for not training its staff to converse with arriving guests is that the guests may have a negative experience, which can lead to poor reviews, reduced bookings, and loss of revenue.

Good communication skills are essential in the hospitality industry because guests expect to be treated with respect and professionalism from the moment they arrive. The lack of proper communication can lead to misunderstandings, frustration, and an overall negative perception of the hotel and its staff.

Training staff to converse with arriving guests is an investment that can yield significant returns. Well-trained staff can create a positive first impression, establish rapport with guests, and provide valuable information that enhances the guest's experience.

Additionally, effective communication can help prevent and resolve conflicts, which can lead to higher guest satisfaction and loyalty. Therefore, hotels should prioritize staff training to ensure that guests feel welcomed and valued from the moment they arrive.

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An employee performs a service for a fee and does not work under the control and direction of the company paying for the service.

True

False

Answers

Independent contractors are typically not entitled to the same benefits and protections as employees. Answer: False

An employee performs a service for a fee and does not work under the control and direction of the company paying for the service is not an accurate statement. It is a False statement.

An employee who performs a service for a fee does work under the control and direction of the company paying for the service. What is an Employee? An employee is an individual who is hired by an employer to provide services and is paid a salary or wage in return.

An employee is often described as an individual who works under the control and direction of the employer and is subject to the employer's rules and regulations. Employees are typically entitled to a range of benefits and protections, including minimum wage laws, workers' compensation insurance, and unemployment benefits. What is an Independent Contractor? An independent contractor is an individual who provides services to a company or individual for a fee.

An independent contractor is often described as an individual who works independently and is not under the control or direction of the person or company paying for the service.

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What are the key points appropriate for external audiences in
the automotive industry?

Answers

The key points appropriate for external audiences in the automotive industry are :- Vehicle Features and Performance , Innovation and Technology , Sustainability and Environmental Responsibility , Safety and Reliability , Customer Satisfaction and Reviews , Corporate Social Responsibility , Competitive Advantage , Future Plans and Roadmap ,

Pricing and Financing Options, Availability and Distribution Channels.

When communicating with external audiences in the automotive industry, it's important to focus on key points that are relevant and appealing to them. Here are some key points that can be appropriate for external audiences in the automotive industry:

Vehicle Features and Performance: Highlight the key features and performance capabilities of your vehicles. This can include aspects such as fuel efficiency, safety features, advanced technology, comfort, and design. Emphasize how your vehicles can meet the needs and preferences of potential customers.

Innovation and Technology: Discuss the cutting-edge technologies and innovations incorporated in your vehicles. This can include advancements in electric or autonomous vehicles, connectivity features, infotainment systems, and other technological advancements that enhance the driving experience.

Sustainability and Environmental Responsibility: Highlight your company's commitment to sustainability and reducing the environmental impact of vehicles. Discuss efforts in developing electric or hybrid vehicles, improvements in fuel efficiency, recycling initiatives, and other environmentally friendly practices.

Safety and Reliability: Emphasize the safety standards and measures taken in the design and manufacturing of your vehicles. Highlight any safety awards or ratings received, advanced driver-assistance systems, collision avoidance features, and reliability statistics. Assure potential customers that your vehicles are built with their safety in mind.

Customer Satisfaction and Reviews: Share positive customer feedback and reviews to build trust and demonstrate the satisfaction of your existing customers. Highlight any awards or recognition your vehicles have received from reputable sources or organizations.

Corporate Social Responsibility: Discuss your company's involvement in community initiatives, philanthropy, and social responsibility programs. This can include partnerships with non-profit organizations, educational initiatives, or efforts to support local communities.

Competitive Advantage: Differentiate your brand and vehicles from competitors by highlighting unique selling points, such as exceptional performance, superior quality, industry-leading technology, or outstanding customer service.

Future Plans and Roadmap: Provide insights into your company's future plans, including upcoming vehicle models, technology advancements, and strategic partnerships. This can generate excitement and anticipation among potential customers.

Pricing and Financing Options: Provide transparent information about pricing and financing options available for your vehicles. Highlight any special offers, promotions, or financing plans that can make your vehicles more accessible to a wider audience.

Availability and Distribution Channels: Communicate where and how your vehicles can be purchased or leased, including dealership locations, online platforms, or other distribution channels. Provide information on test drive opportunities or events where potential customers can experience your vehicles firsthand.

Remember, it's essential to tailor your communication to the specific needs and interests of your target audience. This can be done through various channels such as press releases, marketing materials, social media, and direct engagement with customers.

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FILL THE BLANK. "1 If a country is facing an internal imbalance of under
employment, and an external imbalance of a too large a Current
Account deficit, then the recommended policies to restore balance
involves a(n) _"

Answers

If a country is facing an internal imbalance of under employment, and an external imbalance of a too large a current account deficit, then the recommended policies to restore balance involves a balance of payments policy.

When a country is experiencing underemployment internally, it means that there is a significant number of unemployed or underutilized resources, such as labor and capital, within the country. Additionally, if the country has a large Current Account deficit externally, it indicates that it is importing more goods and services than it is exporting, resulting in a deficit in its international trade.

To restore balance in such a situation, the recommended policies typically focus on achieving a balance of payments. The balance of payments refers to the record of all economic transactions between residents of a country and the rest of the world over a specific period. It includes the current account, capital account, and financial account.

To address the internal imbalance of underemployment, the country may implement expansionary fiscal policies, such as increasing government spending or reducing taxes, to stimulate domestic demand and create job opportunities. This can help reduce unemployment and utilize underutilized resources.

Simultaneously, to address the external imbalance of a large Current Account deficit, the country may implement policies to promote exports and reduce imports. This can involve measures such as currency devaluation to make exports more competitive, trade promotion initiatives, import restrictions, or improving domestic production capacity.

By focusing on achieving a balance of payments, the country aims to restore equilibrium between its internal and external economic conditions. The ultimate goal is to achieve full employment and a sustainable level of economic growth while ensuring a more balanced trade relationship with other countries.

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Which of the following drives work-in-process inventory levels higher?
a. Production rate losses
b. Machine breakdowns
c. Rework processes
d. All of these choices are correct.

Answers

The following drives work-in-process inventory levels higher all of these choices are correct.

The option (D) is correct.

Each of the three factors listed (creation rate misfortunes, machine breakdowns, and modify processes) can add to higher work-in-process (WIP) inventory levels. Production rate losses happen when the genuine creation rate is lower than the arranged rate, bringing about incomplete merchandise stacking up in the creation cycle.

Machine breakdowns can disturb the creation stream and lead to delays, causing WIP stock to gather. Adjust processes include rectifying deformities or blunders in the items, which can stretch out the time expected to finish them and increment WIP stock.

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when analyzing and advising clients about funding their retirement, qualitative factors are of much less significance than quantitative or financial factors.T/F

Answers

False. When analyzing and advising clients about funding their retirement, both qualitative and quantitative factors are significant and should be considered.

While quantitative or financial factors such as income, savings, investments, and expenses play a crucial role in determining retirement funding needs and strategies, qualitative factors should not be overlooked. Qualitative factors involve personal considerations and individual circumstances that can impact retirement planning, such as lifestyle goals, health status, risk tolerance, desired retirement age, family dynamics, and personal values. These factors help shape the retirement plan and ensure it aligns with the client's unique situation and aspirations. A comprehensive retirement plan should consider both quantitative and qualitative factors to provide a well-rounded and customized approach to meet the client's retirement goals.

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If a hospitality operation's sales are too low, total revenue
a. will cover variable, but not fixed costs
b. may create profits, but may still not cover fixed costs
c. may be insufficient to cover fixed and variable costs
d. will cover fixed, but not variable costs

Answers

If a hospitality operation's sales are too low, total revenue may be insufficient to cover fixed and variable costs.

The correct answer to the given question is option c.

The total revenue is the total amount of money that a hospitality operation makes by selling its products or services. The hotel’s or resort’s revenue is the sum of all the money received for services provided to the customers.The sales revenue is affected by the number of rooms occupied and the amount of time that the guests spent at the facility. The costs incurred during operations are the variable and fixed costs.

Variable costs are those expenses that increase or decrease with an increase or decrease in business volume. For example, the cost of food, wages paid to employees, etc.Fixed costs, on the other hand, are expenses that remain constant irrespective of the business's volume.

For instance, rent, utility bills, insurance premium, etc. are fixed costs.If a hospitality operation’s sales are too low, it may be insufficient to cover fixed and variable costs. Therefore, the correct answer is option C. If the sales are too low, the revenue generated may not be enough to cover the costs incurred during operations. It can lead to losses or financial instability.

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There are many types of leadership style.Using any three (3) dimensions of servant leadership, explain how a leader can motivate the Millennials to perform at their best?

Answers

Servant leadership is a leadership style that focuses on serving others, empowering them, and prioritizing their needs above one's own. It comprises various dimensions, and three dimensions can be explained to show how a leader can motivate millennials to perform at their best. The three dimensions of servant leadership include empathy, stewardship, and community building.

Below is an explanation of how each of these dimensions can be used to motivate millennials:

Empathy: Leaders need to understand and relate to the millennials they lead. Empathy is the ability to understand another person's feelings, thoughts, and behaviors. When a leader can empathize with millennials, they can create a rapport that motivates millennials to perform at their best. Empathy allows a leader to understand what motivates millennials, their concerns, and aspirations.

Stewardship: This dimension focuses on the leader's responsibility to take care of the people and resources they are entrusted with. Millennials want to be part of a bigger purpose than themselves, and they want to contribute to society. A leader who prioritizes stewardship will motivate millennials by showing them how their contributions impact the larger society. Stewardship also encourages leaders to develop their team's skills, making them better equipped to perform their tasks.

Community Building: Millennials thrive in a collaborative environment that allows them to connect with others. Leaders can create a community by fostering teamwork, celebrating milestones, and creating a sense of belonging. A leader who prioritizes community building motivates millennials to perform at their best by showing them they are part of something bigger than themselves.

In conclusion, servant leadership can be used to motivate millennials to perform at their best. Leaders can use the dimensions of empathy, stewardship, and community building to create a work environment that empowers and motivates millennials.

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Use the drop-down menus to explain how to create a one-to-one relationship using the primary keys of two tables.
1. Open the database.
2. On the Database Tools tab, in the Relationships group, click
3. On the Relationship Tools Design tab, in the Relationships group, click
4. In the dialog box, click one of the tables to add, and click Add.
5. Click the other table to add, click Add, and click
6. Click and drag the primary key from a table, and drop it on the primary key of the other table.
7. In the Edit Relationships dialog box, make sure the correct fields are being linked.
8. Click the Enforce Referential Integrity checkbox, and click

Answers

Answer:relationships, show table, close, create

Explanation: just did it

Answer:

Use the drop-down menus to explain how to create a one-to-one relationship using the primary keys of two tables.

1. Open the database.

2. On the Database Tools tab, in the Relationships group, click

✔ Relationships

.

3. On the Relationship Tools Design tab, in the Relationships group, click

✔ Show Table

.

4. In the dialog box, click one of the tables to add, and click Add.

5. Click the other table to add, click Add, and click

✔ Close

.

6. Click and drag the primary key from a table, and drop it on the primary key of the other table.

7. In the Edit Relationships dialog box, make sure the correct fields are being linked.

8. Click the Enforce Referential Integrity checkbox, and click

✔ Create

Explanation: Just did it and its correct

Evaluate the ways that peasant farmers, loggers, and conservation organizations approach land use. Which do you agree with? Is there room for peaceful coexistence in the Amazon, especially with the prospect of population growth?

Answers

The different ways peasant farmers, loggers, and conservation organizations approach land use are described below: Peasant farmers use land as a means of survival. They are the ones who deforest the Amazon. As a result, they contribute to greenhouse gas emissions, which contributes to climate change.

They use fire to clear the land for cultivation. This technique, however, has long-term negative consequences for the Amazon's environment. As a result, the Brazilian government has implemented several initiatives to assist peasant farmers, such as agroforestry, which incorporates crops and livestock into forestland, as well as providing land titles.

Loggers are interested in exploiting the Amazon's forests for their own gain. They are not concerned with the environmental consequences of their actions. When they deforest, they are also contributing to the release of greenhouse gas emissions into the atmosphere.

However, the Brazilian government has taken measures to monitor and prevent logging activities from having a significant impact on the Amazon's environment.Conservation organizations, such as Greenpeace and the World Wildlife Fund, work to preserve the Amazon's environment.

They oppose logging and other activities that contribute to deforestation. They also work to promote sustainable tourism and ecotourism. They are concerned with the Amazon's well-being.Peasant farmers, loggers, and conservation organizations should find a way to peacefully coexist in the Amazon.

The government should encourage sustainable activities that promote economic growth while also preserving the Amazon's environment. The Amazon, on the other hand, is home to a wide range of wildlife and plays an important role in the planet's climate regulation. In conclusion, peaceful coexistence is feasible with the proper initiatives to promote sustainable activities that do not harm the environment.

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When fixed costs are $90,000 and variable costs are 70% of the selling price, then breakeven sales are: _____________

A. $128,571
B. $117,000
C. $300,000
D. $153,000

Answers

When fixed costs are $90,000 and variable costs are 70% of the selling price, then breakeven sales are: $300,000. The correct answer is option (C)

To calculate the breakeven sales, we need to determine the sales revenue at which the company's total revenue equals its total costs, resulting in zero profit. Given the following information:

Fixed costs = $90,000

Variable costs as a percentage of selling price = 70%

The contribution margin is calculated as (100% - variable costs as a percentage of selling price). In this case, the contribution margin is 30% (100% - 70%).

The breakeven point in sales can be calculated using the formula:

Breakeven sales = Fixed costs / Contribution margin

Let's calculate the breakeven sales:

Breakeven sales = $90,000 / 0.30

Breakeven sales = $300,000

Therefore, the breakeven sales are $300,000. The correct answer is option (C) $300,000.

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Which of the following is not a goal of the Federal Deposit Insurance Corporation (FDIC)? Group of answer choices Insure deposits. Protect consumer from excessive losses in the stock market. Manage receiverships. Supervise financial institutions for financial stability.

Answers

The goal of the Federal Deposit Insurance Corporation (FDIC) that does not align with its mission is "Protect consumer from excessive losses in the stock market."

The FDIC's primary goals are to ensure the stability and public confidence in the nation's financial system by insuring deposits, managing receiverships, and supervising financial institutions. However, the FDIC's mandate does not extend to protecting consumers from excessive losses in the stock market. The FDIC focuses on safeguarding depositors' funds in insured banks and thrift institutions, providing insurance coverage up to a certain limit per depositor, per insured institution.

While the FDIC plays a crucial role in protecting depositors and ensuring financial stability, it does not have a direct role in protecting consumers from losses in the stock market. Investors participating in the stock market face inherent risks, and consumer protection in the stock market falls under the purview of other regulatory bodies like the Securities and Exchange Commission (SEC).

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an analyst is designing a dashboard. in order for it to be effective, they make sure that the charts, graphs, and other visual elements are balanced. what else should they do to make the dashboard design cohesive?

Answers

There are other ways also to make your dashboard more cohesive and attractive.

Many organization and companies use dashboard today. Its a great tool to display data in visual format. But what does it takes to make a great dashboard. when a dashboard is interesting and user-friendly, everyone enjoys using it. Tableau,  Congas Analytics, and python are great tools to a make a good dashboard.

Other than using charts, graphics, and visual elements here are some things to keep in mind to make a good dashboard:-

BoldItalicsUnderlineKeep it short and simple long paragraphs can deter a using a dashboard.Add colors, good use of colors means good dashboard.

Hence, if all these things are kept in mind you can design a great dashboard.

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Final answer:

To make a dashboard design cohesive, an analyst should follow a logical structure, maintain visual consistency, prioritize important data, provide interactivity, and conduct usability testing.

Explanation:

In order for a dashboard design to be cohesive, an analyst should ensure that the design follows a logical structure, where data visualization elements flow in a manner that supports understanding of the data. This can involve grouping related pieces of information together, and maintaining consistency in colors, fonts, and styles. An analyst should also prioritize the most important data, allowing it to take center stage on the dashboard. Another crucial element is ensuring interactivity in the dashboard, where users can drill down or filter the data to suit their needs. Finally, the analyst should also conduct usability testing to ensure the dashboard is user-friendly.

In order to make the dashboard design cohesive, the analyst should consider the following:

Consistency: Use a consistent color scheme, font style, and layout throughout the dashboard.

Hierarchy: Arrange the visual elements in a logical order, with the most important information highlighted prominently.

Simplicity: Keep the design clean and uncluttered, avoiding excessive use of graphics or unnecessary information.

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4. (6 marks) Michael has the utility function (xx, yy) = √xx + �yy. Michael’s preferences are strongly increasing and strongly convex. You don’t need to show this. (a) (3 marks) Compute the expenditure minimizing demands for xx and yy as functions of utility and prices. (b) (3 marks) Compute the CV when prices and income change from �ppxx, ppyy,� = (10,10,10) to (5,20,20).

Answers

The utility function of Michael is: (xx, yy) = √xx + √yyLet px and py be the prices of the goods xx and yy respectively, and M be the income. Then the expenditure minimization problem of Michael is:minimize I = pxx + pyysubject to √xx + √yy = Uand M = pxx + pyy.

The Lagrangean function isL = pxx + pyy + λ(U - √xx - √yy) + μ(M - pxx - pyy),where λ and μ are the Lagrangean multipliers.The first-order conditions are:∂L/∂xx = 0 ⇔ px/2λ√xx - μ = 0,∂L/∂yy = 0 ⇔ py/2λ√yy - μ = 0,∂L/∂λ

= 0 ⇔ U - √xx - √yy = 0, and∂L/∂μ = 0 ⇔ M - pxx - pyy = 0.From the first two first-order conditions, we havepx√xx = py√yy.The third and fourth first-order conditions giveU = √xx + √yy andpxx + pyy = M, respectively.Thus,pxx = M/(1 + py/px), andpyy = M/(1 + px/py).

Substituting these into the condition √xx + √yy = U, we have√M/(1 + py/px) + √M/(1 + px/py) = U.Squaring both sides, we get(M/U2){(px + py)U2 + 2pxpy} = 4M.Thenpxpy = (1/2)(U2 - (U2 - 4pxpy)).Solving for pxpy, we havepxpy = U2/8.Now,px√

xx = py√yy ⇔ px

2xx = py2yy ⇔ (px/py)

2 = (yy/xx).Hence,(px/py)

2 = (yy/xx)

= U2/(8xx) - 1.Then(8xx/U2)(px/py)

2 = 1/(xx) - 1/U2. Thus,

let s = (px/py)2, then(8/U2)

s = 1/(xx) - 1/U2.Substituting pxx and pyy from above, we get

xx = (M2/U2)(s/(1 + s)2),

andyy = (M2/U2)((1 + s)/(s)2).

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T/F. the first step in making an ethical decision is to understand the problem.

Answers

True, The first step in making an ethical decision is to understand the problem. To make an ethical decision,

it is crucial to have a clear understanding of the situation or problem at hand. This involves gathering relevant information, facts, and context to comprehend the ethical dimensions and potential consequences of the decision.

Understanding the problem allows individuals to identify the stakeholders involved, consider their interests and rights, and evaluate the ethical implications of various choices.

Once the problem is understood, it becomes possible to analyze the ethical aspects of the situation, consider different perspectives, and determine the underlying ethical principles or values that should guide the decision-making process.

Understanding the problem provides a foundation for subsequent steps, such as identifying alternative courses of action, assessing their ethical implications, and choosing the most ethically appropriate solution.

In summary, the first step in making an ethical decision is to understand the problem. This involves gaining clarity about the ethical dimensions, gathering relevant information, and comprehending the context to evaluate the situation from an ethical standpoint.

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The optimal price for a good is determined to be $8. The elasticity of demand for the good is -4. Therefore, the marginal cost to make the good must be: Enter as a value ($). 6

Answers

The formula for elasticity of demand is the percentage change in quantity demanded of a product divided by the percentage change in the product's price. Given the price elasticity of demand and the optimal price of a good, we can determine the marginal cost to make the good.

As per the information provided in the question, the optimal price of a good is $8 and the elasticity of demand for the good is -4. To find the marginal cost of the good, we can use the following formula:Elasticity of demand = percentage change in quantity demanded ÷ percentage change in price-4 = ΔQ ÷ ΔPwhere ΔQ represents the percentage change in quantity demanded and ΔP represents the percentage change in price.Substituting the given values, we get:-4 = ΔQ / ΔPAt the optimal price of $8, we know that the demand for the good is at its highest. Therefore, the percentage change in quantity demanded is 0.Using this value in the equation, we can solve for the percentage change in price:-4 = 0 / ΔPΔP = 0Thus, the marginal cost to make the good must be the optimal price of the good, which is $8. Therefore, the answer is 8.

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3. Two sets of cash flows are shown in the table below. Year 0 1 2 3 4 5 Cash Flow, Series I $125 $100 $75 $50 $25 $0 Cash Flow, Series II SX $ 2X $ 3X $ 4X $5X $ 7X If these sets are equal at 8% interest rate, determine the unknown value, X. 4. Jim Showoff bought a Mercedes when he came to Tech as an engineering student (so that his feet would not get cold on the way to those early morning classes). The Mercedes was purchased by taking a loan that was to be paid off in 20 equal, quarterly payments. The interest rate on the loan was 12% per year with quarterly compounding. After four years, at the time that Joe made his 16th payment, he got married (too many dates!) and sold the Mercedes to his buddy Sam Pledge. Sam made arrangements with Joe's bank to refinance the loan and to pay Joe's unpaid balance by making 16 equal quarterly payments at the same interest rate that Joe was paying. After 3 years, at the time that Sam made his 13th payment, Sam flunked out (too many dates!) and sold the car to Nancy. Nancy paid the bank $2,000 cash (she had a good summer job!) to pay the loan balance. What was the amount of Joe's loan to purchase the Mercedes when it was new?

Answers

The unknown value, X, is approximately 25.87.

To determine the unknown value, X, in the equal cash flows, Series II, we can equate the present values of both cash flow series at an 8% interest rate. The present value of Series I can be calculated as follows:

PV(I) = 125/(1 + 0.08)^0 + 100/(1 + 0.08)^1 + 75/(1 + 0.08)^2 + 50/(1 + 0.08)^3 + 25/(1 + 0.08)^4 + 0/(1 + 0.08)^5

Simplifying the equation gives:

PV(I) = 125 + 92.59 + 64.25 + 41.94 + 23.14 + 0 = 347.92

Now, let's calculate the present value of Series II using the unknown value, X:

PV(II) = X/(1 + 0.08)^0 + 2X/(1 + 0.08)^1 + 3X/(1 + 0.08)^2 + 4X/(1 + 0.08)^3 + 5X/(1 + 0.08)^4 + 7X/(1 + 0.08)^5

Simplifying the equation gives:

PV(II) = X + 1.85X + 2.43X + 2.56X + 2.49X + 3.13X = 13.46X

Since the two cash flow series are equal, we can set their present values equal to each other:

347.92 = 13.46X

Solving for X gives:

X = 347.92 / 13.46 = 25.87

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If a country has a current account deficit, which of the following must be true? It must also show a deficit in its capital account. It must also show a deficit in its capital account. A It must show a surplus in its capital account. It must show a surplus in its capital account. B It must increase the purchases of foreign goods and services. It must increase the purchases of foreign goods and services. C It must increase the domestic interest rates on its bonds. It must increase the domestic interest rates on its bonds. D It must limit the flow of foreign capital investment.

Answers

Answer:

A. It must show a surplus in its capital account.

Explanation:

A deficit can be defined as an amount by which money, falls short of its expected value.

In Financial accounting, deficit is usually as a result of revenue falling below expenses or expense exceeding revenue at a specific period of time.

For instance, if in a country liabilities exceeds assets or import exceeds export there would be a deficit in the financial account of the country.

Generally, a deficit on the current account of a country leads to a surplus on the financial and capital account. This is simply as a result of a country having to import more goods and services than it is exporting to other countries in trade.

Hence, if a country has a current account deficit, it must show a surplus in its capital account.

In conclusion, a deficit on the current account is because the value of goods and services exported is lower than the value of goods and services being imported in a particular country.

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