1. A manufacturing company that produces a single product has provided the following data concerning its most recent month of operations:
Selling price $181
Units in beginning inventory 0
Units produced 13,100
Units sold 12,500
Units in ending inventory 600
Variable cost per unit: Direct materials $56
Direct labor $48
Variable manufacturing overhead $12
Variable selling and administrative $10
Fixed costs: Fixed manufacturing overhead $471,600
Fixed selling and administrative $187,500
What is the total period cost for the month under variable costing?
a $471,600
b $312,500
c $659,100
d $784,100

Answers

Answer 1

To find the total period cost for the month under variable costing, we need to consider only the variable selling and administrative costs and the fixed selling and administrative costs, as variable manufacturing costs are product costs.

First, calculate the total variable selling and administrative costs for the month:

Units sold = 12,500

Variable selling and administrative cost per unit = $10

Total variable selling and administrative costs = Units sold * Variable selling and administrative cost per unit = 12,500 * $10 = $125,000

Now, add the fixed selling and administrative costs:

Fixed selling and administrative costs = $187,500

Finally, sum up the variable and fixed selling and administrative costs to find the total period cost:

Total period cost = Total variable selling and administrative costs + Fixed selling and administrative costs = $125,000 + $187,500 = $312,500

So, the total period cost for the month under variable costing is $312,500 (option b).

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Related Questions

on november 1, abc corp. borrowed $100,000 cash on a 1-year note payable with a 6% annual rate that requires abc to pay all the interest as well as the principal on october 31 of the following year. assuming the november 1 transaction was properly recorded, how would the december 31, year-end adjusting entry affect the accounting equation?

Answers

The adjusting entry on December 31 would increase interest expense and increase interest payable, both by $1,500.

The note payable was for $100,000 at 6% interest, which means that the annual interest payment would be $6,000. Since the note was borrowed on November 1, there are only two months of accrued interest for the year, which amounts to $1,000 ($6,000 x 2/12).

The adjusting entry on December 31 would record this $1,000 of accrued interest as an expense and increase interest payable by $1,000.

However, since the note payable is due on October 31 of the following year, there is an additional 10 months of interest that have not yet been recorded. To accrue this interest, the adjusting entry on December 31 would also increase interest expense and interest payable by $500 each ($6,000 x 10/12 x 1/2).

Therefore, the total impact of the adjusting entry on the accounting equation would be an increase in both interest expense and interest payable by $1,500.

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The university administration has asked a group
of student leaders to vote on the aspects of
college life to target for improvement over the
next year. The choices were (H)ousing, (L)ibrary.
(T)heater, and (F)itness center. The votes are
summarized in the preference table.
Number of Ballots
Preference. 2. 19. 20. 10 3
1st. T. L. H. T. F
2nd. L. H. L. H. T 3rd. H. F. T. L. L 4th. F. T. F. F. H What option is selected using the plurality-with-elimination method?
OA. Fitness center
OB. Housing
OC. Library
OD. Theater

Answers

The option selected using the plurality with elimination method is: Theater. The correct opton is D.

To determine the option selected using the plurality-with-elimination method, we will follow these steps:

1. Calculate the number of first-place votes for each option.
2. If one option has more than 50% of the votes, it wins. If not, eliminate the option with the fewest votes.
3. Redistribute the votes for the eliminated option to the remaining options based on their next preference.
4. Repeat steps 2-3 until a winner is found.

The preference table is as follows:

Number of Ballots: 2, 19, 20, 10, 3
1st: T, L, H, T, F
2nd: L, H, L, H, T
3rd: H, F, T, L, L
4th: F, T, F, F, H

Step 1: Calculate first-place votes.
T: 2+10=12
L: 19
H: 20
F: 3

Step 2: No option has more than 50% of the votes (54/2 = 27).

Step 3: Eliminate option F (lowest votes) and redistribute its votes.
New first-place votes:
T: 12+3=15
L: 19
H: 20

Step 4: No option has more than 50% of the votes.

Step 5: Eliminate option L (next lowest votes) and redistribute its votes.
New first-place votes:
T: 15+19=34
H: 20

Now, option T (Theater) has more than 50% of the votes.

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Complete question:

The university administration has asked a group of student leaders to vote on the aspects of college life to target for improvement over the next year. The choices were (H)ousing, (L)ibrary. (T)heater, and (F)itness center. The votes are summarized in the preference table. Number of Ballots Preference. 2. 19. 20. 10 3

1st. T. L. H. T. F

2nd. L. H. L. H. T

3rd. H. F. T. L. L

4th. F. T. F. F. H

What option is selected using the plurality-with-elimination method?

A. Fitness cente

B. Housing

C. Library

D. Theater

caneer corporation produces and sells a single product. data concerning that product appear below: selling price per unit $ 240.00 variable expense per unit $ 81.60 fixed expense per month $ 997,920 the unit sales to attain the company's monthly target profit of $44,000 is closest to:

Answers

The company needs to sell approximately 6577 units to achieve their monthly target profit of $44,000.

To find the unit sales needed to attain the company's monthly target profit, we'll use the formula:

Unit sales = (Fixed expenses + Target profit) / (Selling price per unit - Variable expense per unit)

In this case, we have the following values:
- Selling price per unit: $240.00
- Variable expense per unit: $81.60
- Fixed expense per month: $997,920
- Target profit: $44,000

Now, we'll plug these values into the formula:

Unit sales = ($997,920 + $44,000) / ($240.00 - $81.60)

Unit sales = ($1,041,920) / ($158.40)

Unit sales = 6576.28

Since we cannot have a fraction of a unit, we'll round up to the nearest whole number. Therefore, the company needs to sell approximately 6577 units to achieve their monthly target profit of $44,000.

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Breckett Co. produces a single product. Selected information concerning the operations of the company follow:
Units in beginning inventory 0 Units produced 10,000 Units sold 7,500 Direct materials $40,000 Direct labor $20,000 Variable manufacturing overhead $12,000 Fixed manufacturing overhead $25,000 Variable selling and administrative expenses $4,500 Fixed selling and administrative expenses $30,000 Assume that direct labor is a variable cost. Which costing method, absorption or variable costing, would show a higher operating income for the year and by what amount? Absorption costing net operating income would be higher than variable costing net operating income by $2,500.
Variable costing net operating income would be higher than absorption costing net operating income by $2,500.
Absorption costing net operating income would be higher than variable costing net operating income by $6,250.
Variable costing net operating income would be higher than absorption costing net operating income by $6,250.

Answers

Variable costing net operating income would be higher than absorption costing net operating income by $6,250.

The difference between absorption costing and variable costing lies in the treatment of fixed manufacturing overhead costs. Under absorption costing, fixed manufacturing overhead costs are treated as a product cost and are included in the cost of goods sold, while under variable costing, fixed manufacturing overhead costs are treated as a period cost and are expensed in the period incurred.

To determine which costing method would show a higher operating income, we need to compare the fixed manufacturing overhead cost per unit under absorption costing to the fixed manufacturing overhead cost per unit under variable costing.

Fixed manufacturing overhead cost per unit under absorption costing = (Fixed manufacturing overhead / Units produced) + (Fixed manufacturing overhead in beginning inventory / Units produced)

= ($25,000 / 10,000) + ($0 / 10,000)

= $2.50

Fixed manufacturing overhead cost per unit under variable costing = Fixed manufacturing overhead / Units produced

= $25,000 / 10,000

= $2.50

Since the fixed manufacturing overhead cost per unit is the same under both costing methods, the difference in net operating income will depend on the level of units sold.

Under absorption costing, the cost of goods sold will include both variable and fixed manufacturing overhead costs, while under variable costing, only variable manufacturing costs will be included in the cost of goods sold. Therefore, if the number of units sold is less than the number of units produced, absorption costing will show a higher net operating income than variable costing, and vice versa.

In this case, the number of units sold is 7,500, which is less than the number of units produced (10,000). Therefore, variable costing will show a higher net operating income than absorption costing.

Variable costing net operating income = Sales - Variable expenses - Fixed expenses

= ($7,500 x Sales price per unit) - ($40,000 + $20,000 + $12,000 + $4,500 x 7,500) - ($25,000 + $30,000)

= ($7,500 x Sales price per unit) - $392,500

To calculate the sales price per unit, we need to know the total variable costs per unit:

Total variable cost per unit = Variable manufacturing overhead per unit + Direct materials per unit + Direct labor per unit

= ($12,000 / 10,000) + ($40,000 / 10,000) + ($20,000 / 10,000)

= $7

Therefore, variable costing net operating income = ($7,500 x (Sales price per unit - $7)) - $392,500

To calculate absorption costing net operating income, we need to first calculate the fixed manufacturing overhead included in the cost of goods sold:

Fixed manufacturing overhead in cost of goods sold = Fixed manufacturing overhead per unit x Units sold

= $2.50 x 7,500

= $18,750

Absorption costing net operating income = Sales - Cost of goods sold - Variable selling and administrative expenses - Fixed selling and administrative expenses

= ($7,500 x Sales price per unit) - (($40,000 + $20,000 + $18,750) + ($4,500 x 7,500)) - ($25,000 + $30,000)

= ($7,500 x Sales price per unit) - $406,250.

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the major organizational factors shared by most interest groups are group of answer choices very close links with the national news media, direct ties to a member of congress, a headquarters in washington, d.c., and members. very close links with the national news media, connections with hollywood, direct ties to the president of the united states, and members. leadership, money, an agency or office, and members. leadership, a rigid hierarchical structure, access to loans from the federal reserve, and members.

Answers

The success of an interest group depends on its ability to effectively mobilize its members and resources to achieve its goals.

The major organizational factors shared by most interest groups include leadership, money, an agency or office, and members. These factors allow interest groups to effectively advocate for their causes and influence policy decisions. While some interest groups may have direct ties to specific politicians or media outlets, not all interest groups have these connections.

Additionally, while some interest groups may have a presence in Hollywood, this is not a common organizational factor among most interest groups. Overall, the success of an interest group depends on its ability to effectively mobilize its members and resources to achieve its goals.

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Discuss how price discrimination explains thedifferences prescription drugs prices between the United States andCanada. (You might want to consider the bilateral monopoly inCanada)

Answers

Price discrimination can help explain the disparities in prescription drug prices between the United States and Canada. In Canada, the pharmaceutical market is dominated by a bilateral monopoly, where there are only two major players: the government-run drug plan and the pharmaceutical companies.

This leads to negotiations between the two parties, resulting in lower drug prices for Canadians.

In contrast, the United States lacks a centralized bargaining system, allowing pharmaceutical companies to set higher prices without competition. Additionally, Americans are often charged more for prescription drugs due to price discrimination, where companies charge different prices to different groups based on their ability and willingness to pay.

This pricing strategy is used by pharmaceutical companies to maximize profits and create price discrimination based on different markets. It explains why Americans often pay more for prescription drugs than Canadians. In conclusion, the absence of a centralized bargaining system and price discrimination are key factors that explain the differences in prescription drug prices between the United States and Canada.

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T/F When net cash is the same every year, the equation used to calculate the factor of the internal rate of return is investment required/annual net cash inflow

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The given statement "When net cash is the same every year, the equation used to calculate the factor of the internal rate of return is investment required divided by the annual net cash inflow" is true because the internal rate of return (IRR) is a financial metric used to evaluate the profitability of potential investments.

It represents the rate of return that makes the net present value of all cash flows equal to zero. The IRR is commonly used in capital budgeting and investment decision making to compare the potential profitability of different projects or investments.

To calculate the IRR, the annual net cash inflows and outflows from an investment are estimated and then discounted to their present values. The investment required is the initial cash outflow, and the factor used to calculate the IRR is the rate that makes the sum of the present values of the inflows and outflows equal to zero. When the net cash inflows are the same every year, the calculation becomes simpler, and the factor used is the investment required divided by the annual net cash inflow.

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if a bond offers an investor 11% in nominal return during a year in which the rate of inflation is 4%, then the investor's real return is: %

Answers

The investor's real return is 7%. This means that the investor's purchasing power increases by 7% after accounting for inflation.

In this case, the bond offers a nominal return of 11% per year. However, we also know that the rate of inflation is 4%. This means that prices for goods and services are increasing by 4% per year on average. If the investor earns a nominal return of 11% but prices increase by 4%, then the investor's purchasing power does not actually increase by the full 11%. To calculate the investor's real return, we need to adjust for inflation by subtracting the inflation rate from the nominal return.

So the calculation for the investor's real return is:

Real return = Nominal return - Inflation rate

Real return = 11% - 4%

Real return = 7%.

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Suppose the population correlation coefficient between the error
terms was -0.7. What is the approximate value of the D-W
statistic?

Answers

The approximate value of the D-W statistic cannot be determined with only the information given about the population correlation coefficient between the error terms. The D-W statistic is calculated using the residuals of a regression model, not the population correlation coefficient.

The Durbin-Watson (D-W) statistic is a test statistic used to detect the presence of autocorrelation in the residuals of a regression analysis. The value of the D-W statistic ranges from 0 to 4, where a value of 2 indicates no autocorrelation, a value less than 2 indicates positive autocorrelation, and a value greater than 2 indicates negative autocorrelation.

The formula for the D-W statistic is:

D = 2 * (1 - r)

where r is the sample correlation coefficient between the residuals.

If the population correlation coefficient between the error terms is -0.7, then the sample correlation coefficient between the residuals would also be approximately -0.7. Therefore:

D = 2 * (1 - r)

= 2 * (1 - (-0.7))

= 2 * 1.7

= 3.4

So, the approximate value of the D-W statistic would be 3.4. This indicates that there is strong negative autocorrelation in the residuals.

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Which of the following industries is most likely to have low equipment utilization?
A) auto manufacturing
B) commercial baking
C) television manufacturing
D) steel manufacturing
E) restaurants

Answers

The industry most likely to have low equipment utilization is  restaurants.(E)

Restaurants typically have low equipment utilization due to the fluctuating nature of customer demand, which leads to varying levels of equipment use throughout the day.

While industries like auto manufacturing, commercial baking, television manufacturing, and steel manufacturing have more predictable production schedules and consistent equipment usage, restaurants may experience periods of downtime where equipment remains idle.

This results in a lower overall rate of equipment utilization compared to the other industries listed.(E)

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mark welsch deposits $6,400 in an account that earns interest at an annual rate of 12%, compounded quarterly. the $6,400 plus earned interest must remain in the account 1 years before it can be withdrawn. how much money will be in the account at the end of 1 years?

Answers

At the end of 1 year, there will be $7,203.20 in the account, including the earned interest. This amount cannot be withdrawn until the end of the 1-year period.

To solve this problem, we can use the formula for compound interest:

A = P(1 + r/n)^(nt)

Where:

A = the final amount of money in the account
P = the initial deposit
r = the annual interest rate (as a decimal)
n = the number of times the interest is compounded per year
t = the number of years

In this case, P = $6,400, r = 0.12 (since the annual interest rate is 12%), n = 4 (since the interest is compounded quarterly), and t = 1 (since we are calculating the amount of money in the account after 1 year). Substituting these values into the formula, we get:

A = $6,400(1 + 0.12/4)^(4*1)
A = $6,400(1.03)^4
A = $6,400(1.1255)
A = $7,203.20

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the manhawkin fund has an expected return of 16% and a standard deviation of 20%. the risk-free rate is 4%. what is the sharpe ratio for the manhawkin fund? .1 .8 .6 . 9

Answers

The Manhawkin fund has an expected return of 16% and a standard deviation of 20%risk-free rate is 4%. The Sharpe ratio for the Manahawkin fund is 0.6, implying that for each unit of risk taken, there's an expected return of 0.6 units above the risk-free rate.

The Sharpe Ratio is a metric used to evaluate the risk-adjusted return of an investment by comparing the expected return to the level of risk taken. The formula for calculating the Sharpe Ratio is (Expected Return - Risk-Free Rate) / Standard Deviation.

In this case, the Manhawkin Fund has an expected return of 16%, a standard deviation of 20%, and a risk-free rate of 4%. Using the formula, we can calculate the Sharpe Ratio as follows:

Sharpe Ratio = (16% - 4%) / 20%

Sharpe Ratio = 0.6

This means that for every unit of risk taken on by investing in the Manhawkin Fund, an investor is expected to earn a return of 0.6 units above the risk-free rate.

A higher Sharpe Ratio indicates a better risk-adjusted return, as it means that the investment is generating more return per unit of risk.

It is important to note that the Sharpe Ratio is just one metric and should be used in conjunction with other measures of risk and return when evaluating investment opportunities.

Additionally, it is important to consider the specific goals and risk tolerance of each individual investor before making investment decisions.

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according to the gap model of service quality, the gap between what customers want and what management thinks customers want results from .

Answers

According to the gap model of service quality, the gap between what customers want and what management thinks customers want results from a lack of understanding or misperception of customer expectations. This is known as GAP 1: the customer gap.

GAP 1 can occur due to a variety of reasons, such as insufficient market research, poor communication between management and customers, and a lack of customer feedback mechanisms.

As a result, management may make assumptions about what customers want or may not fully understand their needs and expectations, leading to a gap between the service that is provided and the service that customers desire.

To address this gap, organizations can implement strategies such as conducting market research to better understand customers' needs and expectations, improving communication with customers through feedback mechanisms and other channels, and involving customers in the design and development of new services.

By reducing GAP 1, organizations can improve their understanding of customer needs and provide more targeted and effective services, ultimately improving customer satisfaction and loyalty.

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the daily gazette charges 1.00 for its newspaper and has 150,000 subs. this represents demand that is

Answers

The fact that the Daily Gazette has 150,000 subscribers at a price point of $1.00 indicates that there is a significant demand for their product at that price point.

Demand refers to the amount of a product or service that consumers are willing and able to purchase at a given price, and is typically represented as a downward-sloping curve on a demand curve graph.In this case, the Daily Gazette's demand curve suggests that at a price of $1.00, there are 150,000 consumers who are willing and able to purchase the newspaper.

If the price were to increase, some of these consumers may decide that the newspaper is no longer worth the cost and may choose to purchase a different newspaper or find their news online instead. On the other hand, if the price were to decrease, the Daily Gazette may attract new customers who previously found the price to be too high.

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which strategy of control results from workers developing rules based on values established by the workers themselves?

Answers

The strategy of control you're referring to is called self-regulation.

This occurs when workers develop rules based on values established by themselves, promoting autonomy and shared responsibility within the team.

Self-regulation can be seen in a variety of settings, including workplaces, schools, and communities. In the context of the workplace, self-regulation can be particularly effective in empowering workers to take control of their work and contribute to the success of the organization.

One of the key benefits of self-regulation is that it promotes a sense of ownership and responsibility among workers. When workers are involved in the process of developing rules and guidelines, they feel a greater sense of investment in their work and are more likely to take ownership of their roles and responsibilities.

This can lead to greater engagement and productivity, as workers are motivated to contribute to the success of the organization.

Another benefit of self-regulation is that it promotes autonomy and creativity. When workers are empowered to develop rules and guidelines based on their values, they are able to bring their own unique perspectives and ideas to the table.

This can lead to innovative solutions and approaches that might not have been considered under a more rigid, top-down approach to control.

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$25 per share. the stock increased in value to $29 per share before declining to its current value of $20. thanh has decided to sell the stock, but only if he can receive $25 per share or better. this behavior best illustrates which one of the following characteristics?

Answers

The behavior described in the question best illustrates the "loss aversion" characteristic.  Therefore, the correct option is C.

Loss aversion refers to the tendency of individuals to prefer avoiding losses to acquiring equivalent gains. In this case, Thanh purchased a stock at $25 per share, which increased to $29 per share, but later declined to $20 per share. Thanh has a potential loss of $5 per share from the original purchase price, and he is only willing to sell the stock if he can receive $25 per share or better.

This behavior shows that Thanh is more concerned about avoiding the potential loss than acquiring the potential gain, which is a classic example of loss aversion. Hence, in this case, Thanh is reluctant to sell his stock at a price lower than his initial investment ($25 per share), even though its current value is $20. He wants to avoid realizing a loss, which leads him to hold onto the stock until he can sell it at a break-even point or higher. Hence, the correct answer illustrated in this case is option C: Loss aversion.

Note: The question is incomplete. The complete question probably is: Thanh purchased a stock last year for $25 per share. The stock increased in value to $29 per share before declining to its current value of $20. Thanh has decided to sell the stock, but only if he can receive $25 per share or better. This behavior best illustrates which one of the following characteristics? a. Representativeness heuristic b. House money c. Loss aversion d. Randomness e. Myopic loss aversion.

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which pricing strategy should retailers use to tap into consumer excitement about buying something at a special low price for a limited time? multiple choice question. predatory pricing reference pricing everyday low pricing high/low pricing

Answers

The pricing strategy that retailers should use to tap into consumer excitement about buying something at a special low price for a limited time is high/low pricing.

This strategy involves setting prices at a high level for a short period, then offering significant discounts for a limited time.

This creates a sense of urgency for consumers to purchase the product at the reduced price before it returns to the original, higher cost. Retailers using this approach can successfully tap into consumer excitement and encourage impulse buying.


This approach effectively engages consumer excitement while allowing retailers to maintain higher profit margins when the product is not on sale.

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An American Style Foreign Exchange Put Option 1) The Option Buyer Is Empowered To Press The The Right To Sell Foreign Currency At A Known Exchange Rate. 2) The Option Seller Is Empowered To Press The The Right To Sell Foreign Currency At A Known Exchange Rate. 3) Gives The Option Buyer At A Specific Time In The Future In Accordance With
An American style foreign exchange put option
1) The option buyer is empowered to press the
The right to sell foreign currency at a known exchange rate.
2) The option seller is empowered to press the
The right to sell foreign currency at a known exchange rate.
3) Gives the option buyer at a specific time in the future in accordance with a
The right to sell foreign exchange at a known exchange rate.
4) Mandatory requirement of the buyer at any time during the validity period of the option
sell foreign exchange at a known exchange rate

Answers

In an American style foreign exchange put option, the option buyer has the right to sell foreign currency at a known exchange rate, while the option seller is obligated to buy the foreign currency at that same known exchange rate if the buyer chooses to exercise the option.

Explanation:

1) The option buyer is empowered to exercise the right to sell foreign currency at a known exchange rate. This means that the buyer can decide to sell the foreign currency at the pre-determined rate anytime during the option's validity period.

2) The option seller, on the other hand, is obligated to buy the foreign currency at the known exchange rate if the option buyer decides to exercise the option. The seller does not have a choice in this matter, as they are bound by the terms of the option contract.

3) The American style foreign exchange put option gives the option buyer the flexibility to exercise their right to sell foreign currency at a known exchange rate at any time during the option's validity period. This can be advantageous if market conditions change and the buyer wants to lock in a favorable exchange rate.

4) It is not a mandatory requirement for the option buyer to exercise their right to sell foreign currency at the known exchange rate during the option's validity period. The buyer can choose not to exercise the option if they believe it is not beneficial to do so.

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. suppose we allow for an income tax on labor income. assume workers pay for the tax out of theirearnings. thus, instead of earning w

Answers

Income tax on labor income is a way for governments to collect revenue from those who earn an income. It can help to fund important public services and social welfare programs, but it can also reduce workers' take-home pay.

If we allow for an income tax on labor income, it means that workers will have to pay a portion of their earnings to the government. This tax is usually calculated as a percentage of their income, and the higher the income, the higher the tax rate.

Workers will have to pay for the tax out of their earnings, which means that their take-home pay will be reduced. This can have an impact on their disposable income, which is the amount of money they have left over after paying for their expenses.

However, income tax on labor income is an important source of revenue for governments. This revenue can be used to fund public services, such as healthcare, education, and infrastructure. It can also be used to finance social welfare programs, such as unemployment benefits, retirement pensions, and disability benefits.

Overall, income tax on labor income is a way for governments to collect revenue from those who earn an income. It can help to fund important public services and social welfare programs, but it can also reduce workers' take-home pay.

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ANSWER IS B 20,640 Clinton Company sells air purifiers to customers for $150 per unit. An overseas company supplies the purifiers for $80 per unit. All sales are for cash and the company pays the supplier immediately. The company has budgeted the following data for the first quarter: January February March Sales (in units) 2,000 2,500 2,100 Cash, beginning balance $42,000 ? ? Selling and administrative (of which depreciation, $8,000) $205,000 $205,000 $205,000 Required minimum cash balance $20,000 $20,000 $20,000 3 If necessary, the company will borrow cash from a bank through their credit-line arrangement on the first day of each month. Assume that they can borrow in increment of $1,000. The bank requires an interest payment at the end of each month at a monthly rate of 1%, starting from the first month when the company borrows cash. What is the closest amount of cash balance on February 1? A. $ 30,959 SALES B. $ 20,640 C. $ 30,920 D. $ 30,340 E. None of the above

Answers

The amount of total cash balance is B. $20,640. therefore, correct option is B


To find the cash balance on February 1, follow these steps:

Step 1: Calculate January's sales revenue and cost.
Sales revenue = 2,000 units * $150/unit = $300,000
Cost of goods sold = 2,000 units * $80/unit = $160,000

Step 2: Calculate January's cash balance after sales and cost.
Beginning cash balance + Sales revenue - Cost of goods sold - Selling and administrative expenses
= $42,000 + $300,000 - $160,000 - $205,000 = -$23,000

Step 3: Calculate the borrowing amount for January.
Required minimum cash balance - Cash balance = $20,000 - (-$23,000) = $43,000

Step 4: Calculate the interest payment for January.
Interest payment = $43,000 * 1% = $430

Step 5: Calculate the cash balance on February 1.
Cash balance + Borrowing amount - Interest payment = -$23,000 + $43,000 - $430 = $20,640

The Correct Value for total cash balance is B. $20,640.

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to improve her sales, agent shari started offering potential clients a $250 gift card if they purchased life insurance policies. which ethical sales practice has agent shari violated?

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Agent Shari's offering of a $250 gift card to potential clients if they purchase life insurance policies could be considered a violation of ethical sales practices related to bribery and kickbacks.

Bribery is the act of offering or accepting something of value, such as money or gifts, in exchange for a particular action or decision. Kickbacks are a form of bribery in which a payment is made in exchange for a referral, recommendation, or business.

In this case, Agent Shari is offering a gift card as an incentive to potential clients to purchase life insurance policies, which could be seen as a form of bribery or kickback. This practice could be considered unethical because it may influence a client's decision to purchase a policy based on the value of the gift card, rather than on the merits of the policy itself.

Insurance agents are held to high ethical standards and are expected to act in the best interests of their clients. Ethical sales practices require that agents provide accurate and complete information about policies and avoid any actions that could be perceived as coercive or manipulative.

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a bond that has a face value of $150 maturing in one year is available for purchase for $134 . what is the interest rate offered on the bond? round your answer to the nearest whole percent.

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The bond's purchase price is $134, and it has a face value of $150 maturing in one year. Using the formula for interest rate, the rate offered on the bond is 12% when rounded to the nearest whole percent.

To calculate the interest rate offered on the bond, we can use the following formula:

Interest rate = (face value - purchase price) / purchase price * 100%

Substituting the given values, we get:

Interest rate = ($150 - $134) / $134 * 100%

Interest rate = $16 / $134 * 100%

Interest rate = 11.94%

Rounding to the nearest whole percent, the interest rate offered on the bond is 12%.

Bonds are a type of debt instrument that companies and governments issue to borrow money from investors. When you buy a bond, you are essentially lending money to the issuer for a set period of time. In return, the issuer pays you interest on the bond until it matures, at which point you receive the face value of the bond.

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Managers must be prepared to modify their strategy in response to all of the following EXCEPT:
A. changing circumstances that affect performance and the desire to improve the current strategy.

B. competitor moves in the market and shifting needs of buyers.

C. stagnating market and restrictive industrial opportunities.

D. mounting evidence that the strategy is less effective.

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Managers must be prepared to modify their strategy in response to various factors, but one scenario that does not necessarily require a change in strategy is mounting evidence that the strategy is less effective. The correct option is D.  mounting evidence that the strategy is less effective.

A. Changing circumstances that affect performance and the desire to improve the current strategy are essential factors for managers to consider. They need to be adaptive and flexible to ensure the business remains competitive and successful.

B. Competitor moves in the market and shifting needs of buyers also demand a strategic response from managers. To maintain a strong market position and satisfy customer needs, managers must continuously assess their competition and adapt their strategies accordingly.

C. A stagnating market and restrictive industrial opportunities can also trigger the need for strategic changes. Managers should seek new growth opportunities and explore different avenues to sustain their business in such challenging environments.

However, D. mounting evidence that the strategy is less effective does not automatically warrant a change in strategy. It is crucial for managers to thoroughly analyze the situation and identify the root cause of the decreased effectiveness. In some cases, it may be necessary to adjust the implementation of the strategy rather than the strategy itself.

Additionally, managers should consider external factors and market conditions that may be contributing to the perceived ineffectiveness before making any major strategic shifts. The correct option is D.  mounting evidence that the strategy is less effective.

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Phipps Company borrowed $35,000 cash on October 1, 2016, and signed a nine-month, 8% interest-bearing note payable with interest payable at maturity. Assuming that adjusting entries have not been made during the year, the amount of accrued interest payable to be reported on the December 31, 2016 balance sheet is which of the following? $700 o $1,050 O $350 o $1,400.

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The accrued interest payable can be calculated by multiplying the principal amount of the note by the interest rate and the time period from October 1, 2016, to December 31, 2016.

Interest for three months (October 1 to December 31) = $35,000 x 8% x 3/12 = $700
Therefore, the amount of accrued interest payable to be reported on the December 31, 2016 balance sheet is $700.

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T/F. There are two primary methods for estimating the cost of common stock from reinvested earnings (not newly issued stock): the CAPM method and the dividend growth method. However, only the CAPM is widely used in practice.

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True. While both the CAPM method and the dividend growth method can be used to estimate the cost of common stock from reinvested earnings, only the CAPM method is widely used in practice.

This is because the CAPM method takes into account the market risk premium and the beta of the stock, which are important factors in determining the cost of equity. The dividend growth method, on the other hand, is based on assumptions about the growth rate of dividends, which may not always be reliable.
True. There are two primary methods for estimating the cost of common stock from reinvested earnings (not newly issued stock): the CAPM method (Capital Asset Pricing Model) and the dividend growth method. However, only the CAPM is widely used in practice due to its broader applicability and incorporation of systematic risk.

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Saucony is considering adding a new item to its hurricane line of running shoes to increase its product line depth. all options would be acceptable except:_______

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Saucony is considering adding a new item to its Hurricane line of running shoes to increase its product line depth. All options would be acceptable except: "Adding a non-running shoe product to the Hurricane line."

This option would not be appropriate as it deviates from the focus of the Hurricane line, which is running shoes.

Saucony is considering adding a new item to its Hurricane line of running shoes to increase its product line depth. All options would be examples of adding a new item to increase depth EXCEPT:

a. adding a higher-priced shoe with a higher performance level.

b. adding a lower-priced item that is still capable of satisfying the needs of some customers.

c. adding a new private-label line to complement the Hurricane line.

d. inserting an item of a price and performance level that fills a gap between two existing items.

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what tool does the u.s. federal reserve use to conduct policy? explain. how does monetary policy impact the macroeconomy?

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The U.S. Federal Reserve uses several tools to conduct monetary policy, including open market operations, the discount rate, and reserve requirements. Monetary policy impacts the macroeconomy by affecting key variables such as interest rates, inflation, and economic growth.

Open market operations involve the purchase and sale of government securities to control the money supply. When the Fed buys securities, it injects money into the economy, and when it sells securities, it removes money from the economy.

Lowering the discount rate encourages banks to borrow and lend more, stimulating economic activity. Conversely, raising the discount rate discourages borrowing and lending, slowing down the economy. Reserve requirements refer to the percentage of deposits that banks must hold in reserve, either as cash or as deposits with the Federal Reserve.

Expansionary monetary policy, which involves increasing the money supply or lowering interest rates, stimulates economic growth and may lead to higher inflation. On the other hand, contractionary monetary policy, which involves decreasing the money supply or raising interest rates, slows down economic growth and can help to control inflation. The Federal Reserve uses these tools to maintain a balance between economic growth, low unemployment, and stable prices, ensuring a healthy and sustainable macroeconomy.

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which type of sales personnel concentrates on performing promotional activities but generally does not solicit actual sales orders?

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Answer:

Promotional salespeople.

Explanation:

The type of sales personnel that focuses on promoting products or services, but typically does not try to directly obtain sales orders is called promotional salespeople.

FILL IN THE BLANK. Leslie is a newly graduated certified public accountant with a specialty in corporate tax. She wishes to join an organization (NOT an accounting firm) that will allow her to concentrate on corporate tax and become deeply proficient in this area. Leslie should look for a position in a firm with a __________ structure.

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Leslie should look for a position in a firm with a functional structure.

In a functional structure, the organization is divided into specialized departments based on the functions they perform. This structure enables employees to focus on their area of expertise and develop deep proficiency in their specific field.

In this case, Leslie, a certified public accountant with a specialty in corporate tax, would likely join the finance or tax department within the organization. By working within a specialized department, she can concentrate solely on corporate tax and develop her skills further. Additionally, she would be surrounded by other professionals with similar expertise, allowing her to collaborate, learn from her colleagues, and stay updated on the latest tax regulations and best practices.

Overall, a functional structure is an ideal environment for Leslie to grow as a corporate tax professional, as it provides her with the opportunity to focus on her area of expertise, collaborate with like-minded professionals, and continuously improve her knowledge and skills in corporate tax.

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If we interpreted a reliability coefficient to indicate that 80% of the variance was true variance to observed variance, what would be the ratio of error variance to observed variance?a. .20 b. .40c. .60d. .80

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If we interpreted a reliability coefficient to indicate that 80% of the variance was true variance to observed variance, then the ratio of error variance to observed variance would be 0.20. Option (a) is correct.

Reliability is a measure of the consistency or stability of a test or measurement. The reliability coefficient is a statistical measure that indicates the degree to which the scores on a test are consistent or stable over time.

The reliability coefficient can range from 0 to 1, with higher values indicating greater reliability. If we interpret a reliability coefficient to indicate that 80% of the variance is true variance to observed variance, then the remaining 20% of the variance is due to error. This means that the ratio of error variance to observed variance is 0.20, or 20%.

In conclusion, if we interpret a reliability coefficient to indicate that 80% of the variance is true variance to observed variance, then the ratio of error variance to observed variance is 0.20. This indicates that 20% of the variance is due to error.

Option (a) is correct.

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