2000.000 4000.000 1" IRON PIPE 1922.772 3678.208 A 302.03 473.69 87' 29' 55" $2214'307 D N764407" PROP. CORNER 1797.835 3751.457 300,23 NEW CONTROL B 1722.108 14113.641 SPIKE N21*39 22W 330.81 N44°13'45"E_351.44 с PROP. CORNER The above sketch shows a parcel of land the corners of which are labeled A, B, C and D. Positions of corners A and B are located by coordinates shown. The nearest horizontal control consists of a 1" iron pipe and a spike as shown. A new control point has been set within the parcel from which all four corners are visible. You are to set a marker at each comer. Available equipment includes a total station, prisms, and accessories. GPS equipment is not available. Show the calculations required to perform this task.

Answers

Answer 1

To set a marker at each corner, we need to determine the coordinates of corners C and D, given the coordinates of corners A and B, and the bearing and distance measurements provided in the sketch.

We can use a total station and prisms to measure the angles and distances required for these calculations.

First, let's calculate the coordinates of corner C:

Calculate the distance from corner A to the 1" iron pipe control point:

d1 = 2214.307 ft

Calculate the bearing from corner A to the 1" iron pipe control point:

θ1 = N76°44'07"W = 283.62°

Calculate the distance from the 1" iron pipe control point to corner B:

d2 = 330.81 ft

Calculate the bearing from the 1" iron pipe control point to corner B:

θ2 = N44°13'45"E = 315.23°

Calculate the internal angle at corner A:

α = 360° - θ1 + θ2 = 51.39°

Calculate the distance from corner A to corner C using the Law of Cosines:

d3 = sqrt(d1^2 + d2^2 - 2d1d2*cos(α)) = 1922.772 ft

Calculate the bearing from corner A to corner C using the Law of Sines:

sin(α)/sin(β) = d1/d3

sin(β) = sin(α) * d3/d1

β = asin(sin(α) * d3/d1) = 37.29°

θ3 = θ1 + β = 320.91°

Calculate the coordinates of corner C relative to corner A:

ΔN = d3 * cos(θ3)

ΔE = d3 * sin(θ3)

NC = 1922.772cos(320.91°) = -1435.988 ft (south of A)

EC = 1922.772sin(320.91°) = 1038.316 ft (west of A)

Calculate the coordinates of corner C:

NC = NA + ΔN = 1797.835 - 1435.988 = 362.847 ft (south of N)

EC = EA + ΔE = 3751.457 - 1038.316 = 2713.141 ft (west of E)

Therefore, the coordinates of corner C are (362.847 ft S, 2713.141 ft W).

Next, let's calculate the coordinates of corner D:

Calculate the distance from corner B to the 1" iron pipe control point:

d4 = 351.44 ft

Calculate the bearing from corner B to the 1" iron pipe control point:

θ4 = S21°39'22"E = 198.61°

Calculate the internal angle at corner B:

β = 360° - θ2 + θ4 = 157.38°

Calculate the distance from corner B to corner D using the Law of Cosines:

d5 = sqrt(d2^2 + d4^2 - 2d2d4*cos(β)) = 3678.208 ft

Calculate the bearing from corner B to corner D using the Law of Sines:

sin(β)/sin(γ) = d4/d5

sin(γ) = sin(β) * d5/d4

γ = as.

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Related Questions

According to the reading, which of the following is NOT a key resource for established companies seeking to develop breakthrough innovations? Capabilities Teamwork Culture Leadership

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According to the reading, Culture is NOT a key resource for established companies seeking to develop breakthrough innovations.

The reading highlights three key resources for established companies seeking to develop breakthrough innovations, which are capabilities, teamwork, and leadership. These resources enable companies to identify new market opportunities, develop new products and services, and take risks to achieve breakthrough innovation. However, the reading does not mention culture as a key resource, which suggests that it may not have a significant impact on breakthrough innovation.

In conclusion, while capabilities, teamwork, and leadership are crucial resources for established companies seeking to develop breakthrough innovations, culture may not have the same level of importance. Companies should focus on fostering a culture of innovation, but it may not be a critical resource for achieving breakthrough innovation.

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Turnover is high among new hires at Stewart's company. At one exit interview, Stewart askedthe departing new hire why she was leaving so soon. Which of the following statements is the most likely response?A) The company has a strong labor union so the majority of the decisions are dictated by collective bargaining.B) There is a recession in the economy that has severely affected employment levels across the country.C) The higher level employees repeatedly overemphasize the company's positive points while interviewing candidates.D) The company does not have good decruitment policies in place.

Answers

The most likely response from the departing new hire for the high turnover at Stewart's company is that  the company does not have good decruitment policies in place. Option D) is the answer.

A company's decruitment policies refer to the procedures in place to terminate employees. If a company lacks effective decruitment policies, it can lead to negative experiences for departing employees, which can damage the employer brand and affect employee retention.

Therefore, the departing employee's response suggests that Stewart's company may have weak or ineffective policies in place for the exit process, such as inadequate feedback mechanisms, insufficient support for departing employees, or a lack of communication regarding the reasons for the employee's departure.

Improving these policies can help organizations identify the root causes of high turnover and reduce it over time.

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what segment of the workforce has received the greatest benefit for a formalized system of flexible working hours?

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The segment of the workforce that has received the greatest benefit from a formalized system of flexible working hours is working parents, particularly mothers.

For working mothers, flexible working hours can help to reduce the stress of balancing work and family responsibilities. They can arrange their work schedules around school drop-offs and pickups, doctor's appointments, and other family commitments. This can also reduce the need for expensive and often unreliable childcare arrangements, which can be a significant burden for working parents.

Flexible working hours also benefit employers by improving employee retention, reducing absenteeism, and increasing productivity. By accommodating employees' needs, employers can create a more supportive and loyal workforce.

However, it is important to note that flexible working hours should not be limited to working parents. All employees can benefit from flexible working hours, particularly those with disabilities, chronic illnesses, or other caregiving responsibilities. A formalized system of flexible working hours can help to create a more inclusive workplace where all employees can thrive.

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Which term refers to using external vendors to perform HR jobs that were once handled by a firm internally?A) freelancingB) outsourcingC) rightsizingD) warehousing

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The term that refers to using external vendors to perform HR jobs that were once handled by a firm internally is (B) outsourcing.

Outsourcing involves hiring an external vendor to perform tasks or services that were previously handled in-house.

This can include HR functions such as payroll, benefits administration, recruiting, and training.

Outsourcing can be a cost-effective way for companies to manage HR tasks, as it allows them to focus on their core business functions while leaving HR responsibilities to a specialized vendor.

However, outsourcing can also have drawbacks, such as the loss of control over HR processes and the potential for reduced quality or communication issues.

Overall, outsourcing is a strategic decision that requires careful consideration of a company's needs and goals.

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what would be the value added by a market analysis undertaken, if the expected value with sample information is $8.56 million and the expected value without sample information is $6.39 million?group of answer choices$14.95 million$2.17 million$8.56 million$6.39 million

Answers

The value added by a market analysis can be calculated by determining the difference between the expected value with sample information and the expected value without sample information.

In this case, the expected value with sample information is $8.56 million, while the expected value without sample information is $6.39 million.

Therefore, the value added by the market analysis would be the difference between these two values.

Which is $8.56 million - $6.39 million = $2.17 million. Thus, the value added by the market analysis undertaken is $2.17 million.

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montecorp signed a lease for an office building for a period of 8 years under the lease agreement a security deposit of $9,000 is made the deposit will be returned at the expiration of the lease with interest compounded at 9% per year what amount will monte corp receive at the time the least expires

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Monte Corp will receive $17,997.33 at the time the lease expires.

The security deposit of $9,000 will be returned to Monte Corp at the expiration of the lease with interest compounded at 9% per year.

To calculate the future value of the deposit, we can use the formula for compound interest:

[tex]FV = PV x (1 + r)^n[/tex]

where FV is the future value, PV is the present value, r is the interest rate, and n is the number of compounding periods.

In this case, the present value (PV) is $9,000, the interest rate (r) is 9%, and the number of compounding periods (n) is 8 years.

Plugging in the values, we get:

[tex]FV = $9,000 x (1 + 0.09)^8[/tex]

FV = $9,000 x 1.999703

FV = $17,997.33

Therefore, Monte Corp will receive $17,997.33 at the time the lease expires.

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Max employs both labor and capital to produce toy trains. currently the last unit of labor employed has a marginal product of 15 units. the last unit of capital employed has a marginal product of 40 units. the price of labor is $3 per unit, and the price of capital is $10 per unit. Which employment decisions should max follow to use the least-cost combination of labor and capital to produce the current quantity of toy trains?

Answers

To use the least-cost combination of labor and capital, Max should employ more capital and less labor since the marginal product of capital is higher than the marginal product of labor, and the price of labor is relatively more expensive than the price of capital.

Max should use more capital and less labor to produce the current quantity of toy trains. This is because the marginal product of capital is higher than the marginal product of labor.

The marginal product of capital is 40 units, which means that every additional unit of capital employed adds 40 units to the output of toy trains. On the other hand, the marginal product of labor is 15 units, which means that every additional unit of labor employed adds only 15 units to the output of toy trains.

To determine the least-cost combination of labor and capital, Max should compare the marginal product of labor and capital to their respective prices. The marginal product of labor divided by the price of labor (15/3) is equal to 5, while the marginal product of capital divided by the price of capital (40/10) is equal to 4. This means that labor is relatively more expensive than capital and Max should use more capital and less labor to produce the current quantity of toy trains.

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In order to be even moderately successful at managing relations, a project manager needs to be skilled at managing customer ___________ and ____________ .Group of answer choicesexpectations; perceptionsbudget; schedulefears; concernsjargon; competency

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In order to be even moderately successful at managing relations, a project manager needs to be skilled at managing customer expectations and perceptions. Let's explore these two terms and how they impact project management.

Customer expectations refer to what the customer believes they will receive or achieve from the project. This can include factors such as the quality of the deliverables, the timeline for completion, the cost of the project, and the overall level of satisfaction. Managing customer expectations is critical because if the customer has unrealistic expectations, they may be disappointed with the final result and feel that the project was a failure. As a project manager, it is important to clearly communicate with the customer about what can realistically be achieved within the project's scope, budget, and timeline. This includes setting expectations at the outset of the project and providing ongoing updates throughout the project lifecycle.

CustomerCustomer perceptions refer to how the customer views the project and the project team. This can be influenced by a range of factors such as the customer's previous experiences, their personal biases, and their interactions with the project team. Managing customer perceptions is important because if the customer perceives the project or the project team negatively, it can impact their satisfaction with the project and their willingness to work with the project team in the future. As a project manager, it is important to build positive relationships with the customer and to be responsive to their needs and concerns. This includes being transparent about project progress and addressing any issues or concerns that arise.

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Use the following information to determine the ending cash balance to be reported on the month ended June 30 cash budget. a. Beginning cash balance on June 1, $95,700. b. Cash receipts from sales, $421,500. c. Budgeted cash disbursements for purchases, $276,500. d. Budgeted cash disbursements for salaries, $96,700. e. Other budgeted cash expenses, $58,700. f. Cash repayment of bank loan, $33,700. g. Budgeted depreciation expense, $35,700. $85,300. $15,900. $74,600. $51,600. $110,300.

Answers

To determine the ending cash balance on the month ended June 30 cash budget, we need to take into account all cash receipts and disbursements the ending cash balance to be reported on the month ended June 30 cash budget is $85,300.

Beginning cash balance on June 1 is $95,700.

Cash receipts from sales are $421,500.

Budgeted cash disbursements for purchases are $276,500.

Budgeted cash disbursements for salaries are $96,700.

Other budgeted cash expenses are $58,700.

Cash repayment of bank loan is $33,700.

Budgeted depreciation expense is $35,700.

So, we need to subtract all the cash disbursements from the cash receipts, and then add the beginning cash balance and subtract the depreciation expense.

Thus,

$95,700 + $421,500 - $276,500 - $96,700 - $58,700 - $33,700 - $35,700 = $85,300.



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Which of the following modes of transportation would most likely be used to quickly haul lettuce from California where it was grown to markets in Nevada?
A) trucks
B) piggyback
C) air
D) pipeline
E) water

Answers

The mode of transportation that would most likely be used to quickly haul lettuce from California to markets in Nevada is air transportation.

Air transportation is known for its speed and efficiency in delivering goods across long distances. It allows for quick delivery times, reducing the risk of spoilage and ensuring that the lettuce is fresh when it arrives at its destination.

While water transportation is also an option, it is a slower and less efficient mode of transportation, making it less ideal for time-sensitive deliveries such as perishable produce like lettuce. Therefore, air transportation is the best option for quickly hauling lettuce from California to markets in Nevada.

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a firm is considering a capital restructuring. the existing firm is unlevered and has 20,000 shares of stock outstanding at a market price of $25 per share. the new structure would include $150,000 of debt with a coupon rate (interest rate) of 7 percent. all of the money raised from the debt issue would be used to repurchase stock. what is the break-even level of ebit between the two structures? ignore taxes.

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The break-even level of EBIT between the two structures is $10,500. At this point, the levered and unlevered firms have equal earnings per share (EPS).

To find the break-even level of EBIT, first, calculate the total value of the unleveled firm, which is 20,000 shares * $25 per share = $500,000. Next, find the value of the levered firm, which is the unlevered firm value minus the debt, or $500,000 - $150,000 = $350,000. Determine the number of shares outstanding after repurchase: 20,000 shares - ($150,000 / $25 per share) = 14,000 shares. Now, calculate the interest expense on the debt: $150,000 * 7% = $10,500. The break-even level of EBIT occurs when the EPS for both structures is equal: (EBIT - $10,500) / 14,000 shares = EBIT / 20,000 shares. Solve for EBIT, which is $10,500.

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Rodriguez Company pays $384,345 for real estate with land, land improvements, and a building. Land is appraised at $176,000: land improvements are appraised at $66.000; and the building is appraised at $198,000. 1. Allocate the total cost among the three assets. 2. Prepare the journal entry to record the purchase. Complete this question by entering your answers in the tabs below.

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The total cost of $384,345 should be allocated among the three assets based on their respective appraised values. The allocation is as follows:

- Land: $176,000 / ($176,000 + $66,000 + $198,000) x $384,345 = $103,380
- Land improvements: $66,000 / ($176,000 + $66,000 + $198,000) x $384,345 = $30,870
- Building: $198,000 / ($176,000 + $66,000 + $198,000) x $384,345 = $250,095

Therefore, the cost allocation for each asset is as follows:

- Land: $103,380
- Land improvements: $30,870
- Building: $250,095

2. The journal entry to record the purchase would be:

Debit Real Estate with Land: $103,380
Debit Land Improvements: $30,870
Debit Building: $250,095
Credit Cash: $384,345


The allocation of cost among the three assets is based on the proportion of their respective appraised values to the total appraised value. This method of allocation is called the relative-fair-value method.

The journal entry to record the purchase follows the basic accounting equation, where the debits equal the credits. The debits represent the cost of the assets acquired, while the credit represents the cash paid for the purchase.

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Which of the following is not a category of financial statement ratios? group of answer choices profitability liquidity financial leverage asset

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The term that is not a category of financial statement ratios among the given choices is asset, option d.  

Financial statements are documents that describe a company's operations and financial performance. Government organisations, accounting companies, etc. frequently audit financial accounts to guarantee accuracy and for tax, financing, or investment purposes.

Financial statement ratios are typically divided into three main categories: profitability, liquidity, and financial leverage. These ratios help analyze a company's financial performance and health by comparing different elements in the financial statements.

Thus, the correct option is d. asset.

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the securities and exchange commission has mandated that companies use which interactive data format ?

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The Securities and Exchange Commission (SEC) has mandated that companies use the eXtensible Business Reporting Language (XBRL) as the interactive data format for financial reporting.

Some important points about this are:

XBRL is a standardized, computer-readable format for financial reporting that allows financial information to be easily analyzed and compared across different companies and industries. It is designed to improve the accuracy and reliability of financial reporting, reduce the costs and time associated with financial analysis, and increase transparency and accessibility of financial information.The SEC first mandated the use of XBRL for financial reporting in 2009, and since then, the use of XBRL has become widespread in the US and other countries. Today, companies must file financial reports in XBRL format with the SEC, including quarterly and annual reports, proxy statements, and registration statements.

In summary, the SEC has mandated the use of XBRL as an interactive data format for financial reporting by companies. This requirement has been in place since 2009 and is designed to improve the accuracy, reliability, and accessibility of financial information.

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According to path-goal theory, the important environmental factors that determine appropriate leadership style are:__________

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According to path-goal theory, the important environmental factors that determine appropriate leadership style are the characteristics of the task, the abilities and motivations of the followers, and the work environment.

The theory suggests that leaders must adapt their leadership style based on these factors to ensure that their followers are motivated and able to achieve their goals. For example, if the task is complex and requires specialized knowledge, a directive leadership style may be appropriate. If followers are highly skilled and motivated, a supportive or participative leadership style may be more effective. Ultimately, the leader's goal is to create a supportive work environment that allows followers to succeed.


Task structure refers to the clarity and complexity of the tasks performed by team members. The formal authority system represents the degree of control and rules in the organization, while work group dynamics involve the relationships and interactions within the team. These factors influence a leader's choice of leadership style, allowing them to provide guidance, support, and motivation to team members, ultimately leading to higher performance and satisfaction.

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Question 1 (5 points) Cane company has two offices. A segmented contribution format income statement for the company's most recent month is as follows: Office Total Company Brandon Winnipeg Sales $90,000 100% $40,000 100% $50,000 100% Variable expenses 44,000 48.9 24,000 60 20,000 40
Contribution margin 46,000 51.1 16,000 40 30,000 60 Traceable fixed expenses 27,400 30.4 10,400 26 17,000 34 Office segment margin 18,600 20.7 $5,600 14 $13,000 26 Common fixed expenses 9,000 Operating income $9,600
Required: 1. Assuming no change in cost behaviours, by how much would the company's operating income increase if Brandon increased its sales by $3,000. (2 marks)
2. A new owner would like to see the common fixed expenses allocated to each office in proportion to their sales. The owner wants all segments to help cover all of the costs. Do you agree or disagree with the owner? Provide two reasons to support your response. (3 marks)

Answers

1.Operating income would increase by $1,080 if Brandon increased sales by $3,000.

2.Disagree with owner; common fixed expenses are not solely related to sales, may discourage growth opportunities. Allocate based on other allocation basis.

1. If Brandon increased its sales by $3,000, the company's operating income would increase by $1,080.

To calculate this, we need to first determine the contribution margin percentage for the Brandon office, which is 40% (16,000 ÷ 40,000). We can then use this percentage to calculate the increase in contribution margin from the additional sales:

Additional sales at Brandon = $3,000

Contribution margin percentage for Brandon = 40%

Contribution margin increase = $3,000 x 40% = $1,200. This increase in contribution margin will flow directly to the company's operating income, since there are no additional traceable fixed expenses to be incurred. However, we also need to consider the impact of the common fixed expenses, which are not directly affected by changes in sales. In this case, the $1,200 increase in contribution margin will only partially offset the common fixed expenses, leaving a net increase in operating income of $1,080:

Net increase in operating income = $1,200 - $120 (Brandon's share of common fixed expenses) = $1,080

2. I disagree with the new owner's suggestion to allocate the common fixed expenses to each office in proportion to their sales, for two main reasons:

First, not all fixed expenses are related to sales. Common fixed expenses, by definition, are expenses that are incurred for the benefit of the entire company, and are not directly traceable to any specific segment. Therefore, it would not be appropriate to allocate these expenses solely based on sales, as this would result in an inaccurate representation of each segment's true profitability. Second, allocating common fixed expenses in this manner could discourage managers from pursuing profitable opportunities. If the common fixed expenses are allocated solely based on sales, then managers who are responsible for smaller segments may be less likely to pursue growth opportunities, as their share of the fixed expenses would increase. This could lead to a suboptimal allocation of resources within the company. Instead, a more appropriate approach would be to allocate the common fixed expenses based on some other allocation basis, such as the number of employees or the square footage of office space used by each segment. This would provide a more accurate reflection of each segment's true profitability, and would not discourage managers from pursuing growth opportunities.

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[amc10a.2004.11] a company sells peanut butter in cylindrical jars. marketing research suggests that using wider jars will increase sales. if the diameter of the jars is increased by without altering the volume, by what percent must the height be decreased?

Answers

Assuming that the volume of the cylindrical jars remains constant, we can use the formula for the volume of a cylinder:

Volume = πr^2h

where r is the radius (half the diameter) and h is the height of the jar.

Since we want to increase the diameter without changing the volume, we can set the initial volume equal to the final volume:

πr^2h = π(1.5r)^2(0.8h)

Simplifying and canceling terms:

r^2h = 2.25r^2(0.8h)

r^2h = 1.8r^2h

Dividing both sides by r^2h:

1 = 1.8x

x = 1/1.8 = 0.555

Therefore, the height must be decreased by approximately 55.5% in order to increase the diameter by 50%.

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Fill in the blank.
A banking system in which only a portion of checkable deposits are backed up by cash in bank vaults or deposits in the central bank is called a(n) _____ _____ banking system.

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A banking system in which only a portion of checkable deposits are backed up by cash in bank vaults or deposits in the central bank is called a fractional reserve banking system.

In a fractional reserve banking system, banks are only required to hold a certain percentage of their customers' deposits as reserves, either in the form of cash in their vaults or as deposits with the central bank. This percentage is called the reserve requirement. The central bank, which serves as the regulatory authority and the lender of last resort, determines the reserve requirement for the banks under its jurisdiction.

Fractional reserve banking allows banks to use the remaining funds from customer deposits, after meeting the reserve requirement, to extend loans and create new money through the process of lending. This leads to the expansion of the money supply, and ultimately, it plays a crucial role in economic growth and development.

However, it also comes with some risks, such as the possibility of bank runs, where many customers simultaneously demand to withdraw their deposits, which can lead to bank failures. To mitigate these risks, the central bank monitors and regulates the banking system, ensuring that banks adhere to the reserve requirements and maintain adequate levels of capital and liquidity.

In summary, a fractional reserve banking system is one where only a portion of checkable deposits are backed by cash in bank vaults or deposits in the central bank, allowing banks to use the remaining funds to provide loans and expand the money supply. This system is regulated by the central bank, which determines the reserve requirements and oversees the banking sector to maintain stability and prevent bank runs.

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if the federal and state minimum wages are different, the highest minimum wage is used?

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If the federal and state minimum wages are different, the highest minimum wage is used.

How do minimum wage laws work ?

In the U.S., both federal and state governments are empowered to enact regulations on minimum wages. Yet, if there is a dissonance between the federal and state-implemented minimum wage rates, it becomes incumbent upon employers to pay their workers the higher of these two rates.

The aim of such a policy is for employees to be guaranteed utmost safeguard and not have their wages subject to inconsistent or inequitable legislation.

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at the start of the year, the permanent endowment fund of the state performing arts festival association reported net assets of $1 million (fair market value in accordance with asu no. 2016-14). during the year. it earned $40,000 in interest and dividends, but its investments lost $60,000 in market value. the association spent the entire $40,000 of interest and dividends. at year-end the permanent endowment fund should report net assets restricted by donor of

Answers

To answer your question, we'll consider the following terms: investment, and endowment fund.

At the start of the year, the state performing arts festival association's permanent endowment fund had net assets of $1 million. During the year, the fund earned $40,000 in interest and dividends from its investments. However, the investments lost $60,000 in market value. The association spent the entire $40,000 of interest and dividends.

To calculate the year-end net assets restricted by the donor, we'll follow these steps:

1. Start with the initial net assets: $1,000,000
2. Add the interest and dividends earned: $1,000,000 + $40,000 = $1,040,000
3. Subtract the market value loss of investments: $1,040,000 - $60,000 = $980,000
4. Subtract the spent interest and dividends: $980,000 - $40,000 = $940,000

At the year-end, the permanent endowment fund should report net assets restricted by donors of $940,000.

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Major components of a master budget are the ______.
a. strategic long-range profit plan
b. financial trend analysis
c. tactical short-range profit plan
d. organization goals

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The major components of a master budget are the (c) tactical short-range profit plan.

Sales Budget: This outlines the expected sales revenue for the upcoming period and is typically the starting point of the budgeting process.

Production Budget: This outlines the amount of goods or services that need to be produced to meet the sales demand outlined in the sales budget.

Direct Materials Budget: This outlines the materials that need to be purchased to support the production budget.

Direct Labor Budget: This outlines the labor costs associated with the production budget, including salaries, wages, and benefits.

Manufacturing Overhead Budget: This outlines the indirect costs associated with production, such as utilities, rent, and insurance.

Selling and Administrative Expense Budget: This outlines the expected costs associated with selling and marketing the products or services, as well as the general administrative costs of running the business.

Capital Expenditure Budget: This outlines the planned investments in fixed assets, such as property, plant, and equipment.

Cash Budget: This outlines the expected cash inflows and outflows for the upcoming period and is used to ensure that the business has sufficient cash on hand to meet its obligations.

Budgeted Income Statement: This outlines the expected revenues, costs, and profits for the upcoming period.

Budgeted Balance Sheet: This outlines the expected assets, liabilities, and equity for the end of the upcoming period.

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which most accurately explains why fiat money has no value in itself? responses fiat money only has value as long as the free-market system exists. fiat money only has value as long as the free-market system exists. fiat money is always a precious metal that only has value because of its beauty. fiat money is always a precious metal that only has value because of its beauty. fiat money has only a single use as a medium of exchange. fiat money has only a single use as a medium of exchange. fiat money is not a durable commodity.

Answers

Fiat money has no intrinsic value because it is not backed by a physical commodity like gold or silver.

Instead, its value is derived from the trust and confidence placed in the government that issues it and the free-market system that allows it to be exchanged for goods and services.

This is why the value of fiat money can fluctuate based on economic and political factors, as well as inflation.

Its only purpose is as a medium of exchange, and it is not a durable commodity in the way that physical goods are.

Therefore, its value is solely dependent on the free-market system and the trust placed in the government that issues it.

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true/false. major advertisers can ensure a big audience by simply advertising on tv.

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False. Major advertisers cannot ensure a big audience by simply advertising on TV.

This is because TV viewing habits have changed significantly in recent years, with more people watching programs on demand or streaming them online. Additionally, there are other factors that can impact the size of the audience an ad receives, such as the time of day it airs, the content of the ad, and the target audience.

To ensure a big audience, advertisers need to take a comprehensive approach to their campaigns, incorporating TV, digital, and other advertising channels. Additionally, they need to use analytics and insights to understand their target audience and ensure their ads are reaching the right people.

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When a company has a current obligation to make a future payment to their supplier due to a shipment of supllies that were receiver last week, the company would record the transaction with an increase to an asset account and_____ account

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When a company has a current obligation to make a future payment to their supplier due to a shipment of supplies that were received last week, the company would record the transaction with an increase to an asset account and a corresponding increase to a liability account.

The asset account in this case would be the inventory account, which represents the supplies that were received but have not yet been paid for. The liability account would be accounts payable, which represents the amount owed to the supplier for the supplies. The increase to the asset account and the corresponding increase to the liability account ensure that the transaction is properly recorded on the company's balance sheet. This allows the company to keep track of its assets and liabilities and accurately report its financial position to stakeholders. This dual entry maintains the accounting equation (Assets = Liabilities + Equity) and accurately reflects the company's financial position.

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16 points) A bank has $50,000 in deposits and has $3,400 in reserves.
a) What is its reserve ratio if the bank holds no excess reserves?
b) If the Fed sets reserve ratio as 5 percent, what is the excess reserve?
c) What is the money multiplier if the reserve ratio is 12.5 percent?
d) How much money the banking system will create if 10,000 dollars are deposited to this bank and the reserve ratio is 12.5 percent?

Answers


Since the bank only has $3,400 in reserves, it will need to acquire additional reserves in order to meet the required reserve ratio. It can do this by borrowing from other banks or by selling securities.

Assuming it is able to acquire the necessary reserves, it can then lend out the excess:
Excess reserves = Reserves - Required reserves
Excess reserves = $3,400 - $6,250
Excess reserves = -$2,850
Since the bank has negative excess reserves, it cannot lend out any additional funds. However, assuming that it is able to acquire the necessary reserves, the total increase in the money supply would be:
Total increase in money supply = Deposit x Money multiplier
Total increase in money supply = $10,000 x 8
Total increase in money supply = $80,000
So the banking system as a whole would create $80,000 in new money as a result of the $10,000 deposit.

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a. The reserve ratio if the bank holds no excess reserves is 0.068 or 6.8%

b.  If the Fed sets reserve ratio as 5 percent,  the excess reserve is $900.

c. The money multiplier if the reserve ratio is 12.5 percent is 8.

d. The banking system will create $80,000 in new money.

a) The reserve ratio is calculated by dividing the amount of reserves by the amount of deposits:

Reserve Ratio = Reserves / Deposits

In this case, since the bank holds no excess reserves, the entire reserve amount of $3,400 is used:

Reserve Ratio = $3,400 / $50,000

Reserve Ratio = 0.068 or 6.8%

b) If the Fed sets the reserve ratio as 5 percent, we can calculate the excess reserves by subtracting the required reserves from the total reserves:

Required Reserves = Reserve Ratio * Deposits

Required Reserves = 0.05 * $50,000

Required Reserves = $2,500

Excess Reserves = Total Reserves - Required Reserves

Excess Reserves = $3,400 - $2,500

Excess Reserves = $900

Therefore, the excess reserves are $900.

c) The money multiplier is calculated as the reciprocal of the reserve ratio:

Money Multiplier = 1 / Reserve Ratio

In this case, with a reserve ratio of 12.5 percent, the money multiplier is:

Money Multiplier = 1 / 0.125

Money Multiplier = 8

Therefore, the money multiplier is 8.

d) To calculate the money the banking system will create, we can use the money multiplier and the new deposit amount:

Money Created = Money Multiplier * New Deposit

Money Created = 8 * $10,000

Money Created = $80,000

Therefore, the banking system will create $80,000 in new money.

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mc qu. 62 reliable construction company bought... reliable construction company bought a backhoe for $100,000, which it expects to be able to use for 20 years. rather than showing an expense of $100,000 in the first year and no expense for the crane over the next 19 years, the company can report depreciation expenses of blank per year in each of the next 20 years because that better matches the cost of the machine to the years it is used.

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Reliable Construction Company purchased a backhoe for $100,000, with an expected useful life of 20 years.

Reliable construction company's decision to report depreciation expenses of a certain amount per year for the next 20 years is a sound financial strategy.

This method of accounting for the cost of the backhoe aligns with the years that the company will actually use the equipment, which is more accurate than reporting the entire cost as an expense in the first year.

This approach also allows for better planning of future expenses and helps to avoid any unnecessary financial strain on the company.

Additionally, this method of reporting expenses allows for better tracking of the backhoe's value over time. As the equipment ages, it will decrease in value, and the depreciation expenses reported each year will reflect this change in value. This will help the company make informed decisions regarding repairs, maintenance, and eventual replacement of the backhoe.

Overall, reporting depreciation expenses over the next 20 years is a responsible and financially savvy decision for Reliable construction company. It allows for accurate tracking of expenses and ensures that the cost of the backhoe is aligned with the years it is used.

Reliable Construction Company purchased a backhoe for $100,000, with an expected useful life of 20 years. To better match the expenses associated with the backhoe to the period it is utilized, the company can report depreciation expenses instead of a one-time expense of $100,000 in the first year.

Depreciation is the systematic allocation of the cost of an asset over its useful life, which in this case is 20 years. By using the straight-line method of depreciation, the company can evenly distribute the expense over the 20-year period. To calculate the annual depreciation expense, divide the initial cost of the backhoe ($100,000) by its useful life (20 years):

$100,000 / 20 years = $5,000 per year

Thus, Reliable Construction Company can report an annual depreciation expense of $5,000 for each of the next 20 years, allowing for a more accurate representation of the backhoe's cost and its impact on the company's financial statements. This approach ensures that the construction company's expenses are consistently accounted for during the entire time the backhoe is in use.

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in a given town, demand for fish and supply of fish is given by P = 4976 - 6*Q and P = 2248 + 20 * Q respectively. Here P and Q denote are fish price and fish quantity (in tons). How many tons of fish are sold if the fish market is competitive ?

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105 tons of fish are sold if the fish market is competitive.

To find the quantity of fish sold in a competitive market, we need to equate the demand and supply functions. In this case, we have the

demand function P = 4976 - 6*Q

and the supply function P = 2248 + 20*Q.

Step 1: Equate the demand and supply functions:
4976 - 6*Q = 2248 + 20*Q

Step 2: Solve for Q:
26*Q = 4976 - 2248
Q = (4976 - 2248) / 26
Q = 2728 / 26
Q = 104.923 (approximately)

So, in a competitive fish market, approximately 105 tons of fish are sold.

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In the computation of basic earnings per share, a company will use the: beginning-year common shares outstanding weighted-average preferred shares outstanding year-end common shares outstanding weighted-average common shares outstanding

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In the computation of basic earnings per share, a company will use the weighted-average common shares outstanding. Therefore, option D is correct.

Weighted-average common shares outstanding refers to a method used to calculate the number of shares of a company's common stock that are considered in the earnings per share (EPS) calculation.

It takes into account any changes in the number of shares outstanding throughout the reporting period by assigning different weights to each period based on the time the shares were outstanding.

This approach provides a more accurate representation of the company's EPS because it considers the fluctuating number of shares and the time period they were outstanding, giving more weight to periods with higher share counts.

It is a commonly used method to account for the potential dilution or increase in shares during the reporting period.

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A mode identifies basic transportation. Which of the following is not a mode of basic transportation?
Multiple choice question.
Rail
Truck
Water
Pipeline
Monorail
Air

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The basic transportation modes include Rail, Truck, Water, Pipeline, and Air.

The term "mode" refers to the method of transportation used for moving goods or people. Among the options provided, the one that is not a mode of basic transportation is Monorail. The basic transportation modes include Rail, Truck, Water, Pipeline, and Air.

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trade barriers lead to decreased competition from abroad, and raise prices and profits of domestic firms. interestingly, such protection over time will often lead to higher-quality domestic products and services.(True/False)

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True. Trade barriers, such as tariffs and quotas, limit the amount of foreign competition in domestic markets, leading to decreased competition from abroad.

This can result in higher prices and profits for domestic firms. However, over time, this protection can encourage domestic firms to invest in research and development, leading to higher-quality products and services.
Trade barriers, such as tariffs and import quotas, can lead to decreased competition from abroad, as they make foreign products more expensive or limit their availability. This, in turn, can raise the prices and profits of domestic firms. Over time, these firms may invest in improving the quality of their products and services due to the reduced competitive pressure. However, it is important to note that this is not guaranteed, and the specific outcome will depend on various factors such as the industry, market dynamics, and government policies.

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