hofburg's standard quantities for 1 unit of product include 2 pounds of materials and 1.5 labor hours. the standard rates are $2 per pound and $7 per hour. the standard overhead rate is $8 per direct labor hour. the total standard cost of hofburg's product is question 22 options: 1) $14.50. 2) $17.00. 3) $22.50. 4) $26.50.

Answers

Answer 1

Because Standard costs can not be known in advance, standard costs are estimates of factual costs in a company's production process. It's choice 4,$26.50.

The company uses literal data analysis or time and stir studies to calculate its standard cost, which is an estimate of the cost of producing the goods and services or maintaining normal operations.

Given

standard overhead rate = $ 8 per direct labor hour

standard rates are$ 2 per pound and$ 7 per hour

1 unit of product 2 pounds of accouterments and1.5 labor hours

standard cost = 2*2 + 8*1.5 +7*1.5

standard cost = 4 +12 +10.50

= $ 26.50.

Therefore, we can say that the standard cost of the product will be $ 26.50.

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Related Questions

what was one way in which max weber opposed positivism?

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Positivism, a school of thought that emerged in the 19th century, believed that only empirical observations and scientific methods could lead to knowledge.


Weber argued that social phenomena cannot be reduced to objective, quantifiable data and that the interpretation of human behavior and culture requires an understanding of the subjective meanings attached to them by individuals. He believed that social scientists should use a combination of objective and subjective methods to study society, including the use of verstehen (empathetic understanding) to gain insight into the subjective experiences of individuals. In this way, Weber rejected the idea that social sciences should be modeled on the natural sciences and instead emphasized the unique nature of human behavior and culture. He emphasized the importance of considering individuals' meanings and intentions behind their actions to understand the complex nature of human society. By promoting this interpretive approach, Weber challenged the positivist notion that scientific methods alone were sufficient in explaining social reality.


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which of the following considerations was not imposed by fdicia in an attempt to increase regulatory discipline? the act gave private accountants a greater role in monitoring a bank's performance. the act required improved accounting standards for banks. the act required an annual on-site examination of every bank. the act forbids the use of brokered deposits. the act produced prompt corrective action capital zones based on observable rules rather than discretion of examiners.

Answers

All of the considerations listed were imposed by the Federal Deposit Insurance Corporation Improvement Act (FDICIA) in an attempt to increase regulatory discipline.

Therefore, none of the options provided is the correct answer to the question.

The FDICIA was passed in 1991 to strengthen the regulatory framework for banks and savings institutions, and to provide greater protection for depositors.

It aimed to enhance regulatory discipline and oversight of financial institutions, and to promote transparency and accountability in the banking system.

The act imposed a number of requirements, including improved accounting standards, on-site examinations, prompt corrective action, and restrictions on the use of brokered deposits.

These measures aimed to promote stability and prevent bank failures, by providing a transparent framework for evaluating and addressing the financial health of banks.

Overall, the FDICIA played an important role in strengthening the regulatory environment for banks, and in promoting greater accountability and transparency in the financial sector.

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When an account receivable that has been written off is subsequently collected, that account receivable must be reinstated and the cash collection recorded.A. True. B. False

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Answer: A. True

Explanation: When an account receivable that has been written off is subsequently collected, the company must reinstate the account receivable and record the cash collection.

The reason for this is that when an account receivable is written off, it is removed from the company's accounts receivable balance and recorded as a bad debt expense. However, if the customer later pays the outstanding balance, the company's assets have increased, and the bad debt expense previously recorded is no longer valid. Therefore, the company must reinstate the account receivable and record the cash collection to accurately reflect the company's financial position.

The statement "When an account receivable that has been written off is subsequently collected, that account receivable must be reinstated and the cash collection recorded." is true.

When an account receivable that has been written off is subsequently collected, that account receivable must be reinstated, and the cash collection recorded.

This is because the initial write-off was made under the assumption that the amount was uncollectible. However, when the payment is received, it demonstrates that the amount was indeed collectible, and the accounting records should reflect this change.


1. Reinstate the written-off account receivable by debiting the accounts receivable account and crediting the allowance for doubtful accounts.
2. Record the cash collection by debiting the cash account and crediting the accounts receivable account.

This process ensures that the financial statements accurately reflect the actual collection of the account receivable and maintain the integrity of the accounting records.

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Scenario: Suppose supply and demand are given by P = 90 - 2Q and P = 10 + 3Q where price is in dollars and quantity is in thousands of units. 4. Refer to Scenario: Suppose the economy is open for trade and the world price is $40. What are the gains from trade? a) $625,000 b) $481,000 c) $265,000 d) $135,000 5. Refer to Scenario: Suppose the economy is open for trade and the world price is $40. What is the deadweight loss of a $10 tariff? a) $101,538 b) $88,900 c) $49,113 d) $41,667

Answers

The answer for gains from trade is -$288,000 and the answer for the deadweight loss of a $10 tariff is  $352,000.

To find the gains from trade, we need to compare the domestic price without trade to the world price.

Setting the two demand equations equal to each other, we can solve for Q:

90 - 2Q = 10 + 3Q

80 = 5Q

Q = 16

Plugging Q back into either the supply or demand equation gives us the domestic price without trade:

P = 90 - 2(16) = 58

Since the world price is $40, the gains from trade are:

(40 - 58) x 16,000 = -$288,000

This negative value means that without trade, the domestic market would have been better off.

To find the deadweight loss of a $10 tariff, we need to first calculate the new domestic price with the tariff:

P = 90 - 2Q + 10 - $10 = 100 - 2Q

Setting this new demand equation equal to the supply equation, we can solve for Q:

100 - 2Q = 90 - 2Q + 10 + 3Q

Q = 10

Plugging Q back into the new demand equation gives us the new domestic price with the tariff:

P = 100 - 2(10) = 80

The deadweight loss is the area of the triangle between the supply curve, the demand curve with the tariff, and the demand curve without the tariff. We can calculate this area as:

(1/2) x (58 - 80) x 16,000 = $352,000

Therefore, the deadweight loss of a $10 tariff is $352,000.

The answer for gains from trade is (a) -$288,000 and the answer for the deadweight loss of a $10 tariff is (c) $352,000.

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The total revenue curve for a monopolist will a. start high, rise, and then decline. b. start high, decline, and then rise. c. start low, decline, and then rise.
d. start low, rise, and then decline.

Answers

The correct answer is a.

The total revenue curve for a monopolist will start high, rise, and then decline. This is because a monopolist has control over the market and can set prices higher, which results in higher revenue. However, as the price continues to rise, the quantity demanded decreases, which leads to a decline in revenue. Therefore, the total revenue curve for a monopolist will have a maximum point where the slope is zero, and after that point, it will decline.

The correct option is (a) start high, rise, and then decline.

The total revenue (TR) is the total amount of money a firm receives from selling its products. For a monopolist, the TR curve is downward sloping, meaning that as the quantity sold increases, the price at which each unit is sold must decrease in order to sell the additional units.

At low levels of output, a monopolist can charge a high price because there are no close substitutes for its product. As the monopolist increases output, however, it must lower the price to attract more buyers, which leads to a decline in the marginal revenue (MR) for each additional unit sold.

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A graduate student has a food budget of $100.00/week. He plans to consume exactly 50 protein units per week. The only two foods he can stand to eat on a regular basis are beans and hamburger. He derives twice as much pleasure per protein unit from eating hamburger as he does from beans.
a. Assume that hamburger costs $3.00 per protein unit and beans cost $1.00 per protein unit. Formulate the student’s diet problem as a linear program. (You can assume he wants to maximize his "total utility" from his diet and that he gets 1 utility points from each protein unit of beans he consumes and 2 utility points from each protein unit of hamburger.) What is the optimal consumption of beans and hamburger in this case?
b. Plot the student’s price-response curve for beans as the price of beans (per protein unit) goes from $0.1 to $2.00, assuming that everything else (including the price of hamburger) stays constant. Note that his individual price-response function is actually upward sloping. This is called the Giffen good effect. What happens when the price of beans exceeds $2.00 per unit?

Answers

Calculating using respective methods we get, a. optimal consumption for the graduate student should be approximately 16.67 protein units from beans and 33.33 protein units from hamburgers. b. the price of beans cannot exceed $2.00 per unit.

a. Let x be the number of protein units consumed from beans, and y be the number of protein units consumed from hamburgers. The objective function to be maximized is 2y + x, representing the total utility derived from the consumption of these foods. The constraints are:

1x + 3y ≤ 100 (total budget constraint)

x + y = 50 (total protein units consumed constraint)

x, y ≥ 0 (non-negativity constraints)

Rewriting the first constraint, we have:

3y ≤ 100 - x

y ≤ (100 - x)/3

The optimal consumption can be found by solving this linear program. Using the third constraint, we can substitute y = 50 - x, and we have:

2(50 - x) + x = 100 - x

3x = 50

x = 16.67

So the graduate student should consume approximately 16.67 protein units from beans and 33.33 protein units from hamburgers.

b. The price-response curve for beans can be plotted by solving the optimization problem for different prices of beans while keeping the price of hamburger constant. Let p be the price of beans per protein unit. Then the budget constraint becomes:

x + 3py ≤ 100

Using the substitution y = 50 - x, we have:

x + 3p(50 - x) ≤ 100

x ≤ 100 - 150p

x ≤ (2/3)(100 - 150p)/p

The optimal consumption of beans at each price p is given by this expression, and the corresponding optimal consumption of hamburger is y = 50 - x. The resulting price-response curve is upward-sloping, which is characteristic of a Giffen good.

If the price of beans exceeds $2.00 per unit, then the budget constraint becomes x + 3(50 - x) > 100, or x < 16.67. This means that the optimal consumption of beans is less than 16.67, which violates the non-negativity constraint for x. Therefore, the price of beans cannot exceed $2.00 per unit in this case.

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you deposit $400 in an account earning 8% interest compounded annually. how much will you have in the account in 20 years?

Answers

The amount you will have $1,619.58 in the account in 20 years.

How we get the value for 20 years?Calculate the future value using the compound interest formula

The formula to calculate the future value (FV) of an investment with compound interest is:

[tex]FV = P x (1 + r/n)^(^n^*^t^)[/tex]

Where:

P is the principal amount (the initial deposit)

r is the annual interest rate (as a decimal)

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

t is the time period (in years)

In this case:

P = $400

r = 8% = 0.08

n = 1 (compounded annually)

t = 20 years

Substituting the values into the formula:

[tex]FV = $400 x (1 + 0.08/1)^(^1^*^2^0^)[/tex]

[tex]FV = $400 x (1.08)^2^0[/tex]

FV = $1,619.58

When you deposit money in an account earning compound interest, your money earns interest not only on the initial amount, but also on the accumulated interest.

This means that the amount of interest earned grows over time, leading to a larger future value.

In this case, the initial deposit of $400 earns interest at a rate of 8% per year, compounded annually.

After 20 years, the interest earned has accumulated to a total of $1,219.58, bringing the total account balance to $1,619.58.

It's important to note that compound interest can help your money grow significantly over time, but it's also important to consider factors like inflation and fees when deciding where to invest your money.

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You buy a government bond for $128 and sell it for $155 one year later. What was your rate of return (interest rate) measured in percentage terms? Round to two decimal places. Do not enter a % sign.
Mutual funds are more risky than individual stocks. True/False
You earn $44683 at your job and must pay 10% of your income in taxes. What is your disposable income? Round to two decimal places.
You earn $49062 at your job and must pay 14% of your income in taxes. You then decide to save 7% of your disposable income. How much do you have left for consumption spending? Round to two decimal places.

Answers

Disposable income would be $40214.70 (44683 - (44683*0.10) = 40214.70). After saving 7% of your disposable income, you would have $33627.66 left for consumption spending (40214.70 * 0.93 = 33627.66).

1. To calculate the rate of return on a government bond, follow these steps:

Step 1: Find the difference in value: $155 - $128 = $27
Step 2: Divide the difference by the initial value: $27 / $128 = 0.2109375
Step 3: Convert to percentage and round to two decimal places: 0.2109375 * 100 = 21.09%

Answer: 21.09

2. False. Mutual funds generally offer diversification and can be less risky than individual stocks, as they invest in a variety of assets.

3. To calculate disposable income, follow these steps:

Step 1: Calculate the taxes owed: $44,683 * 0.10 = $4,468.30
Step 2: Subtract taxes from total income: $44,683 - $4,468.30 = $40,214.70

Answer: $40,214.70

4. To calculate consumption spending, follow these steps:

Step 1: Calculate taxes owed: $49,062 * 0.14 = $6,868.68
Step 2: Subtract taxes from total income to get disposable income: $49,062 - $6,868.68 = $42,193.32
Step 3: Calculate savings: $42,193.32 * 0.07 = $2,953.53
Step 4: Subtract savings from disposable income to get consumption spending: $42,193.32 - $2,953.53 = $39,239.79

Answer: $39,239.79

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the government is proposing switching from a progressive tax system in which families pay 15% of the first $50,000 earned, 25% of the next $50,000 earned, and 35% of any income over $100,000 to a tax system in which every family pays 20% of their income minus $20,000. refer to scenario 21-1. what would libertarians think of the tax two policies? a. they would favor the current progressive policy over the proposed policy because it accounts for diminishing marginal utility. b. they would favor the proposed tax policy over the current progressive policy because it would result in a negative tax for the poorest families. c. they would favor the current progressive tax policy over the proposed policy because it rewards those who work the hardest. d. they would oppose both tax policies because both redistribute income.

Answers

Libertarians would most likely choose option D, which is to oppose both tax policies because both redistribute income. Libertarians believe in minimal government intervention and prefer a flat tax system where everyone pays the same percentage of their income, regardless of how much they earn.

The proposed tax system still redistributes income by taking a portion of each family's income, which goes against the libertarian philosophy. Additionally, the current progressive tax policy is also seen as redistributive, so libertarians would likely oppose it as well. Libertarians would likely think of the two tax policies in Scenario 21-1 as follows: d. they would oppose both tax policies because both redistribute income. Libertarians generally advocate for minimal government intervention and favor policies that promote individual freedom and free markets. Both the current progressive tax policy and the proposed tax policy involve income redistribution, which libertarians typically oppose as it interferes with individual autonomy and free-market principles.

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What is a quota set by a cartel?

Answers

A quota set by a cartel is a limit on the amount of a particular good or service that can be produced or supplied by the member companies of the cartel.

Cartels are formed by businesses in the same industry or market who come together to coordinate their activities and control the supply and price of their products.

By setting a quota, the cartel members can restrict the total supply of the product in the market, which can increase the price and their profits. The quota serves as a means of enforcing the cartel agreement among its members, as each member is assigned a specific production limit and must comply with it.

However, setting a quota can also have negative effects on the market. It can lead to higher prices for consumers, reduced competition, and reduced innovation in the industry. It can also lead to the formation of black markets, where non-members of the cartel may sell the product at a lower price.

Quotas are often used in conjunction with other forms of collusion, such as price-fixing and market allocation, to maintain the power of the cartel and maximize its profits. Despite the potential negative effects on the market, cartels continue to operate in many industries around the world.

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hyde corp.'s cash budget showed total available cash less cash disbursements. what does this amount equal? question 14 options: 1) ending cash balance 2) total cash receipts 3) the excess of available cash over cash disbursements 4) the amount of financing required

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The amount that is obtained when you subtract the cash disbursements from the total available cash is the excess of available cash over cash disbursements.

This excess is essentially the surplus cash that the company has available for investment, repayment of debt or other purposes.

The excess of available cash over cash disbursements is a crucial figure in the cash budget as it indicates the amount of cash that is available to meet the company's short-term financial obligations.



The ending cash balance is the amount of cash that is left over at the end of the budget period. It is the final balance that the company will have after all the cash inflows and outflows have been accounted for.

Total cash receipts, on the other hand, are the total amount of cash that the company has received during the budget period. This figure includes all the sources of cash such as sales revenue, loans, and investments.



Finally, the amount of financing required is the amount of money that the company needs to borrow in order to meet its short-term financial obligations.

This figure is calculated by subtracting the available cash from the total cash disbursements. If the available cash is less than the cash disbursements, then the company will need to borrow money to meet its obligations.



In conclusion, the amount that is obtained when you subtract the cash disbursements from the total available cash is the excess of available cash over cash disbursements.

This figure is important in the cash budget as it indicates the amount of cash that is available to meet the company's short-term financial obligations.

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Alcaide Company purchased factory equipment with an invoice price of $70,000. Other costs incurred were freight costs, $1,400; installation of wiring and foundation, $2,200; material and labour costs in testing equipment, $700; oil lubricants and supplies to be used with equipment, $500; fire insurance policy covering equipment, $1,400. The equipment is estimated to have an $8,000 residual value at the end of its 5-year useful service life. Instructions (a) Calculate the acquisition cost of the equipment. Identify each element of cost clearly. (b) If the double declining-balance method of amortization was used, the constant percentage applied to a declining book value would be /8

Answers

The acquisition cost of the equipment for Alcaide Company can be calculated as follows:
Invoice price: $70,000
Freight costs: $1,400
Installation of wiring and foundation: $2,200
Material and labor costs in testing equipment: $700
Total acquisition cost: $70,000 + $1,400 + $2,200 + $700 = $74,300
Note: The oil lubricants and supplies ($500) and the fire insurance policy ($1,400) are not included in the acquisition cost as they are considered separate expenses.
If the double declining-balance method of amortization was used, the constant percentage applied to a declining book value would be 2 / 5-year useful service life = 40%.

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all of these are consumer-related data that comprise a direct marketing database (such as for a catalog) except which?

Answers

I will first list the different types of consumer-related data that typically comprise a direct marketing database for a catalog. These may include:

Contact information such as name, address, phone number, and email address.Demographic data such as age, gender, income, and education level.Geographic data such as zip code, city, and state.Purchase history, including past orders and products purchased.Behavioral data such as frequency of purchases and response to marketing campaigns.Lifestyle and interest data, such as hobbies, interests, and preferences.

Based on this list, we can conclude that all of these data types are typically included in a direct marketing database for a catalog. Therefore, there is no exception in terms of the data types that would be included.

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A company's CEO is assembling a top-management team. By selecting members who possess different expertise, skills, knowledge, and experience, the CEO is promoting
a. diversity.
b. individualism.
c. groupthink.
d. social loafing.
e. division of labor.

Answers

E. Division of Labor
E. Division of Labor

A new supplier of real wood flooring, Dona Company, has offered Sam Company wood flooring on slightly different terms. Dona Company guarantees that its wood will never arrive damaged since it uses special packaging designed for maximum protection. It charges OMR 34.95 per pack for the flooring. There is an order processing charge of OMR 160 per order, irrespective of the number of packs ordered, and Dona Company takes 7 days to deliver the goods. The average cost of holding one pack of Dona Company real wood flooring for one year is OMR 12. This is because of special packaging takes up additional storage space.

Answers

When considering the offer from Dona Company for real wood flooring, Sam Company must take into account both the advantages and disadvantages of this supplier.

On the positive side, Dona Company guarantees that its wood flooring will never arrive damaged due to the use of special packaging designed for maximum protection. However, the cost of each pack of flooring is OMR 34.95, which is slightly higher than the price from other suppliers. In addition, there is an order processing charge of OMR 160 per order, which could become a disadvantage for small orders. It is important for Sam Company to determine the optimal order size to minimize the impact of this charge. Dona Company takes 7 days to deliver the goods, which may be longer than the lead time offered by other suppliers. Furthermore, the average cost of holding one pack of Dona Company real wood flooring for one year is OMR 12 due to the additional storage space required for the special packaging. Sam Company must consider the cost of holding inventory when making a decision about ordering from Dona Company. Overall, while Dona Company offers a guarantee against damaged goods, Sam Company must weigh the benefits and drawbacks of this supplier and compare them to other available options. The decision to order from Dona Company will depend on factors such as order size, delivery lead time, and inventory holding costs.

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Amerat Company pays employees base on the following table. Mark's sales total OMR 3,900. Calculate his gross pay. Sales OMRO-OMR 500 OMR 501 - OMR 1,000 OMR 1,001 - OMR 2,000 Over OMR 2,000 Commission Rate 5% 6% 7% 8% 3. Hamad worked for 65 hours in one week for Tiwi Company. Hamad earns OMR 4 per hour, for regular 7 hours x 6 days schedule. a. Compute Hamad's gross pay assuming overtime is at time-and-a-half. (Hourly Rate plus Overtime) b. Hamad produced 300 units. The manager offers him to pay OMR 1 per unit. Compute his gross pay. (Straight Piece Rate) c. Which method Hamad prefer? Explain.

Answers

For Mark's sales total of OMR 3,900, we can see that it falls under the "Over OMR 2,000" category in the table provided. Therefore, his commission rate would be 8%. To calculate his gross pay, we can simply multiply his sales total by the commission rate:

Gross pay = 3,900 x 0.08 = OMR 312

Moving on to Hamad's situation, we can calculate his gross pay in the following ways:

a. Hamad worked for a total of 65 hours in one week, which includes 7 hours x 6 days of regular time. This means he worked 11 hours of overtime (65 - 42). His regular pay for 42 hours would be:

42 hours x OMR 4 per hour = OMR 168

For the 11 hours of overtime, he would earn time-and-a-half, which is OMR 6 per hour. So his overtime pay would be:

11 hours x OMR 6 per hour = OMR 66

Therefore, his gross pay for the week would be:

Gross pay = OMR 168 + OMR 66 = OMR 234

b. Hamad produced 300 units and was offered OMR 1 per unit. This is a straight piece rate, so his gross pay would be:

Gross pay = 300 units x OMR 1 per unit = OMR 300

c. Which method Hamad prefers would depend on his personal preference and circumstances. If he values consistency and predictability in his earnings, he may prefer the hourly wage with overtime pay. If he is confident in his productivity and wants to earn more based on his output, he may prefer the straight piece rate. Ultimately, it would be up to him to weigh the pros and cons of each method and decide which one works best for him.

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In the context of the initial developments of the industrial base in the United States, which of the following statements is true about robber barons? Multiple Choice They were unable to take advantage of the economies of scale that were possible with the industrial age They came to dominate industrial sectors that had existed historically They quickly came to dominate new sectors of the economy They ensured that smaller operations were effectively put out of business

Answers

The correct answer is that robber barons quickly came to dominate new sectors of the economy. During the initial developments of the industrial base in the United States, a small group of wealthy and powerful individuals, known as robber barons, emerged and gained control of the nation's economy.

These individuals, such as John D. Rockefeller and Andrew Carnegie, were able to take advantage of the rapid industrialization of the country and amassed great fortunes through their domination of new industries, such as oil and steel.

Robber barons were able to achieve such dominance through a variety of means, including vertical integration, where they controlled all aspects of production from raw materials to final products, and by using their vast resources to undercut smaller competitors.

This led to the consolidation of industries and the formation of monopolies, where one company controlled the entire market for a particular product or service.

While the rise of the robber barons helped to fuel the country's economic growth, it also had negative consequences, such as the exploitation of workers and the stifling of competition. However, it was not until the government intervened with antitrust laws and regulations that the power of the robber barons was curtailed and a more equitable and competitive market was established.

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9. Using the formula for calculating the number of communication channels, how many channels would two people require?
a. 1
b. 2
c. 3
d. 4

Answers

Calculating the number of communication channels two people would require 1 communication channel.

Using the formula for calculating the number of communication channels, the number of channels two people would require can be found as follows:

The formula is: n(n-1)/2, where n represents the number of people.

In this case, n = 2, so the formula becomes:

2(2-1)/2

2(1)/2

2/2

The answer is 1.

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What are project manager responsibilities during the initiation phase?

Answers

During the initiation phase, the project manager is responsible for the groundwork for a successful project by defining the scope, creating a plan, identifying risks, securing resources, assembling a team, and communicating with stakeholders.

These include:

Defining the project scope: The project manager needs to work with the project sponsor and stakeholders to understand the goals and objectives of the project, and define the scope of work that needs to be doneDeveloping the project plan: The project manager needs to create a detailed plan that outlines the tasks, timelines, resources, and budget required for the project.Identifying project risks: The project manager needs to identify any potential risks that could impact the project and develop a plan to mitigate or manage them.Securing project resources: The project manager needs to secure the necessary resources, including people, equipment, and materials, to successfully execute the project plan.Developing the project team: The project manager needs to assemble a team of skilled professionals and create a plan for how they will work together to achieve the project goals.Communicating with stakeholders: The project manager needs to establish communication channels with stakeholders and keep them informed of the project's progress and any issues that arise.


Overall, the project manager's responsibilities during the initiation phase are to lay the groundwork for a successful project by defining the scope, creating a plan, identifying risks, securing resources, assembling a team, and communicating with stakeholders.

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fill in thee blank. if interest rate parity holds and the annual german nominal interest rate is 3 percent and the u.s. annual nominal rate is 5 percent, and real interest rates are 2 percent in both countries, then inflation in germany is about___than in the united states. multiple choice

Answers

If interest rate parity holds and the annual german nominal interest rate is 3 percent and the u.s. annual nominal rate is 5 percent, and real interest rates are 2 percent in both countries, then inflation inflation in Germany is about 2 percent lower than in the United States.

Given that the annual German nominal interest rate is 3 percent and the U.S. annual nominal rate is 5 percent, the difference in nominal interest rates is 2 percent (5% - 3%).

Additionally, real interest rates are 2 percent in both countries. Real interest rate can be calculated as the nominal interest rate minus the inflation rate. Therefore, we can set up the following equations:

German real interest rate: 3% (nominal) - x (inflation) = 2% (real)

U.S. real interest rate: 5% (nominal) - y (inflation) = 2% (real)

Solving for x and y, we find that the inflation rate in Germany is 1 percent, and the inflation rate in the United States is 3 percent. Therefore, inflation in Germany is about 2 percent lower than in the United States.

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Question 1:
Statement 1. The contract of sale is perfected at the moment there is a meeting of minds upon the thing which is the object of the contract and upon the price.
Statement 2. An assignment of credit and other incorporeal rights shall be perfected also at the moment there is a meeting of the minds.
Only Statement 1 is true? Both statements are true? Both statements are false? Only statement 2 is true?
Question 2:
Statement 1. In case the assignor in good faith should have made himself responsible for the solvency of the debtor, and the contracting parties should not have agreed upon the duration of the liability, it shall last for one year only, from the time of the assignment if the period has not expired.
Statement 2. One who sells an inheritance without enumerating the things of which it is composed, shall only be answerable for his character as an heir.
Only Statement 1 is true? Only statement 2 is true? Both statements are true? Both statements are false?

Answers

Both statements are true. The contract of sale is indeed perfected when there is a meeting of minds on the object of the contract and the price, as stated in Statement 1.

Similarly, an assignment of credit and other incorporeal rights is also perfected when there is a meeting of the minds, as stated in Statement 2.

For Question 2:

Only Statement 1 is true. It is provided under Article 1628 of the Civil Code of the Philippines that if the assignor in good faith made himself responsible for the debtor's solvency, and no period was agreed upon, the liability shall last for one year from the time of assignment if the period has not expired. On the other hand, Statement 2 is false because a person who sells an inheritance without enumerating the things of which it is composed is liable for all the debts of the deceased person and not just for his character as an heir.

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Assume that the required reserve ratio is 10 percent. If the central bank wants to increase the money supply by $20 billion, what is the specific open-market operation (type and minimum value) that the central bank needs to conduct?

Answers

Answer:

The central bank needs to conduct an open-market purchase of government securities worth at least $2 billion to increase the money supply by $20 billion, assuming a required reserve ratio of 10 percent.

Explanation:

To increase the money supply by $20 billion, the central bank needs to conduct an open-market purchase of government securities.

The minimum value of the open-market purchase can be calculated using the money multiplier formula:

Money multiplier = 1 / Required reserve ratio

Money multiplier = 1 / 0.1 = 10

The money multiplier tells us the total amount of money that can be created for each dollar of reserves held by banks.

To increase the money supply by $20 billion, the central bank needs to increase reserves by:

Reserve increase = Desired increase in money supply / Money multiplier

Reserve increase = $20 billion / 10 = $2 billion

Therefore, the central bank needs to conduct an open-market purchase of government securities worth at least $2 billion to increase the money supply by $20 billion, assuming a required reserve ratio of 10 percent.

One of the factors that influences an organization's selection of aggregate planning strategy, such as the circumstances in which layoffs are permitted, is _____.
A) flexibility
B) company policy
C) subcontracting

Answers

The factor that influences an organization's selection of aggregate planning strategy, such as the circumstances in which layoffs are permitted, is company policy.

Company policies determine how an organization manages its workforce and resources. These policies may include restrictions on layoffs, limits on the use of subcontracting, or requirements for maintaining a certain level of workforce flexibility. For instance, some companies may have a "no-layoff" policy, which means that they avoid laying off employees as much as possible, even during economic downturns. In such cases, the company may choose to adopt a strategy that focuses on reducing costs by reducing work hours, implementing hiring freezes, or reducing overtime. Understanding the company policy is essential in selecting the right aggregate planning strategy that aligns with the organization's overall objectives.

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which of the following bonds are least subject to reinvestment rate risk? 20-year corporate bonds rated aaa paying 8%. 10-year treasury notes paying 6%. 30-year zero coupon high-yield bonds yielding 10%. municipal bonds with 5 years to maturity paying 4%. 20-year callable corporate bonds paying 8.5%.

Answers

Among the given options, municipal bonds with 5 years to maturity paying 4% are least subject to reinvestment rate risk.

Reinvestment rate risk refers to the uncertainty of future returns when an investor reinvests cash flows received from a bond. This risk is higher for bonds with longer maturities and higher coupon rates, as they have more frequent and larger cash flows to reinvest.

20-year corporate bonds rated AAA paying 8% and 20-year callable corporate bonds paying 8.5% have a longer maturity and higher coupon rates, which increases reinvestment rate risk. 10-year treasury notes paying 6% have a lower risk compared to the corporate bonds, but their maturity is still longer than the municipal bonds. 30-year zero-coupon high-yield bonds yielding 10% also have a high reinvestment rate risk due to their long maturity, even though they do not pay periodic coupons.

In contrast, municipal bonds with 5 years to maturity paying 4% have a shorter maturity period and a lower coupon rate, which means less frequent and smaller cash flows to reinvest. Therefore, these bonds are least subject to reinvestment rate risk among the given options.

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dreyfus is an advertiser looking to drive purchase for his brand's products. which metrics would be best for evaluating his campaign's purchase goals? (select 2)

Answers

Two metrics that would be best for evaluating his campaign's purchase goals are Conversion Rate and Return on Ad Spend.

As an advertiser looking to drive purchase for his brand's products, Dreyfus should focus on metrics that directly measure purchase behavior.

Here are two metrics that would be best for evaluating his campaign's purchase goals:

Conversion Rate: Conversion rate is the percentage of website visitors who take a desired action, such as making a purchase.

This metric is a key indicator of how effective Dreyfus' campaign is at driving purchase behavior. By tracking conversion rate, Dreyfus can see how many people are actually making purchases as a result of his advertising efforts. He can also use this information to optimize his campaigns for maximum conversion rate.

Return on Ad Spend (ROAS): ROAS measures the revenue generated for every dollar spent on advertising. It is calculated by dividing the revenue generated from advertising by the cost of the advertising.

This metric is a great way for Dreyfus to determine the effectiveness of his advertising campaigns. By tracking ROAS, he can see how much revenue is being generated for every dollar he spends on advertising. This information can be used to optimize his advertising campaigns to maximize return on investment.

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adidas own reebok and rockport both of which offer different types of shoes, having a variety of brands allow adidas to used a differencated target

Answers

This approach enables Adidas to address the needs and wants of diverse target groups, such as athletes, casual shoe wearers, and fashion-conscious consumers, thus expanding their market reach and customer base.

Yes, it's true that Adidas owns both Reebok and Rockport, which offer different types of shoes. By having a variety of brands under its umbrella, Adidas is able to target different consumer segments with differentiated product offerings.

For example, Rockport may appeal to a more mature and sophisticated audience looking for comfortable and stylish dress shoes, while Reebok may appeal to a younger and more athletic audience looking for performance-driven sneakers.

And with Target being a major retailer that carries a wide range of brands, it's possible that they may carry both Rockport and Reebok shoes, providing Adidas with additional distribution channels and access to diverse consumer segments.

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Baldwin produces bicycles in a highly competitive market. During the past year, the company has added a 20% markup on the $300 manufacturing cost for one of its most popular models. A new competitor recently entered the market with a competitive model that is priced at $320, seriously eroding Baldwin's market share. Management now desires to use a target-costing approach to remain competitive and is willing to accept a 20% return on sales.
If target costing is used, which of the following choices correctly denotes (1) Baldwin's selling price and (2) Baldwin's target cost?
Selling Price Target Cost
A) $ 360 $ 288 B) $ 360 $ 256 C) $ 320 $ 256 D) $ 320 $ 288 E) None of these answer choices is correct.
Multiple Choice
Option B
Option D
Option C
Option A
Option E

Answers

To determine the correct selling price and target cost, we need to use the given information:

1. Management wants a 20% return on sales.
2. A new competitor has a model priced at $320.

First, we need to find the selling price that would give Baldwin a 20% return on sales:

Selling Price = Competitor's Price / (1 - Return on Sales)
Selling Price = $320 / (1 - 0.20)
Selling Price = $320 / 0.80
Selling Price = $400

Now, we can calculate Baldwin's target cost:

Target Cost = Selling Price - (Selling Price * Return on Sales)
Target Cost = $400 - ($400 * 0.20)
Target Cost = $400 - $80
Target Cost = $320

So, Baldwin's selling price should be $400, and the target cost should be $320.

The correct answer is not among the provided choices. Therefore, the answer is:

Option E (None of these answer choices is correct)

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Unfair competitive advantages occur when:A) one competitor has an advantage others cannot purchase.B) market middlemen are displaced.C) information is equally distributed and transaction costs are low.D) firms are able to gather monopoly profits.

Answers

Unfair competitive advantages occur when one competitor has an advantage that others cannot purchase. This is option A in your question.

For example, if one company has exclusive access to a particular resource or technology that no other company can access, they would have an unfair advantage over their competitors. This can make it difficult for other companies to compete on a level playing field.

Option B, market middlemen being displaced, refers to a situation where intermediaries in the supply chain are eliminated or marginalized. This can happen when a company uses a direct-to-consumer model, for example, cutting out wholesalers or retailers. This is not necessarily an unfair advantage, as it is a legitimate business strategy.

Option C, information being equally distributed and transaction costs being low, is not related to unfair competitive advantages. Rather, it is a condition that would promote fair competition by ensuring that all market participants have access to the same information and can transact with low costs.

Option D, firms being able to gather monopoly profits, refers to a situation where one company has a dominant position in the market and can charge higher prices than competitors. This can be an unfair advantage if the company is using anti-competitive practices to maintain its monopoly, but it is not the only way that unfair advantages can arise.

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if real gross domestic product (gdp) is greater than its equilibrium level, group of answer choices firms accumulate unplanned inventories. firms are not maximizing their profits. planned investment is greater than planned saving. planned consumption is less than actual consumption.

Answers

If real gross domestic product (GDP) is greater than its equilibrium level, the correct answer choice is: firms accumulate unplanned inventories. This occurs because the production of goods and services is higher than the actual demand, causing excess inventory to build up.

If the real gross domestic product (GDP) is greater than its equilibrium level, it means that the economy is producing more goods and services than it needs to satisfy demand. As a result, firms may accumulate unplanned inventories since they are not selling as much as they had anticipated. This can lead to reduced profits and increased costs associated with storing and maintaining excess inventory. Firms may also not be maximizing their profits if the GDP is above its equilibrium level since there may be decreased demand for goods and services. Planned investment may be greater than planned saving in this scenario since firms may be investing in production capacity that is not needed. Planned consumption may also be less than actual consumption since consumers may not be able to absorb all the excess production.

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Assume a positively sloped supply curve and a negatively sloped demand curve. If a frost destroys much of the lemon crop, the total surplus in the lemon market: will increase will decrease will not change may change, but we cannot determine the change without more information

Answers

If a frost destroys much of the lemon crop, the supply of lemons will decrease, causing the supply curve to shift to the left.

This will result in a higher equilibrium price and a lower equilibrium quantity. Since the demand curve is negatively sloped, consumers will be willing to pay a higher price for lemons, but they will also be buying less of them. As a result, the total surplus in the lemon market will decrease. Therefore, the correct answer is: the total surplus in the lemon market will decrease.

If a frost destroys much of the lemon crop, it will result in a decrease in the supply of lemons. With a positively sloped supply curve and a negatively sloped demand curve, this decrease in supply will lead to an increase in the equilibrium price and a decrease in the equilibrium quantity. As a result, the total surplus in the lemon market will decrease.

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