a georgia homeowner obtains a judgment for $25,000 against a real estate agent for damages incurred while represented by that licensee in a transaction. in this circumstance, under what conditions might the homeowner receive compensation from the real estate education, research, and recovery fund?

Answers

Answer 1

Georgia homeowners can receive compensation if the court is convinced that homeowner has used every available legal method, including a writ of possession, to recover the $25,000 damages

If a Georgia homeowner wins a $25,000 judgement against a real estate agent for the harms sustained, the homeowner's eligibility for compensation will depend on a number of factors, including the real estate agent's financial capacity to pay judgement and if homeowner has used every available legal avenue to collect the judgement. The homeowner can recover entire judgement sum without needing to engage in further legal action if the real estate agent has financial means to satisfy the award.

However, the homeowner might need to take legal action to collect judgement if the real estate agent is unable to pay it. By a writ of possession, one legal option to recoup the $25,000 damages is possible. A writ of possession is a legal document that gives one party the right to seize the debtor's assets in order to fulfil a court order. The homeowner might be able to collect the judgement sum if they are successful in getting a writ of possession and are able to confiscate the real estate agent's assets.

Read more about compensation on:

https://brainly.com/question/26178761

#SPJ4


Related Questions

verifying the minimum level of capital or equity that must be held to fund the operations of an fi is part of the goal of

Answers

Verifying the minimum level of capital or equity that must be held to fund the operations of an FI is part of the goal of capital adequacy regulation.

Capital adequacy regulation is one of the most critical financial sector regulations that seek to ensure the financial stability of the banking sector.


Capital adequacy is the minimum level of capital or equity that must be held by banks and other financial institutions (FIs) to fund their operations. Capital adequacy is measured by comparing the capital held by the FIs to the risk-weighted assets.

The primary goal of capital adequacy regulation is to ensure that FIs have enough capital or equity to absorb any losses that may arise from the various risks they face, such as credit risk, operational risk, and market risk.

This, in turn, ensures that the FIs remain solvent and are capable of fulfilling their financial obligations to customers and depositors.


The minimum capital requirements are intended to ensure that FIs have enough capital to absorb any losses they may incur, even under adverse conditions. Central banks and other financial sector regulators are responsible for ensuring that FIs comply with the capital adequacy regulations.

Failure to comply with the capital adequacy regulations may result in sanctions or other penalties, including restrictions on business activities or revocation of licenses.

To know more about  capital adequacy regulation refer here :

https://brainly.com/question/29729923

#SPJ11

the amount reported on the company's cash flow statement as net cash used by investing activities would total what amount g

Answers

1.Net Cash Flow = Net Cash Flow from Operating Activities + Net Cash Flow from Financial Activities + Net Cash Flow from Investing Activities.

2.Net Cash Flow = Total Cash Inflows – Total Cash Outflows.

3.100,000 + 40,000 – 60,000 = 80,000

The amount reported on the company's cash flow statement as net cash used by investing activities would total the amount "g".

The amount reported on the company's cash flow statement as net cash used by investing activities would total the net amount of cash that was used for investment activities during a particular period.

These investment activities could include the acquisition or disposal of long-term assets, such as property, plant, and equipment, as well as any investments in other companies or securities.The net cash used by investing activities figure can be calculated by subtracting the total cash inflows from investing activities from the total cash outflows from investing activities.

The resulting figure will indicate whether the company is generating more or less cash from its investments than it is spending on those investments. If the net cash used by investing activities is a positive number, it indicates that the company is spending more cash on its investments than it is generating from those investments.

On the other hand, if the net cash used by investing activities is a negative number, it indicates that the company is generating more cash from its investments than it is spending on those investments.

Cash flow statements are an important financial statement that provides investors with valuable information about a company's cash inflows and outflows during a particular period.

To know more about Cash flow here

https://brainly.com/question/27994727

#SPJ11

uses two measures of activity, flights and passengers, in the cost formulas in its budgets and performance reports. the cost formula for plane operating costs is $36,160 per month plus $2,038 per flight plus $1 per passenger. the company expected its activity in april to be 73 flights and 223 passengers, but the actual activity was 72 flights and 228 passengers. the actual cost for plane operating costs in april was $179,020. the activity variance for plane operating costs in april would be closest to:

Answers

The activity variance for plane operating costs in April would be closest to -4,108 (unfavourable).

What's activity variance

Activity variance is the difference between the actual cost of an activity and the budgeted cost of the activity as defined by the company’s cost formula.

There are two types of activity variances:

quantity variance and price variance.

The quantity variance is the difference between the actual activity and the budgeted activity multiplied by the budgeted price. The price variance is the difference between the actual price and the budgeted price multiplied by the actual activity...

Let's use the below-given formula to calculate the activity variance.

Actual activity cost - Flexible budget activity cost

Now let's put the given values in the formula to find out the activity variance for plane operating costs in April.

Plane operating costs actual activity cost = $179,020

Plane operating costs flexible budget activity cost = $36,160 + $2,038 × 72 + $1 × 223= $184,128

Activity variance = $179,020 - $184,128 = -$5,108

Since the actual activity is less than the flexible budget activity, the activity variance is unfavorable.

Learn more about activity variance at

https://brainly.com/question/29704119

#SPJ11

smith and smith accountants has detailed job descriptions and policy manuals that tell each employee exactly how to do their job.

Answers

Smith and Smith Accountants utilizes detailed job descriptions and policy manuals to provide clear instructions for employees on performing their tasks.

This approach ensures that each employee understands their specific responsibilities and the correct procedures for their role. The step-by-step guidance provided by these documents helps maintain a high level of efficiency and accuracy within the organization.

Detailed job descriptions outline the primary duties, necessary qualifications, and expectations for each position, while policy manuals provide instructions on company policies, standards, and best practices.

By having clear guidelines in place, Smith and Smith Accountants can reduce misunderstandings, ensure consistent performance, and create a more cohesive and effective work environment for their employees.

To know more about policy manuals click on below link:

https://brainly.com/question/8180118#

#SPJ11

seven seas company manufactures 100 luxury yachts per month. included in each yacht is a compact media center. seven seas manufactures the media center in-house, but is considering the possibility of outsourcing that function, in order to close down some of their facilities and reduce the administrative costs. at present, the variable cost per unit is $275 and the fixed costs are $39,000 per month. assuming that if they outsource, and the fixed costs could be eliminated entirely, at what contract rate would outsourcing pay off for seven seas? (please round to nearest whole dollar.)

Answers

If Seven Seas can outsource the media center function for a contract rate of $665 or less.

What is a selling price?

The selling price is usually determined by adding a profit margin to the cost of producing the product or providing the service.

We know;

Break-even point = (Fixed-costs) / (Contribution-margin per unit)

Contribution-margin per unit = (Selling price per unit) - (Variable cost per unit)

The total variable cost per month for the media centers is:

Variable cost per month = 100 yachts/month x $275/media center = $27,500/month

Let's call the contract rate for outsourcing "X",

Contribution margin per unit = X - $275

Break-even point = $39,000 / (X - $275) = 100 units/month

Simplifying this equation, we get: (X - $275) = $390

X = $665

Therefore, if Seven Seas can outsource the media center function for a contract rate of $665 or less, it will be more cost-effective than in-house production.

To know more about selling price, visit:

https://brainly.com/question/26008313

#SPJ1

if the irr of a project is equal to the rrr for the company, the net present value for the project will be .

Answers

If the Internal Rate of Return (IRR) of a project is equal to the Required Rate of Return (RRR) for the company, the Net Present Value (NPV) for the project will be zero.

What is rate of return?

This is because the IRR and RRR signify the same rate of return for the company or project. At a zero NPV, the inflow of cash is equal to the outflow of cash, and the project's return is equal to the RRR or the company's desired rate of return.

The IRR is a financial metric that calculates the rate of return at which the present value of all anticipated future cash flows equals the initial investment or cost of the project. It is a rate that makes the project's NPV equal to zero. If the IRR is equal to or greater than the RRR, the project is deemed acceptable or worthwhile.

However, if the IRR is less than the RRR, the project is considered risky or unprofitable. If the IRR is equal to the RRR, the project is deemed acceptable, but there will be no surplus cash to allocate. The NPV will be zero in such a case.

Learn more about Rate of return here:

brainly.com/question/24301559

#SPJ11

all of the following bank reconciliation items would result in a journal entry on the company's books except: multiple choice interest earned. outstanding checks. service charge.

Answers

If all of the following bank reconciliation items would result in a journal entry on the company's books except Interest earned.

Interest earned is an income account that is recorded in the company's books when the bank pays interest on the company's deposits. Since the company has not yet recorded this income, there is no need for a journal entry to be made.

Outstanding checks and service charges are both items that need to be reconciled between the bank's records and the company's records. Outstanding checks are checks that have been issued by the company but have not yet been cleared by the bank, while service charges are fees that the bank charges the company for its services.

Both of these items require adjustments to be made in the company's books through journal entries.

To know more about Interest earned, click the link below:

https://brainly.com/question/2241772#

#SPJ11

How would you describe the change in quantity demanded for these each of these products?

a. The income effect

b. The substitution effect

c. The advertising effect

d. The equilibrium effect

Answers

Quantity demanded can be affected by changes in income, price of related products, marketing efforts, and market conditions. See more description below.

What is the Change in Quantity Demanded?

Change in quantity demanded refers to the change in the quantity of a product that consumers are willing and able to purchase at a particular price point, resulting from various factors.

a. The income effect describes the change in quantity demanded of a product as a result of changes in a consumer's income. If income increases, consumers may purchase more of the product, while a decrease in income may lead to a decrease in demand.

b. The substitution effect describes the change in quantity demanded of a product as a result of changes in the price of a related product. If the price of a substitute product increases, consumers may switch to purchasing the original product, leading to an increase in demand.

c. The advertising effect describes the change in quantity demanded of a product as a result of marketing and advertising efforts. If effective advertising increases consumer awareness and interest in a product, demand may increase.

d. The equilibrium effect describes the change in quantity demanded and supplied of a product as a result of changes in market conditions, such as changes in price, consumer preferences, or technology, which can lead to a new equilibrium point where supply and demand are in balance.

Learn more about change in quantity demanded on:

https://brainly.com/question/30491399

#SPJ1

which one of the following parties is most apt to hedge a position to lock in the price at which they can sell milk in the future? multiple choice question. cheese producer ice cream maker dairy farmer retail grocer

Answers

The dairy farmer is most apt to hedge a position to lock in the price at which they can sell milk in the future. Option C is correct.

Hedging is a risk management strategy used to protect against potential losses by taking an offsetting position in a related security or commodity. In this case, a party would hedge a position to lock in the price at which they can sell milk in the future.

Out of the given options, the dairy farmer is most likely to hedge their position. Dairy farmers are the primary producers of milk and are therefore exposed to the risk of price fluctuations in the market. By hedging their position, they can protect against potential losses if the price of milk falls in the future.

Cheese producers and ice cream makers are downstream processors of milk and may also be exposed to price risk, but their demand for milk may be more stable and predictable. Retail grocers are even further downstream in the supply chain and may not have as much direct exposure to milk prices. Therefore, the dairy farmer is most apt to hedge their position to lock in the price at which they can sell milk in the future. Option C is correct.

To know more about the Hedge, here

https://brainly.com/question/29835822

#SPJ4

Which of the following are examples of business activities? order takinginvoicing customersdelivery of products

Answers

All the three options are examples of business activities which include order taking, invoicing customers, and delivery of products.

Business activities are the activities carried out by an individual, company, or organization to generate revenue. Business activities can range from creating a product to delivering it to the end-users. Some of the examples of business activities are:

Order Taking: This is a business activity that involves receiving and processing orders from customers. Invoicing Customers: Invoicing is a business activity that involves billing customers for products or services they have purchased. Delivery of Products: This is a business activity that involves the physical transportation of goods to customers.

The three examples mentioned above are some of the common examples of business activities. Business activities are essential in the business world as they enable companies to generate revenue. Without these activities, businesses would not be able to generate revenue or grow their businesses. The aim of carrying out business activities is to ensure that the company is profitable and that it meets the needs of its customers.

Learn more about business activities https://brainly.com/question/26106218

#SPJ11

the financial statement of a corporation includes the balance sheet and the a) income statement b) statement of additional information c) working capital statement d) proxy statement

Answers

Answer: The financial statement of a corporation includes the balance sheet and the income statement.

Explanation:

What is the Balance Sheet?

A balance sheet is a financial statement that summarizes a company's assets, liabilities, and shareholder's equity at a specific point in time. These three segments of a company's financial situation provide investors with an idea of what a company's financial situation looks like at a given time. The three sections of a balance sheet are divided as follows:

Assets: What a corporation owns or has a claim to in the future, such as funds or inventory. Liabilities: These are financial obligations that a corporation must meet, such as taxes or loans. Shareholders' Equity: The value of the company that is owed to the company's owners or shareholders is referred to as equity.

The sum of the three components is equal to the company's total value. It's worth noting that a balance sheet represents the state of the business's finances at a certain time, not over a period of time.

This is in contrast to an income statement, which summarizes a company's earnings and expenses over a period of time, typically a quarter or year.

To know more about the "balance sheet": https://brainly.com/question/1113933

#SPJ11

if i deposit $5,250 into an account today that pays 8.3% interest per annum (i.e., p.a.), how much will be in my account exactly two years from today? question 5 options: $4,476.13 $6,668.75 $5,322.88 $6,157.67 $5,685.75

Answers


If you deposit $5,250 into an account today that pays 8.3% interest per annum (i.e., p.a.), then exactly two years from today the amount in your account will be $6,668.75.  The correct answer is B.

Using the formula for compound interest, we have:

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

where:

A = the amount in the account after time t

P = the principal amount (initial investment)

r = the annual interest rate (as a decimal)

n = the number of times the interest is compounded per year

t = the time (in years)

In this case, P = $5,250, r = 0.083, n = 1 (compounded annually), and t = 2. Plugging in these values, we get:

A = 5,250(1 + 0.083/1)²

A = $6,668.75

Therefore, the amount in the account exactly two years from today would be $6,668.75. The correct answer is B.

Learn more about deposit at https://brainly.com/question/24213842

#SPJ11

Dahlia Corporation has a current accounts receivable balance of $439,016. Credit sales for the year just ended were $5,384,500.
What is the receivables turnover?
Note: Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.
What is the days’ sales in receivables?
Note: Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.
How long did it take, on average, for credit customers to pay off their accounts during the past year?

Answers

Therefore, on average, it took credit customers 10.85 days to pay off their accounts during the past year.

When answering questions on the Brainly platform, it is important to always be factually accurate, professional, and friendly. Additionally, it is important to be concise and not provide extraneous amounts of detail. While typos or irrelevant parts of the question should be ignored, it is important to address all relevant aspects of the question being asked.

Dahlia Corporation has a current accounts receivable balance of $439,016. Credit sales for the year just ended were $5,384,500. What is the days’ sales in receivables? How long did it take, on average, for credit customers to pay off their accounts during the past year?

Days' sales in receivables (DSR) is a measure of the average number of days it takes for a company to collect payment from its customers. It is calculated by dividing the accounts receivable balance by the average daily credit sales.

To calculate DSR for Dahlia Corporation, we need to first determine the average daily credit sales. This can be calculated by dividing the total credit sales for the year by the number of days in the year. There are 365 days in a year, so the average daily credit sales for Dahlia Corporation can be calculated as follows:

Average daily credit sales = Total credit sales / Number of days
Average daily credit sales = $5,384,500 / 365
Average daily credit sales = $14,734.25

Once we have calculated the average daily credit sales, we can calculate DSR as follows:

DSR = Accounts receivable balance / Average daily credit sales
DSR = $439,016 / $14,734.25
DSR = 29.76 days

Therefore, Dahlia Corporation has a days' sales in receivables of 29.76 days.

To determine how long it took, on average, for credit customers to pay off their accounts during the past year, we can use a similar calculation. This is known as the average collection period (ACP), which is calculated by dividing the accounts receivable balance by the average daily credit sales and then multiplying by the number of days in the year. This will give us the average number of days it takes for credit customers to pay off their accounts.

ACP = (Accounts receivable balance / Average daily credit sales) x Number of days
ACP = ($439,016 / $14,734.25) x 365
ACP = 10.85 days
To learn more about :accounts

https://brainly.com/question/23040788

#SPJ11

Kilroy uses the net method to record sales on account. kilroy sells goods on account for $1,000 with terms 2/10, n/30. the journal entry to record this transaction will include (select all that apply.) multiple select question. debit to sales, $1,000.
credit to sales, $980.
credit to sales, $1,000. credit to accounts receivable, $980. debit to accounts receivable, $1,000.
debit to accounts receivable, $980.

Answers

Answer: The journal entry to record this transaction will include a debit to accounts receivable, $1,000 and a credit to sales, $1,000.

Explanation: When Kilroy sells goods on account for $1,000 with terms 2/10, n/30 and uses the net method to record sales on account, the journal entry to record this transaction will include a debit to accounts receivable, $1,000 and a credit to sales, $1,000. The terms 2/10, n/30 mean that if the customer pays within 10 days of the invoice date they will receive a 2% discount. If they do not pay within 10 days they must pay the full amount within 30 days of the invoice date.

Received message. The journal entry to record this transaction will include a debit to accounts receivable, $1,000 and a credit to sales, $1,000. When Kilroy sells goods on account for $1,000 with terms 2/10, n/30 and uses the net method to record sales on account, the journal entry to record this transaction will include a debit to accounts receivable, $1,000 and a credit to sales, $1,000. The terms 2/10, n/30 mean that if the customer pays within 10 days of the invoice date they will receive a 2% discount. If they do not pay within 10 days they must pay the full amount within 30 days of the invoice date.

Hope this helps, and have a great day!

once managers determine what work needs to be done, they then need to divide up the tasks among workers. this is called of . need help? review these concept resources.

Answers

Once managers determine what work needs to be done, they then need to divide up the tasks among workers. This is called task allocation.

What is task allocation?

Task allocation is the process of determining which tasks are to be accomplished by whom. It is the process of assigning tasks to specific people and groups within an organization. Task allocation is a vital element of an effective organizational strategy.

Managers must determine what work needs to be done, the people who can do it, and how best to use their time, energy, and talents. Task allocation, in essence, is the process of identifying and distributing work amongst team members based on their abilities, expertise, and responsibilities.

This process is important because it allows managers to delegate duties in such a way that everyone has a clear understanding of their responsibilities and their role in the organization.

Task allocation allows managers to ensure that all necessary work is completed in a timely and efficient manner, while also enabling them to respond quickly to new developments or changing priorities.

In addition, task allocation helps to ensure that team members are working on projects that are within their abilities and interests, and that they have the resources they need to complete their work successfully.

To know more about task allocation, click on the link below:

https://brainly.com/question/28358886#

#SPJ11

if the price of a good rise from 10 dollars to 15 and quantity sold decreases from 10000 to 7000 what is the elastiity

Answers

The elasticity is -0.875. This means that the good is relatively inelastic, as the percentage change in quantity sold (-30%) is less than the percentage change in price (+50%).

The elasticity of a good can be calculated using the formula (Q2 - Q1) / (Q2 + Q1) / 2 ÷ (P2 - P1) / (P2 + P1) / 2 where Q1 and P1 are the original quantity and price, and Q2 and P2 are the new quantity and price respectively.

To find the elasticity when the price of a good rises from $10 to $15 and the quantity sold decreases from 10,000 to 7,000, we can use this formula as follows:

Elasticity = ((7,000 - 10,000) / ((7,000 + 10,000) / 2)) / ((15 - 10) / ((15 + 10) / 2))

Elasticity = (-3,000 / 8,500) / (5 / 12.5)

Elasticity = -0.35 / 0.4

Elasticity = -0.875

Therefore, the elasticity is -0.875. This means that the good is relatively inelastic, as the percentage change in quantity sold (-30%) is less than the percentage change in price (+50%).

This indicates that the demand for this good is relatively insensitive to changes in price, meaning that consumers are not very responsive to price changes.

To know more about elasticity refer here:

https://brainly.com/question/28786838#

#SPJ11

when a salesperson has been introduced to a sales lead by another customer, that salesperson has been provided a(n) .

Answers

The salesperson has been provided a referral.

A referral is when a customer provides an introduction to another customer who might be interested in the salesperson's services or products.

This is beneficial because it helps the salesperson make a connection with the potential customer and build a relationship from the start.

When a customer provides a referral, it can give the salesperson credibility as the customer is vouching for the salesperson's services or products. This also helps build trust between the salesperson and potential customer as the referral is based on the customer's trust in the salesperson.

It can also open up potential opportunities that may not have been available without the referral. Finally, it can help the salesperson save time and resources that might have been used to find the customer on their own.

To know more about potential customer click on below link:

https://brainly.com/question/988073#

#SPJ11

for the purposes for which they are used, money market securities should have which of the following characteristics? i. low trading costs ii. little price risk iii. high rate of return iv. life greater than one year

Answers

For the purposes for which they are used, money market securities should have low trading costs.

The correct answer is i. low trading costs.

Money market securities are short-term, low-risk investments. In the money market, securities with a maturity of less than one year are traded. As a result, securities with a maturity greater than one year should not be included. Money market securities' primary goal is to provide liquidity to financial markets, as well as to provide investors with a secure place to park their money.


The characteristics that a money market security should have are as follows:1. Little price risk: Money market securities should have very little price risk. This means that they are not vulnerable to significant fluctuations in value, which ensures that investors' principal is preserved.

2. Low trading costs: Money market securities should have low trading costs. This allows investors to enter and exit positions with a minimum of expense.3. Life greater than one year: Securities with a maturity greater than one year should not be included in the money market.4. High rate of return: Money market securities are low-risk investments, which means that they provide lower returns than other types of securities. Investors who are looking for higher returns should look for other types of investments outside of the money market.

Know more about market securities here

https://brainly.com/question/30024697#

#SPJ11

the bookkeeper for company wrote a check for to pay for furnace maintenance. the check was incorrectly recorded in the general journal as . the entry to correct this error would be

Answers

The entry to correct the incorrectly recorded check in the general journal is a debit to Cash and a credit to the expense account that the check was meant to pay.

The entry to correct this error in the general journal would be to debit the account Furnace Maintenance and credit the account Cash for the amount of the check. HTML Version: The entry to correct this error in the general journal would be to debit the account Furnace Maintenance and credit the account Cash for the amount of the check.

Here you can learn more about expense account https://brainly.com/question/26435867

#SPJ11

which option would not help rebecca get the furniture as soon as possible? a) installment loan b) layaway plan c) credit card d) rent-to-own

Answers

The layaway plan under option B is the greatest choice.

Describe the layaway plan ?

Layaway is a term for a deferred payment plan in which the consumer makes deposits or installment payments for goods they intend to buy later. Once the customer makes the initial payment, the retailer reserves, lays away, and stores the item for a predetermined duration.

During these times, the layaway payment plan became a more practical and cost-effective approach to handle pricey items. Customers were able to pay in tiny deposits. The deferred payment plan has been available in significant retail shops for many years and has grown in popularity.

To know about layaway plan visit:

https://brainly.com/question/13397990

#SPJ1

the government safety net creates problem because risk-loving entrepreneurs might find banking an attractive industry. a. an adverse selection b. a revenue c. a moral hazard d. a lemons

Answers

The government safety net creates an optio A. adverse selection problem because risk-loving entrepreneurs might find banking an attractive industry.

What is adverse selection?

Adverse selection is a phenomenon that occurs when one party has more information than the other party in a transaction, and this information asymmetry leads to an unfavorable outcome for the party with less information.

When vendors and/or purchasers have different knowledge about a certain component of a product's quality, this is referred to as adverse selection. So, those who work in hazardous environments or lead high-risk lives are more likely to buy life or disability insurance, knowing that they will likely be able to use it.

Learn more about government at:

https://brainly.com/question/1078669

#SPJ1

complete question;

The government safety net creates ________ problem because risk-loving entrepreneurs might find banking an attractive industry.

the reasons why many new products fail include: multiple select question. too early to market poor packaging too few differences from competitors poor positioning

Answers

Many new products fail because:

poor packaging poor positioning too late to market

There are several reasons why new products fail, and poor packaging, poor positioning, and being too late to market are three common factors. Poor packaging can make it difficult for a product to stand out on the shelf and may not effectively communicate the benefits of the product to consumers. Poor positioning can lead to a product being marketed to the wrong audience or not emphasizing its unique selling points.

Being too late to market means that competitors may have already established a foothold, making it difficult for a new product to gain traction. By addressing these issues through effective marketing strategies and product development, companies can increase their chances of success when launching new products.

Learn more about new products fail https://brainly.com/question/29669041

#SPJ11


Ten thousand people wanted to attend a concert, but the stadium only seats 3,000. Because of the high demand, concert officials increased the price of admission to a point
where only 3,000 people were able to afford the price. Which of the following best relates to the other 7,000 people who were unable to attend the concert:
Limited demand
Price incentives
Price rationing
Excess supply

Answers

It would be an example of price rationing. Since 3000 could only attend, they would have to increase the price to gain a profit from the demand.

poehling medical center has a single operating room that is used by local physicians to perform surgical procedures. the cost of using the operating room is accumulated by each patient procedure and includes the direct materials costs (drugs and medical devices), physician surgical time, and operating room overhead. on january 1 of the current year, the annual operating room overhead is estimated to be: disposable supplies $237,600 depreciation expense 59,500 utilities 25,400 nurse salaries 220,900 technician wages 100,600 total operating room overhead $644,000 the overhead costs will be assigned to procedures, based on the number of surgical room hours. poehling medical center expects to use the operating room an average of eight hours per day, seven days per week. in addition, the operating room will be shut down two weeks per year for general repairs. this information has been collected in the microsoft excel online file. open the spreadsheet, perform the required analysis, and input your answers in the questions below. open spreadsheet determine the predetermined operating room overhead rate for the year. round your answer to the nearest dollar. $fill in the blank 2 per hour bill harris had a five-hour procedure on january 22. how much operating room overhead would be charged to his procedure, using the rate determined in part (a)? round your answer to the nearest dollar. $fill in the blank 3 during january, the operating room was used 220 hours. the actual overhead costs incurred for january were $48,900. determine the overapplied operating overhead or underapplied operating overhead for the period. enter your answer as a positive number. round your answer to the nearest dollar. $fill in the blank 4

Answers

Rounded to the nearest dollar, the underapplied operating overhead for the period is $41,860.

(a) The predetermined operating room overhead rate for the year is calculated as follows:

Total operating room overhead / Expected annual operating room hours

= $644,000 / [(365 days - 2 weeks) x 8 hours per day x 7 days per week]

= $644,000 / (365 - 14) x 8 x 7

= $644,000 / 20,216

= $31.84 per hour

Rounded to the nearest dollar, the predetermined operating room overhead rate for the year is $32 per hour.

(b) The operating room overhead charged to Bill Harris's procedure is:

Operating room overhead rate x Hours of procedure

= $32 per hour x 5 hours

= $160

Rounded to the nearest dollar, the operating room overhead charged to Bill Harris's procedure is $160.

(c) The actual overhead costs incurred for January were $48,900, while the overhead that should have been charged based on actual usage was:

Operating room overhead rate x Actual hours of usage

= $32 per hour x 220 hours

= $7,040

The difference between actual overhead costs and overhead charged based on actual usage is:

Actual overhead costs - Overhead charged based on actual usage

= $48,900 - $7,040

= $41,860

Since actual overhead costs are greater than overhead charged based on actual usage, there is an underapplied operating overhead of $41,860 for the period.

Rounded to the nearest dollar, the underapplied operating overhead for the period is $41,860.

To learn more about overhead costs, refer below:
https://brainly.com/question/29038615

#SPJ11

Activity-based management seeks to maximize ______________ while minimizing _________ of activities

Answers

Activity Based Management is a system of relating and assessing the conditioning carried out by a company.

activity- based management aims to maximize value while minimizing activity costs.

Action- Grounded operation( ABM) is a way of assaying a company's profitability by examining all aspects of its operations to identify strengths and sins. ABM helps operation identify areas of the business that are losing plutocrat so they can be bettered or reduced overall.

This operation system has been proven to reduce waste, better( process) quality, reduce lead times and introduce new products faster. Executives using this frame examine each business process and perform an exertion- grounded cost and value chain analysis to understand its strengths and weaknesses.

To know more about Activity-based management,

brainly.com/question/29352999

#SPJ4

while deciding the type of information-sharing technology that a company will be using for its global network, the company's information system manager should keep in mind that:

Answers

While deciding the type of information-sharing technology that a company will be using for its global network, the company's information system manager should keep in mind several factors, including:

Compatibility: The technology must be compatible with existing systems and software, as well as with the systems and software used by suppliers, customers, and partners.Security: The technology must be secure and able to protect sensitive information from unauthorized access or disclosure.Reliability: The technology must be reliable and available to users at all times, regardless of geographic location.Cost: The cost of the technology must be within the company's budget and provide value for money.Scalability: The technology must be able to scale up or down to accommodate changes in the company's size or global network.User experience: The technology must be user-friendly and easy to use, especially for employees in different locations and with different levels of technical expertise.Flexibility: The technology must be flexible enough to accommodate different business processes and adapt to changing business needs.

Overall, the information system manager should choose a technology that best supports the company's global network and ensures seamless communication and collaboration across different locations and time zones.

Learn more about information-sharing technology at: https://brainly.com/question/27960093

#SPJ11

there exist important trade-offs between value creation and low cost because value creation and cost tend to be multiple choice independent of each other. inversely related. negatively correlated. positively correlated.

Answers

There exist important trade-offs between value creation and low cost because value creation and cost tend to be B: inversely related.

This means that as the level of value creation increases, the cost of producing that value tends to increase as well. Conversely, if a company wants to lower costs, it may need to reduce the level of value it creates.

Finding the right balance between value creation and low cost is essential for companies that want to achieve sustainable competitive advantage. Companies that can deliver high value at a low cost are often able to capture market share and outperform their competitors.

You can learn more about value creation at

https://brainly.com/question/14172103

#SPJ11

suppose the government imposes an excise tax on a good. if the elasticity of supply is 0.57 and the elasticity of demand is -1.52, which party will bear the burden of the tax?

Answers

In this case, the burden of the excise tax imposes of the government will fall on the consumers. This is because the elasticity of demand is -1.52, indicating that the demand for the good is inelastic.

What is the excise tax?

An excise tax is a tax that is imposed on a specific product or service that is being sold by the government. This tax is levied on the production, distribution, and consumption of a particular product, and it is usually in the form of a fixed percentage or a flat fee.

Excise taxes are frequently employed by governments to raise revenue, regulate commerce, or discourage particular practices.

The demand and supply elasticities of the product being taxed will determine who bears the burden of an excise tax. The more elastic the supply or demand, the more likely it is that the burden of the tax will be shifted onto the other party.

In this case, the elasticity of supply is 0.57 and the elasticity of demand is -1.52, the party that will bear the burden of the tax is the consumers, given that the elasticity of demand is greater in magnitude than the elasticity of supply.

Another question about excise tax in https://brainly.com/question/30107077

#SPJ11

Refer to the above diagram, which shows demand and supply conditions in the competitive market for product X. Other things equal, a shift of the supply curve from S0 to S1 might be caused by a(n):
government subsidy per unit of output paid to firms producing X.
increase in the number of firms producing X.
decline in the price of the basic raw material used in producing X.
increase in the wage rates paid to laborers employed in the production of X.

Answers

According to the given graph, a shift of the supply curve from S0 to S1 might be caused by an increase in the wage rates paid to laborers employed in the production of X.

Let's understand how this conclusion was made: The above diagram represents the market for product X. The horizontal axis represents the quantity of product X, while the vertical axis represents the price of product X. The demand curve shows the relationship between the price of the product X and the quantity of X that consumers are willing to buy. It slopes downwards as the price of the product decreases, and the quantity demanded increases. The supply curve shows the relationship between the price of product X and the quantity of X that producers are willing to sell. It slopes upwards as the price of the product increases, and the quantity supplied increases. The point where the supply and demand curve intersects is called equilibrium. It represents the price at which the quantity demanded by the consumer is equal to the quantity supplied by the producer. At equilibrium, there is no shortage or surplus of the product in the market. It is represented by point E in the graph.

Other things being equal, a shift of the supply curve from S0 to S1 might be caused by an increase in the wage rates paid to laborers employed in the production of X. A rise in wage rates will lead to a rise in the cost of production of product X. Hence, firms would need to charge higher prices to cover the higher cost of production. Therefore, the supply curve will shift from S0 to S1.

Learn more about "equilibrium" at https://brainly.com/question/14297698

#SPJ11

markets multiple choice encourage specialization. increase government intervention. support closed economies. create unacceptable prices.

Answers

Markets multiple-choice questions encourage specialization. This statement is valid because markets are essential in allowing people to buy and sell goods and services. These markets bring buyers and sellers together to help them exchange goods and services that meet their needs, preferences, and desires.

Specialization in markets refers to the division of labor in the production process. In this process, different workers specialize in performing specific tasks, which leads to a better allocation of resources and increased productivity. Thus, specialization helps increase efficiency and output in the production process, which helps markets operate more efficiently.

Moreover, markets help to create competition among producers, which leads to the production of quality goods and services at reasonable prices. When firms compete for market share, they are forced to innovate, develop better products, and reduce costs. As a result, this helps to create a better allocation of resources and helps to create acceptable prices.

In conclusion, markets multiple-choice questions encourage specialization, and this helps to increase efficiency in the production process. Specialization leads to the division of labor, which helps to improve productivity and lead to a better allocation of resources. Additionally, markets promote competition among producers, which helps to create quality products at reasonable prices. Therefore, markets play an essential role in economic development, and they encourage economic growth and prosperity.

To know more about division of labor refer here :

https://brainly.com/question/14566068

#SPJ11

Other Questions
which part of the check is used to write the amount in words? imported asset responses a a b b c c e HELP!!!! IM GOING TO FAIL!!! There are as various definitions of research as there are authors of research textbooks (Hussey and Hussey, 1997). Best and Kahn (1993) argue that because some of these definitions are rather abstract, a summary of characteristics of research may help clarify its meaning. For example Thomas & Nelson (1996) point out that research should be:(i) Logical (ii) Systematic (iii) empirical (iv) Emphasizing the development of generalization. Elaborate on each with examples where necessary. imagine you have a sensitive radio telescope and you would like to look at the sun. is it reasonable to expect that you would see it? the country of middleterra has 200 people, 100 of them are working, and the real gdp is $5,000. what is the per capita income in middleterra? you are installing a 1.5 tb hard drive in a computer. what two methods could you use to partition the hard drive? which term defines the distance from rest to crest, or from rest to trough?responsesamplitudeamplitudefrequencyfrequencyperiodperiodspeed a 1-kg rock that weighs 10 n is thrown straight upward at 20 m/s. neglecting air resistance, the net force that acts on it when it is half way to the top of its path is if one were attempting to design a new drug for the treatment of a disease by interfering with enzyme activity in the disease-causing organism, which type of inhibitor would likely be the most effective? A fair six sided die is rolled four times what is the probability that the sequence of rolls is 4256 inevitable, involuntary responses to stimuli that are primarily controlled by circuits located in the spinal cord and brainstem are referred to as . to maintain fluid balance, the average person needs to consume approximately 6 cups of water a day. true or false PLEASE HELP ME SOMEONE its due tomorrow. Was the title appropriate? Why do you think the author chose the title? Connect moments in the story that justify the title. Cite textual evidence from your novel to support. Write 1 full page. lexie's income put her in the third tax bracket (25%) last year. during that year, she earned $250 in dividends and $325 in coupons on a municipal bond. five years ago, she purchased a common stock for $475. she sold the same stock last year for $632. what is the total lexie will pay in taxes on last year's investments? (2 points) when the central bank decides it will sell bonds using open market operations: group of answer choices the money supply is unaffected. interest rates decrease. the money supply decreases. the money supply increases. in the eyes of an average consumer with no knowledge in nutrition, what is the biggest con (or negative) about myplate? if quartz is present in an igneous rock, what composition must it be?group of answer choicesultramaficmaficintermediatefelsic photo effect: the photo emitting electrode in a photo effect experiment has a work function of 3.56 ev. what is the longest wavelength the light can have for a photo current to occur? state the wavelength in nm units if coffee and sugar are complementary goods, then an increase in the price of coffee, other things being equal, will result in