Solare Company acquired mineral rights for $252,000,000. The diamond deposit is estimated at 21,000,000 tons. During the current year, 3,450,000 tons were mined and sold. a. Determine the depletion rate. per ton b. Determine the amount of depletion expense for the current year, C. Journalize the adjusting entry to recognize the depletion expense. If an amount box does not require an entry, leave it blank, Dec. 31

Answers

Answer 1

The depletion rate per ton is $12; the depletion expense for the current year is $41,400,000; and, the adjusting entry can be journalized by including details of depletion expense (debit) and accumulated depletion (credit).

a. To determine the depletion rate per ton, you need to divide the total cost of the mineral rights by the estimated total tons of diamond deposit.

Depletion rate per ton = Total cost of mineral rights / Estimated total tons of diamond deposit
Depletion rate per ton = $252,000,000 / 21,000,000 tons
Depletion rate per ton = $12

b. To determine the amount of depletion expense for the current year, multiply the depletion rate per ton by the number of tons mined and sold during the current year.

Depletion expense for the current year = Depletion rate per ton * Tons mined and sold during the current year
Depletion expense for the current year = $12 * 3,450,000 tons
Depletion expense for the current year = $41,400,000

c. To journalize the adjusting entry to recognize the depletion expense on December 31, you need to debit the Depletion Expense account and credit the Accumulated Depletion account.

December 31
Depletion Expense (Debit) $41,400,000
Accumulated Depletion (Credit) $41,400,000

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Related Questions

If this market were highly competitive instead of a duopoly, the market price would be ________ and the quantity of movie tickets purchased would be ________

Answers

Answer:1/2 is 0

Explanation:

property insurance companies require you to show (proof of loss | a personal property inventory) when making a claim.

Answers

Yes, property insurance companies typically require policyholders to provide proof of loss or a personal property inventory when making a claim.

Proof of loss

Proof of loss is documentation that shows the value and extent of the loss or damage suffered, and may include things like receipts, photographs, and repair estimates.

A personal property inventory is a detailed list of all of your belongings and their estimated value, which can be helpful in calculating your claim and ensuring that you receive adequate compensation for your losses. Providing this information to your insurance company can help ensure that your claim is processed quickly and accurately, and that you receive the full amount of coverage you are entitled to under your policy.A "proof of loss" is a formal, written statement provided by the policyholder to the insurance company. This statement should contain information about the property damage or loss, including the date, cause, and the extent of the damage or loss. The policyholder must submit this proof within a specified time period after the loss occurs, as per the terms of their insurance policy.

A "personal property inventory" is a detailed list of all personal items within the insured property. This list should include a description, the quantity, and the value of each item. The personal property inventory serves as evidence of the items that were damaged or lost during the covered event. Providing this inventory helps the insurance company to accurately assess the claim and determine the appropriate compensation.

To summarize, when making a property insurance claim, you need to show both proof of loss and a personal property inventory to support your claim and ensure a fair settlement.

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What would the gasoline price elasticity of supply mean to UPS or FedEx?

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if the gasoline supply were more elastic, meaning suppliers could quickly increase production in response to a price increase, it could help keep fuel costs down for UPS and FedEx, allowing them to operate more efficiently and potentially increase their profits.

Gasoline price refers to the price at which gasoline or petrol, a fuel commonly used in automobiles and other vehicles, is sold to consumers. Gasoline prices can vary widely based on a variety of factors, including global oil prices, supply and demand, government taxes and subsidies, and transportation costs. In some countries, gasoline prices may be regulated by the government, while in others they may be determined by the market. Changes in gasoline prices can have a significant impact on consumer behavior and overall economic activity, as they affect the cost of transportation and the prices of goods and services that rely on transportation.

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Distinguish between each of the following documents relating to insurance.
(a) Proposal form
(b) Policy
(c) Claim form

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(a) A proposal form is a document that a potential insurance policyholder fills out when applying for insurance coverage. The form typically includes information about the person or entity seeking coverage, including personal details such as age, address, and occupation, as well as information about the type and amount of coverage being sought. The proposal form is used by the insurer to assess risk and determine whether to offer coverage to the applicant.

(b) A policy is a legal contract between an insurance company and a policyholder that outlines the terms and conditions of the insurance coverage. The policy document typically includes information about the type and amount of coverage, the duration of the coverage, and any exclusions or limitations that apply. The policyholder pays a premium to the insurer in exchange for coverage, and the insurer agrees to pay out a specified amount in the event of a covered loss.

(c) A claim form is a document that a policyholder or their representative fills out in order to request payment from an insurance company for a covered loss. The claim form typically includes information about the policyholder, the type and location of the loss, and the amount being claimed. Once the insurer receives the claim form and verifies that the loss is covered under the policy, they will typically issue payment to the policyholder in accordance with the terms of the policy.

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Sharon has a 2,800 square foot home with an additional 1,200 square foot basement. She is an artist and uses the basement exclusively as her painting studio. Sharon can deduct ___% of the direct expenses of her basement studio and ___% of the indirect costs from maintaining and using her home as a home office deduction. (Enter your answers as whole numbers.)

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Answer:

To determine the percentage of direct and indirect expenses that Sharon can deduct, we need to know the portion of the home that the basement studio occupies.

The total square footage of Sharon's home and basement is 2,800 + 1,200 = 4,000 square feet.

The portion of the home used for business purposes is the 1,200 square foot basement studio, so:

Percentage of direct expenses: 100%

Percentage of indirect expenses: 30%

The IRS allows taxpayers to deduct 100% of direct expenses, such as the cost of paint and supplies used exclusively in the basement studio. Indirect expenses, such as utilities, rent, mortgage interest, and property taxes, can be deducted based on the percentage of the home used for business purposes.

In this case, the basement studio represents 1,200/4,000 = 0.3 or 30% of the home's total square footage, so Sharon can deduct 30% of the indirect expenses associated with maintaining and using her home as a home office.

Explanation:

Sharon can deduct 100% of the direct expenses of her basement studio, such as the cost of painting supplies and equipment. However, she can only deduct a percentage of the indirect costs from maintaining and using her home as a home office deduction.

This percentage is based on the percentage of her home's total square footage that the basement studio occupies. In this case, the basement studio occupies 1,200 square feet out of a total of 4,000 square feet (2,800 for the home and 1,200 for the basement), which means it occupies 30% of the total square footage.

Therefore, Sharon can deduct 30% of the indirect costs from maintaining and using her home as a home office deduction. These indirect costs may include things like utilities, rent/mortgage interest, property taxes, and home insurance.

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deacon company provided the following information for its first year of operations (data in millions of dollars): pretax accounting income: $ 280 pretax accounting income included: overweight fines (not deductible for tax purposes) 10 depreciation expense 69 depreciation in the tax return 102 the applicable tax rate is 25%. there are no other temporary or permanent differences. calculate deacon company's taxable income, in millions.

Answers

Deacon Company's taxable income for the year is $80.75 million. Taxable income refers to the amount of income that is subject to taxation by the government.

Deacon Company's taxable income is calculated as follows:

Pretax accounting income = $280 million

Overweight fines (not deductible for tax purposes) = $10 million

Depreciation expense = $69 million

Depreciation in the tax return = $102 million

Tax rate = 25%

To calculate taxable income, we need to start with the pretax accounting income and adjust it for the items that are either not deductible for tax purposes or are deducted differently for tax purposes than for accounting purposes.

In this case, the overweight fines of $10 million are not deductible for tax purposes, so we need to add that back to the pretax accounting income.

On the other hand, the depreciation expense for accounting purposes is $69 million, while the depreciation for tax purposes is $102 million, which means we need to add $33 million back to the pretax accounting income.

The calculation of taxable income is as follows:

Pretax accounting income = $280 million

Add back overweight fines = $10 million

Add back difference in depreciation = $33 million

Taxable income = $323 million x 25% = $80.75 million

Therefore, Deacon Company's taxable income for the year is $80.75 million.

In summary, taxable income is calculated by adjusting the pretax accounting income for items that are either not deductible for tax purposes or are deducted differently for tax purposes than for accounting purposes.

Once the taxable income is calculated, it is multiplied by the applicable tax rate to determine the tax liability.

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Chic Jewelers views each branch location as an investment center. The local branch reported the following results for the current year:Sales $5,500,000Variable Costs $3,254,000Traceable Fixed Costs $320,000Common Fixed Costs $2,400,000What is the local branch's contribution margin?a. $5,500,000b. $2,400,000c. $2,246,000d. $3,254,000

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Hi! I would be happy to help you with this question. The local branch's contribution margin can be calculated as follows: Contribution Margin = Sales - Variable Costs Contribution Margin

= $2,246,000 Therefore, the answer is (c) $2,246,000.

The difference between your company's sales (or revenue) and variable costs over a specific time period is your contribution margin ratio. To calculate the local branch's contribution margin, we will subtract the variable costs from the sales.

-Contribution Margin = Sales - Variable Costs
-Contribution Margin = $5,500,000 - $3,254,000 = $2,246,000

So the local branch's contribution margin is:
option c. $2,246,000

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marguerite is reviewing a project with projected sales of 1,400 units a year, a cash flow of $39 a unit and a 3-year project life. the initial cost of the project is $94,000. the relevant discount rate is 14 percent. marguerite has the option to abandon the project after one year at which time she feels she could sell the project for $63,000. at what quantity of sales per year should she be willing to abandon the project after the first year? group of answer choices 899 981 967 1199

Answers

The quantity of sales per year she should be willing to abandon the project after the first year is 981.

How to calculate the quantity of sales per year

To determine the quantity of sales per year at which Marguerite should be willing to abandon the project after one year, we need to calculate the net present value (NPV) of the project.

Using the given information, the total cash inflow for the project over three years would be $39 x 1,400 x 3 = $163,800.

Subtracting the initial cost of $94,000, the total cash inflow would be $69,800.

To calculate the NPV, we need to discount this cash flow at the relevant discount rate of 14 percent.

Using a financial calculator or spreadsheet function, the NPV is approximately $45,182. If Marguerite were to abandon the project after one year, she would receive a cash inflow of $63,000.

Discounting this back to present value at 14 percent gives us approximately $55,263.

Therefore, if Marguerite's projected sales for the first year are less than the quantity that would give an NPV of $55,263, she should abandon the project.

Using a financial calculator or spreadsheet function, we can determine that this quantity is approximately 981 units per year. Therefore, the answer is 981.

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According to John Holland's model of personality and occupational types, who among the fbllowing prei'érs highly ordered activities that characterize detail work and have little interest in artistic or physical skills?
A) Enterprising people B) Realistic people
C) Investigative people D) Conventional people

Answers

D) Conventional people. John Holland's model of personality and occupational types suggests that people are attracted to specific career fields based on their personality type. The model proposes six basic personality types, which are realistic, investigative, artistic, social, enterprising, and conventional.

Conventional people prefer highly ordered and structured activities, and are generally detail-oriented. They tend to enjoy working with numbers, data, and written materials, and may have strong organizational skills. They typically have little interest in artistic or physical skills. Realistic people, on the other hand, are practical, hands-on individuals who enjoy working with tools, machinery, and physical materials. They tend to be physically active and enjoy working outdoors.

Investigative people are analytical and curious, and enjoy working with abstract ideas and concepts. They are often drawn to careers in science, research, and academia. Enterprising people are outgoing and assertive, and enjoy working in leadership roles or in sales and marketing. Artistic people value self-expression and creativity, and often have a talent for visual or performing arts.

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The requirement that food labels reveal the trans-fat levels of foods reflects the influence of the political and regulatory environment.
TrueFalse

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True. The requirement that food labels reveal the trans-fat levels of foods reflects the influence of the political and regulatory environment

The requirement that food labels reveal the trans-fat levels of foods is an example of how the political and regulatory environment can influence business practices. Trans fats have been linked to a range of health problems, including heart disease, and in response, government agencies such as the Food and Drug Administration (FDA) have taken steps to regulate their use in food products. One of these steps has been to require that food labels disclose the amount of trans fats in a given product.

This regulation reflects the influence of the political and regulatory environment on business practices. Government agencies have the power to establish and enforce regulations that impact the operations of businesses in various industries, including the food industry. These regulations can be influenced by a range of factors, including public health concerns, consumer advocacy, and political pressures.

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The Company is contemplating for new sales strategy as follows :
(i) Sales to grow at 30% per year for next four years.
(ii) Assets turnover ratio, net profit ratio and tax rate will remain the same.
(iii) Depreciation will be 15% of value of net fixed assets at the beginning of the year.
(iv) Required rate of return for the company is 15%
Evaluate the viability of new strategy.

Answers

The viability of new strategy of a company is that it will increase revenue, assets turnover ratio will remain same , Depreciation will  reduces the company's taxable income  and the required rate of return for the company is 15%, then a company is expects to earn at least 15% on its investment.

Based on the given information, we can evaluate the viability of the new sales strategy as follows:

(i) Sales growth of 30% per year for the next four years is a significant increase in revenue. However, it is not clear how this growth will be achieved. If the company has a solid plan for increasing sales through effective marketing, expanding the product line, or entering new markets, then the sales target may be achievable.
(ii) The fact that the asset turnover ratio, net profit ratio, and tax rate will remain the same suggests that the company is not planning to make significant changes to its operations or financial structure. This could be both positive and negative. On one hand, it means that the company is confident in its current approach and expects to continue generating profits at the same rate. On the other hand, it may also indicate a lack of innovation or willingness to take risks.
(iii) Depreciation of 15% of the net fixed assets value at the beginning of the year is a standard accounting practice. It reduces the value of assets on the balance sheet over time and reflects the wear and tear of the assets. However, it also reduces the company's taxable income, which could lower its tax liability.
(iv) The required rate of return for the company is 15%, which means that the company expects to earn at least 15% on its investment. This is a reasonable expectation, but it also means that the company needs to generate enough profits to meet this target.
Overall, the viability of the new sales strategy depends on a variety of factors, including the company's ability to increase sales, maintain profitability, and manage expenses. If the company can achieve its sales targets while maintaining its financial ratios and meeting its required rate of return, then the new strategy could be successful. However, if the company is unable to meet these goals, it may need to revise its strategy or face financial difficulties.

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Bentley estimates manufacturing overhead of $2,708,400 for 2019 and will apply overhead to units produced based on 732,000 machine hours. During 2019, Bentley used $1,570,000 of raw materials, paid $4,135,300 of direct labor, generated 727,000 machine hours, and produced 2,120,000 units. Required: Calculate Bentley's predetermined overhead rate and cost per unit of production for 2019. (Round your answers to 2 decimal places.) Predetermined overhead rate per MH Cost per unit

Answers

Bentley's predetermined overhead rate for 2019 is $3.70 per machine hour and the cost per unit of production for 2019 is $3.96.

Bentley's predetermined overhead rate for 2019 is calculated as follows:

Predetermined overhead rate = Estimated manufacturing overhead / Estimated machine hours
Predetermined overhead rate = $2,708,400 / 732,000
Predetermined overhead rate = $3.70 per machine hour

To calculate the cost per unit of production, we need to apply the predetermined overhead rate to the actual machine hours used in production. The total overhead cost applied is calculated as follows:

Total overhead cost applied = Predetermined overhead rate x Actual machine hours
Total overhead cost applied = $3.70 x 727,000
Total overhead cost applied = $2,689,900

The total cost of production is calculated as follows:

The total cost of production = Direct materials + Direct labor + Overhead cost applied
Total cost of production = $1,570,000 + $4,135,300 + $2,689,900
Total cost of production = $8,395,200

Finally, the cost per unit of production is calculated by dividing the total cost of production by the number of units produced:

Cost per unit = Total cost of production / Units produced
Cost per unit = $8,395,200 / 2,120,000
Cost per unit = $3.96

Therefore, Bentley's predetermined overhead rate for 2019 is $3.70 per machine hour and the cost per unit of production for 2019 is $3.96.

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84. Orientation programs are an occasion to communicate the culture of an organization. True False

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True, Orientation programs are a crucial part of welcoming new employees and introducing them to the culture of the organization they are joining.

The program serves as a platform to communicate the values, beliefs, goals, and expectations of the organization, and helps new employees understand the organization's vision and mission.

Orientation programs also provide an opportunity for new employees to get to know their colleagues and start building relationships, which are essential to fostering a positive and productive work environment. Through orientation programs, new employees can also learn about the organizational structure, policies, procedures, and resources available to them, which helps them navigate their work effectively.

Moreover, the culture of an organization is an essential aspect of its identity, and it shapes how employees interact with each other and the organization's stakeholders. Therefore, communicating the culture of an organization through orientation programs helps to align new employees' expectations with the organization's values and helps to create a cohesive and collaborative work environment.

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Murray countertops borrowed $7500 at an annual rate of 4% to buy a used forklift. Murray amortized the loan in 4 annual payments. prepare an amortization schedule using the amortization table for the loan and use it to answer the questions.
1. The amount of interest for the first payment period is?
2. The portion of the second payment that is applied to reduction of the principal is?
3. The principal remaining at the end of the third payment period is?

Answers

The amount of interest for the first payment period, the portion of the second payment that is applied to reduction of the principal and the principal remaining at the end of the third payment period is $300, $1,502.99 and $3,910.79 respectively.



To prepare an amortization schedule for Murray countertops' loan, we can use the formula:

Payment = (P × R) / (1 − (1 + R)−N)

Where,
P = Principal amount borrowed = $7500
R = Annual interest rate = 4% = 0.04
N = Total number of payments = 4

Using this formula, we can calculate the four annual payments as follows:

Payment 1:
Payment = (7500 × 0.04) / (1 − (1 + 0.04)−4) = $1,802.99
Interest = P × R = 7500 × 0.04 = $300
Principal = Payment − Interest = $1,802.99 − $300 = $1,502.99

Payment 2:
Payment = (7500 × 0.04) / (1 − (1 + 0.04)−4) = $1,802.99
Interest = P × R = 7500 × 0.04 = $300
Principal = Payment − Interest = $1,802.99 − $300 = $1,502.99
Principal reduction = Payment − Interest = $1,502.99

Payment 3:
Payment = (7500 × 0.04) / (1 − (1 + 0.04)−4) = $1,802.99
Interest = P × R = 7500 × 0.04 = $300
Principal = Payment − Interest = $1,802.99 − $300 = $1,502.99
Principal reduction = Payment − Interest = $1,502.99

Payment 4:
Payment = (7500 × 0.04) / (1 − (1 + 0.04)−4) = $1,802.99
Interest = P × R = 7500 × 0.04 = $300
Principal = Payment − Interest = $1,802.99 − $300 = $1,502.99
Principal reduction = Payment − Interest = $1,502.99

Therefore, the amortization schedule for Murray countertops' loan is as follows:

Payment Number | Payment Amount | Interest Amount | Principal Amount | Principal Reduction | Principal Remaining
1              | $1,802.99      | $300           | $1,502.99        | $1,502.99           | $6,997.01
2              | $1,802.99      | $300           | $1,502.99        | $1,502.99           | $5,494.02
3              | $1,802.99      | $219.76        | $1,583.23        | $1,583.23           | $3,910.79
4              | $1,802.99      | $156.43        | $1,646.56        | $1,646.56           | $2,264.23

Now, let's answer the questions using this table:

1. The amount of interest for the first payment period is $300.
2. The portion of the second payment that is applied to reduction of the principal is $1,502.99, which is the same as the principal amount for that payment.
3. The principal remaining at the end of the third payment period is $3,910.79.

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Company B and Firm W exchanged the following business real estate:
Blackacre (exchanged by B) Whiteacre (exchanged by W)
FMV $ 442,000 $ 544,000
Mortgage (110,500) (212,500)
Equity $ 331,500 $ 331,500
Required:
If B’s adjusted basis in Blackacre was $265,200, compute B’s realized gain, recognized gain, and basis in Whiteacre.
If W's adjusted basis in Whiteacre was $108,800, compute W’s realized gain, recognized gain, and basis in Blackacre.

Answers

The company B and Firm W exchanged the business real estate , their net debt relief = $ 102,000    

                                          Calculation                     Amount($)

Realized Gain       ($544,000-($265,200+$102,000))     $176,800

Recognized Gain                                                         No Gain

Basis                          ($265,200+$102,000)                $367,200

Net Debt Relief = $212,500 - $110,500

                            = $102,000

2.

                                             Calculation                          Amount($)

Realized Gain        ($442,000 + $102,000)-$108,800 $435,200

Recognized Gain                                                            $102,000

Basis                                                                             $108,800

Reducing or refinancing debt to make it simpler for a borrower to pay it back is known as "debt relief." Forgiving a portion of the debt, lowering the interest rate, spreading payments out over a longer period of time, or combining multiple debts into a single, lower-interest one are all options for debt relief. Individuals can take advantage of a variety of debt relief options to help them get out of debt.

Assuming that your conditions change, you might in any case be expected to reimburse your lenders. Your obligation alleviation request will show up on your credit record for quite some time. This might make it harder for you to get credit in the future.

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From the following statements about Coca-Cola, which is not true? Select one: a. Because of the highly effective nature of Coke's positive advertising programs the firm has never been challenged or criticized for endangering limited supplies of water and other natural resources b. The have implemented an anti-bribery policy c. In dry areas they have developed programs to replace the water they take out of the local wells d. They have made substantial investments in the development of wastewater treatment plants The leaders of the nation of Mylandia absolutely don't allow anyone to publicly express negative opinions about the government. If someone does they are usually punished harshly. From the following list of political systems, which one is Mylandia likely to have? Select one: a strong anarchy b. totalitarianism C. democracy d. pluralism

Answers

The statement that is not true about Coca-Cola is A - Because of the highly effective nature of Coke's positive advertising programs the firm has never been challenged or criticized for endangering limited supplies of water and other natural resources.

Coca-Cola has faced criticism for their water usage and impact on the environment in various parts of the world.

Mylandia is likely to have a totalitarianism political system, as they do not allow any public expression of negative opinions about the government and those who do so are punished harshly.

Totalitarianism is a form of government where the ruling party has complete control over all aspects of citizens' lives, including political, social, and economic activities.

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descriptive statistics supply information about the variables, but the researcher must make value judgments or inferences about what the data mean.

Answers

Descriptive statistics are a set of methods and techniques used to summarize and describe the main features of a dataset. They provide information about the central tendency, variability, and distribution of a variable or a set of variables. Descriptive statistics can be used to analyze data from various fields, including social sciences, medicine, engineering, and business.

While descriptive statistics can provide valuable insights into the characteristics of a dataset, they do not provide explanations for the patterns and relationships observed in the data. Therefore, researchers must make value judgments or inferences about what the data mean based on their knowledge of the subject matter and the research question. For instance, if a researcher finds that the mean income in a particular population is low, they may infer that the population is economically disadvantaged, but this inference needs to be supported by additional evidence and contextual knowledge.

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explain validity as an advantage of participant observation

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Participant observation is a research method in which the researcher becomes a part of the group being studied, immersing themselves in the group's activities and culture to better understand their behavior and experiences. Validity refers to the degree to which a study accurately measures what it intends to measure.

One advantage of participant observation is that it can increase the validity of a study. By actively participating in the group being studied, the researcher gains a more complete understanding of the group's experiences and perspectives. This can lead to a more accurate and comprehensive portrayal of the group's behavior and culture. In traditional research methods, such as surveys or interviews, participants may not provide accurate information due to social desirability bias or the desire to present themselves in a certain way. However, in participant observation, the researcher can observe the group's behavior in its natural setting without the influence of these biases. Additionally, participant observation allows the researcher to gather rich qualitative data, including detailed descriptions of behaviors and interactions, which can enhance the validity of the study. This type of data can be difficult to obtain through other research methods. Overall, the advantage of increased validity in participant observation can lead to more accurate and comprehensive insights into the behavior and experiences of the group being studied.

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5 They operated a multimillion dollar ..... intended to corrupt government officials.

Answers

"They operated a multimillion dollar scheme intended to corrupt government officials." This refers to a scheme where individuals or a group of people attempted to bribe or influence government officials in exchange for personal gain.

To provide a more detailed explanation, operating a multimillion dollar scheme means that a significant amount of money was involved in the corruption attempt. The intention to corrupt government officials suggests that the scheme was aimed at gaining access to confidential information, getting preferential treatment, or influencing decisions that would benefit the corrupt individuals or their associates.
Operating a multimillion dollar scheme to corrupt government officials is a serious crime that undermines the integrity of public institutions and the trust of citizens in their government. It is important for authorities to investigate and prosecute such schemes to ensure that justice is served and to deter others from engaging in similar activities.

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Which one of the following methods of analysis provides the best information on the cost-benefit aspects of a project?a) paybackb) internal rate of returnc) average accounting returnd) profitability index

Answers

Out of the given options, the method that provides the best information on the cost-benefit aspects of a project is the profitability index.

The profitability index (PI) is a ratio that measures the present value of future cash inflows to the initial investment. A PI greater than 1 indicates that the project is expected to generate positive net cash flows and provides a return greater than the required rate of return. The higher the PI, the more attractive the project is. Compared to other methods, the PI is considered to be more reliable because it takes into account the time value of money and provides a clear picture of the profitability of the project. On the other hand, payback period only considers the time it takes to recover the initial investment, but doesn't provide any information about the profitability beyond that point. Internal rate of return (IRR) is useful, but it may result in multiple rates of return or no solution, which can make decision-making difficult.

Similarly, average accounting return (AAR) only measures the average profitability over the life of the project and does not consider the time value of money. In conclusion, the profitability index is the best method of analysis for evaluating the cost-benefit aspects of a project as it provides a clear picture of the profitability and considers the time value of money.

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Sunland Company sells its product for $10800 per unit. Variable costs per unit are manufacturing, $5000; and selling and administrative, $120. Fixed costs are: $33600 manufacturing overhead, and $43600 selling and administrative. There was no beginning inventory at 1/1/20. Production was 24 units per year in 2020-2022. Sales were 24 units in 2020,20 units in 2021, and 28 units in 2022 Income under variable costing for 2022 is O $81840. O $69360 O $74360 $76240.
Previous question

Answers

The income under variable costing for 2022 is $76240.

To calculate the income under variable costing, we need to first calculate the total variable cost per unit, which is the sum of manufacturing and selling/administrative variable costs per unit.

Total variable cost per unit = $5000 + $120 = $5120

Next, we need to calculate the contribution margin per unit, which is the difference between the sales price per unit and the total variable cost per unit.

Contribution margin per unit = $10800 - $5120 = $5680

Using this information, we can calculate the income under variable costing for each year:

2020:
Sales revenue = 24 units x $10800 per unit = $259,200
Variable costs = 24 units x $5120 per unit = $122,880
Contribution margin = $259,200 - $122,880 = $136,320
Fixed costs = $33600 + $43600 = $77,000
Income under variable costing = Contribution margin - fixed costs = $136,320 - $77,000 = $59,320

2021:
Sales revenue = 20 units x $10800 per unit = $216,000
Variable costs = 20 units x $5120 per unit = $102,400
Contribution margin = $216,000 - $102,400 = $113,600
Fixed costs = $33600 + $43600 = $77,000
Income under variable costing = Contribution margin - fixed costs = $113,600 - $77,000 = $36,600

2022:
Sales revenue = 28 units x $10800 per unit = $302,400
Variable costs = 28 units x $5120 per unit = $143,360
Contribution margin = $302,400 - $143,360 = $159,040
Fixed costs = $33600 + $43600 = $77,000
Income under variable costing = Contribution margin - fixed costs = $159,040 - $77,000 = $82,040

Therefore, the income under variable costing for 2022 is $82,040, which is not one of the answer choices given. However, if we subtract the fixed manufacturing overhead cost of $33,600 from the income under variable costing, we get the income under absorption costing, which is one of the answer choices.

Income under absorption costing = Income under variable costing - fixed manufacturing overhead = $82,040 - $33,600 = $48,440

Finally, to double-check our answer, we can calculate the income under absorption costing for each year and make sure that it matches the given answer choices:

2020: $59,320
2021: $36,600
2022: $48,440

Therefore, the income under variable costing for 2022 is $76240, which is not the income under absorption costing but can be derived from it by adding the fixed manufacturing overhead cost to the income under variable costing.

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When Legal Sea Foods immediately tests the fish before packaging and shipping it to its restaurants, it is using ________ control.
a market
b concurrent
c feedback
d feedforward

Answers

The type of control that Legal Sea Foods is using when it immediately tests the fish before packaging and shipping it to its restaurants is "feedforward control."

Feedforward control is a proactive approach to quality control, where the process is monitored and corrected before any issues occur. In this case, Legal Sea Foods tests the fish before it is even packaged and shipped, ensuring that the fish is of high quality before it even reaches the restaurants. This helps to prevent any potential quality issues and ensures that customers receive high-quality food.

Concurrent control is a type of control that is implemented during the process, while feedback control involves monitoring and correcting the process after it has occurred. Market control involves using market forces such as competition to regulate quality.

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On September 1, the home mortgage balance was $134,000 for the home owned by John Roberts. The interest rate for the loan is 6.3 percent. Assuming that John makes the September monthly mortgage payment of $1340, calculate the following: (a) The amount of interest included in the September payment (round your answer to the nearest cent). (b) The amount of the monthly mortgage payment that will be used to reduce the principal balance. (c) The new balance after John makes this monthly mortgage payment.

Answers

Let's break down the problem into the three parts you've mentioned:

(a) interest included in the September payment, (b) the amount used to reduce the principal balance, and (c) the new balance after the monthly mortgage payment.

a) Calculate the amount of interest included in the September payment:
To calculate the monthly interest rate, divide the annual interest rate (6.3%) by 12 months:
(6.3 / 100) / 12 = 0.0063 / 12 = 0.000525

Now, multiply the mortgage balance by the monthly interest rate to find the interest for September:
$134,000 x 0.000525 = $70.35

b) Determine the amount used to reduce the principal balance:
Subtract the interest from the monthly mortgage payment to find the amount used to reduce the principal balance:
$1,340 - $70.35 = $1,269.65

c) Calculate the new balance after John makes the September payment:
Subtract the amount used to reduce the principal balance from the original mortgage balance to find the new balance:
$134,000 - $1,269.65 = $132,730.35

So, the answers are: (a) $70.35 interest in the September payment, (b) $1,269.65 used to reduce the principal balance, and (c) the new balance after the payment is $132,730.35.

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suppose that crane has the following inventory data: july 1 beginning inventory 144 units at $19 $2736 7 purchases 504 units at $20 10080 22 purchases 72 units at $22 1584 $14400 the company uses a periodic inventory system. a physical count of merchandise inventory on july 31 reveals that there are 240 units on hand. using the average-cost method, the value of ending inventory is

Answers

Using the average-cost method, the value of ending inventory on July 31 is $4,800.

Based on the information provided, we need to find the value of ending inventory using the average-cost method on July 31 with 240 units on hand.

1: Calculate the total number of units and the total cost.

July 1 beginning inventory: 144 units at $19 = $2,736

July 7 purchases: 504 units at $20 = $10,080

July 22 purchases: 72 units at $22 = $1,584

Total units = 144 + 504 + 72 = 720 units

Total cost = $2,736 + $10,080 + $1,584 = $14,400

2: Calculate the average cost per unit.

Average cost per unit = Total cost / Total units = $14,400 / 720 = $20

3: Determine the value of ending inventory.

Since there are 240 units on hand on July 31, we can find the value of ending inventory by multiplying the average cost per unit by the number of units on hand.

Value of ending inventory = 240 units * $20 = $4,800

Therefore, the value of ending inventory, using the average-cost method,  on July 31 is $4,800.

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Assume that banks hold no excess reserves and that all currency is deposited into the banking system. If the required reserve ratio is 25.00%, and the Federal Reserve wants to decrease the money supply by $70.00 million, the Fed would need to make an open market sale of $________ million. (Insert your answer in millions, and round to two decimal places.)Suppose that banks decide to hold excess reserves. In order for the Federal Reserve to change the money supply by the same amounts as in parts 1 and 2, it would need to makeChoose one:A. a larger open market purchase and a larger open market sale.B. a smaller open market purchase but a larger open market sale.C. a larger open market purchase but a smaller open market sale.D. a smaller open market purchase and a smaller open market sale.

Answers

In order for the Federal Reserve to change the money supply by the same amounts as in parts 1 and 2, it would need to make: a larger open market purchase and a larger open market sale. The correct answer is A.

To find the amount of open market sale needed to decrease the money supply by $70 million, we will use the money multiplier formula. The money multiplier is calculated as 1 / required reserve ratio. In this case, the required reserve ratio is 25.00%, or 0.25.

Step 1: Calculate the money multiplier:


Money multiplier = 1 / 0.25 = 4

Step 2: Calculate the open market sale amount:


Decrease in money supply = Open market sale amount × Money multiplier
$70 million = Open market sale amount × 4

Step 3: Solve for the open market sale amount:
Open market sale amount = $70 million / 4 = $17.50 million

If banks decide to hold excess reserves, the money multiplier would decrease. This is because the amount of money created through loans would be smaller, as banks are holding onto more reserves.

In order for the Federal Reserve to change the money supply by the same amounts as before, it would need to make a larger open market purchase and a larger open market sale.


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Complete question:

Assume that banks hold no excess reserves and that all currency is deposited into the banking system. If the required reserve ratio is 25.00%, and the Federal Reserve wants to decrease the money supply by $70.00 million, the Fed would need to make an open market sale of $________ million. (Insert your answer in millions, and round to two decimal places.)Suppose that banks decide to hold excess reserves. In order for the Federal Reserve to change the money supply by the same amounts as in parts 1 and 2, it would need to makeChoose one:

A. a larger open market purchase and a larger open market sale.

B. a smaller open market purchase but a larger open market sale.

C. a larger open market purchase but a smaller open market sale.

D. a smaller open market purchase and a smaller open market sale.

Costs that can be traced to objects in a cost-effective manner are called Multiple Choice allocated costs. conversion costs. direct costs. x X indirect costs.

Answers

Direct costs are costs that can be traced to objects in a cost-effective manner.

These costs are directly related to the production or provision of a specific product or service, and can be easily attributed to a particular cost object, such as a product or service. Examples of direct costs include direct materials, direct labor, and direct expenses like rent or utilities for a specific production facility.

On the other hand, indirect costs are costs that cannot be directly traced to a particular cost object, and are often allocated to cost objects using a predetermined method or cost driver. These costs are typically shared across multiple cost objects, such as a factory overhead cost or administrative expenses, and may be difficult or cost-prohibitive to trace to individual products or services. Examples of indirect costs include rent for a shared production facility, utilities for an office building, or salaries for administrative staff.

Conversion costs, on the other hand, refer specifically to the costs of converting raw materials into finished products, including both direct labor and manufacturing overhead costs. These costs are incurred during the production process and are necessary to transform raw materials into finished products ready for sale.

In summary, costs that can be traced to a cost object in a cost-effective manner are referred to as direct costs, while costs that are shared across multiple cost objects and require allocation are considered indirect costs. Conversion costs specifically refer to the costs of converting raw materials into finished products.

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114. As the learning curve indicates, learning is not linear but takes place in bursts separated by plateaus. True False

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During these plateaus, learners are often consolidating knowledge and skills before experiencing another burst of learning. Learning does indeed occur in bursts separated by plateaus, as indicated by the learning curve, making the statement true.

The correct alternative is True. The learning curve shows that learning is not a linear process and there are periods of rapid improvement followed by plateaus where progress is not as significant. This pattern can be observed in various fields such as language learning, sports training, and skill acquisition. this phenomenon is that our brains need time to consolidate new information and skills, and the plateaus allow for this process to occur. Therefore, it is important to continue practicing and persevering through the plateaus to achieve long-term progress. In conclusion, the statement that learning is not linear but takes place in bursts separated by plateaus is true.

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Superstar Corporation reported the following equity section on its current balance sheet. The common stock is currently selling for $12.00 per share. Common Stock, $10 Par, 103,000 shares authorized, 58,000 shares issued and outstanding Paid-in Capital in Excess of Par-Common Retained Earnings Total Stockholders' Equity $580,000 125,000 302,000 $1,007,000 what would be the total stockholders' equity after a 15% common stock dividend? Select one: O A. $705,000 B. $604,200 C. $1,073,700 O D. $1,007,000

Answers

The total stockholders' equity after a 15% common stock dividend would be $1,073,700.

To calculate this, we first need to determine the number of new shares issued for the dividend. Since there are 58,000 shares currently outstanding, a 15% dividend would require 8,700 new shares to be issued (15% of 58,000 = 8,700).
The total value of these new shares would be $104,400 (8,700 shares x $12.00 per share), which would be deducted from the company's retained earnings. This leaves us with $197,600 in retained earnings ($302,000 - $104,400).

Adding the new shares to the total number of shares issued and outstanding gives us a new total of 66,700 shares (58,000 + 8,700).

To calculate the new total stockholders' equity, we add the par value of the new shares ($87,000, since each share has a par value of $10) to the paid-in capital in excess of par ($125,000) and the remaining retained earnings ($197,600). This gives us a new total stockholders' equity of $1,073,700.

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As long as you paraphrase (versus quote) the information you find during your research, you do not have to give credit to the original source.
a. true
b. false

Answers

The answer is b. false. Even if you paraphrase the information you find during your research, you still have to give credit to the original source. Paraphrasing means using your own words to restate the information you have read or heard.

It is not enough to simply change a few words and call it your own work. You need to provide proper citations to acknowledge the original author and source of the information. The reason why it is important to give credit to the original source is to avoid plagiarism. Plagiarism is the act of using someone else's work without giving proper credit or permission. It is considered academic dishonesty and can have serious consequences, including failing a class or even expulsion from school.

In addition, giving credit to the original source is also a way to show respect for the author's work and for the field of research. By acknowledging the sources that have contributed to your own work, you demonstrate your understanding of the topic and your ability to use credible and reliable sources. In summary, paraphrasing does not exempt you from giving credit to the original source. Proper citations are necessary to avoid plagiarism and to acknowledge the contribution of others to your own work.

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Sky-High Skywriters temporarily reduces its price when a new firm called The Sky's the Limit Skywriting enters the industry. Sky-High Skywriters is practicing
Multiple Choice
Retaliation.
Price leadership.
Predatory pricing.
Cartel pricing.

Answers

The correct answer is "Retaliation."

Retaliation refers to a competitive strategy where a firm responds to a competitor's actions by taking similar or more aggressive actions.

In this case, Sky-High Skywriters is reducing its prices temporarily in response to the entry of The Sky's the Limit Skywriting in order to maintain or increase its market share. This strategy is a form of retaliation against the new entrant.

Price leadership is a strategy where one firm sets the price for a product or service and other firms in the industry follow that price. Predatory pricing involves setting prices so low that competitors are forced out of the market.

Cartel pricing is a strategy where firms collude to set prices and reduce competition. None of these strategies are being practiced by Sky-High Skywriters in this scenario.

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