Which of the following correctly pairs the levels of the federal court system with the types of cases each decides?a) U.S. Supreme Court - trials; U.S. Circuit Court - appealsb) U.S. Supreme Court - appeals; U.S. Circuit Court - trialsc) U.S. Circuit Court - appeals; U.S. District Court - trialsd) U.S. Circuit Court - trials; U.S. District Court - trials
Answer:
its D
Explanation:
U.S. Circuit Court – trials; U.S. District Court – trials is the correct pair that states about the levels of the federal court system with the types of cases each court decides. Therefore, the option D holds true.
What is the significance of the Court System?The court system can be referred to or considered as a system which deals with the matters related to judicial justice to the citizens of the United States of America, and the cases that fall under its individual jurisdiction.
There are a number of courts in the federal court system. Some courts like the US circuit court and the District Court entertains only trials; whereas, the Supreme Court deals with trials as well as appeals.
Therefore, the option D holds true regarding the significance of the Court System.
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Last year Ellen received $75,000 in compensation from her employer who also agreed to pay her Social Security taxes of $4,650 and Medicare taxes of $1,088 without deducting them from her wages. Based solely on these facts, what amount must Ellen include in her income
Answer:
Ellen's AGI = $80,738
Explanation:
Since Ellen's employer paid for her share of FICA taxes, we could consider them as taxable fringe benefits. As such, they must be included in Ellen's AGI for the current in order to determine her total taxable income = salary + social security taxes + medicare taxes = $75,000 + $4,650 + $1,088 = $80,738
The amount Ellen must include in her income is $80,738.
Data and Calculations:
Annual employment compensation = $75,000
Social security taxes paid by employer = $4,650
Medicare taxes paid by employer = $1,088
Thus, the amount Ellen must include in her income is $80,738 ($75,000 + $4,650 + $1,088).
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Finding out how a product or service will do in a certain market is an example of this use of market research: identify if communications are effective identify if customer needs are being met identify threats and investigate the competition identify value lark this and retum Save and Exit Next
Answer:
identify value
Explanation:
Finding out how a product or service will do in a certain market is an example of this "IDENTIFY VALUE" market research. This will help the producers understand and know what the consumers want and the degree of value they placed on their products.
identify if communications are effective is used determine who the consumers are and the type of media preferred.
identify if consumer needs are being met is used to determine what customers like or dislike about a product or service.
identify threats and investigate the competition is used to determine changes in consumer preferences and competition
If I had invested in Auto Zone in January, 1998, when the market quote was 30.25, 100 shares would have cost me ______________. If there was a commission fee back then of $75, the total cost of this investment would have been _______________.
Answer:
if I had invested in Auto Zone in January, 1998, when the market quote was 30.25, 100 shares would have cost me $3,025. If there was a commission fee back then of $75, the total cost of this investment would have been $3,100
Explanation:
In January , 1998. the quote per share was $30.25
The cost for 100 shares will be
=$30.25 x 100
=$3,025
Total cost including commision
=$3,025 + 75
=$3,100
If the yen is selling at a premium relative to the euro in the forward market, is the forward price of EUR per JPY larger or smaller than the spot price of EUR per JPY?
Answer:
The forward price of EUR per JPY will be LARGER
Explanation:
Based on the information in a situation where yen is selling at a premium which is an additional amount charged in the forward market, it means that forward price of EUR per JPY which is the price that has been negotiated and agreed upon will be LARGER than the spot price of EUR/JPY which is the market current price to be traded on the spot.
Therefore The forward price of EUR per JPY will be LARGER.
Pacifica Industrial Products Corporation makes two products, Product H and Product L. Product H is expected to sell 40,000 units next year and Product L is expected to sell 8,000 units. A unit of either product requires 0.4 direct labor-hours. The company's total manufacturing overhead for the year is expected to be $1,632,000.
Required: 1-a. The company currently applies manufacturing overhead to products using direct labor-hours as the allocation base. If this method is followed, how much overhead cost per unit would be applied to each product?
Product H Product L
Overhead cost per unit
1-b. Compute the total amount of overhead cost that would be applied to each product
Product H Product L Total
Total overhead cost
Answer:
1a. Product H Overhead cost per unit = [$85 * 0.4] = $34.00
Product L Overhead cost per unit = [$85 * 0.4] = $34.00
Predetermined overhead application rate = Estimated total manufacturing overheads / Total direct Labor hours
Predetermined overhead application rate = $1632000 / {[40000 units * 0.4]+[8000 units * 0.4]}
Predetermined overhead application rate = $1632000 / 19200 direct labor hours
Predetermined overhead application rate = $85 per direct labor hour
1b. Product H Product L
Overhead cost $816,000 $816,000
/No.of units 40000 8000
Overhead cost per unit $20.40 $102.00
Product H Product L Total
Total Overhead cost $1,360,000 $272,000 $1,632,000
Note:
Total Overhead cost = No.of units * Overhead cost per unit
Two investment centers at Marshman Corporation have the following current year income and asset data
Investment Center A 440,000 2,900,000
Investment Center B 550,000 2,200,000
Investment center income
Investment center average invested assets $ $ $
The return on investment (ROI) for Investment Center A is:___________
Answer: 15.17%
Explanation:
Based on the information provided in the question, the Return on investment would be calculated as:
= Net income / Average assets
Therefore, The return on investment (ROI) for Investment Center A would be:
= 440000 / 2900000 × 100
= 15.17241%
= 15.17%
The future value of a dollar
1. increases with lower interest rates
2. increases with higher interest rates
3. increases with longer periods of time
4. decreases with longer periods of time
Answer:
C. 2 and 3
Explanation:
Note: Options to the question are as follows "A. 1 and 3 , B. 1 and 4, C. 2 and 3, D. 2 and 4.
FV = PV(1 + r)^t
Future value of a dollar is the value of a dollar if it earns a certain interest fro a specified time. Future value increases with an increase in interest rates and time. Conversely, it decreases with a decrease in interest rates and time.
Thus, Option c is correct.
The variable overhead spending variance, the fixed overhead spending variance, and the variable overhead efficiency variance can be combined to find the:__________
Answer:
Controllable variance
Explanation:
The controllable variance is the combination of the variable overhead, fixed overhead spending variance and together with this, the variable overhead efficiency variance is also involved
Hence, as per the given situation, the controllable variance is to be considered
Therefore the above represents the answer
Why has the provider of choice shifted from rail to motor modes? With the shift to motor freight carriers, the amount of traffic accidents have sky rocketed, please give your opinion of the reason for this.
Answer:
Why has the provider of choice shifted from rail to motor modes?
When companies change their modus operandi, it is usually to minimize cost and maximize profit. This provider of choice therefore has probably determined that motor modes were more cost effective for the services it offers vs using trains and rail modes for transport and has now made the appropriate switch.
With the shift to motor freight carriers, the amount of traffic accidents have sky rocketed.
With the provider of choice now using motor modes as opposed to rail, there is bound to be more vehicles on the road now from motor bikes all the way to trucks and with an increase in the number of vehicles available, there is bound to be an increase in accidents involving vehicles.
which method is used to resolve disputed facts to determine the amount of an equitable adjustment when the contractor is clearly entitled to an equitable adjustment (clear proof of injury) and sufficient evidence exists for a fair approximation of the amount of the equitable adjustment (damages)
Answer:
Total cost method.
Explanation:
The total cost method is defined as the method in which the complete end-to-end cost of fixed, variable, and direct costs of manufactured produced goods and services. This method promotes a higher degree of transparency and effectiveness. This is why this method is employed to bring resolution to the disputed facts by assisting in determining the equitable adjustment amount if he is entitled to it as it involves the complete performance cost.
Suppose you receive the following end-of-year cash bonuses at work: end of year 2: $4,000 end of year 4: $6,000 end of year 6: $10,000 end of year 8: $12,000 If you invest your bonuses and earn 12% on your investments, how much will you have at the end of year 12
Answer:
the amount that have at the end of year 12 is $65,899.63
Explanation:
The computation of the amount that have at the end of year 12 is shown below:
Future value = Present value × (1 + Interest rate)^number of periods
= $4000 × (1 + 12%)^10 + $6,000 × (1 + 12%)^8+ $10,000 × (1 + 12%)^6 + $12,000 × (1 + 12%)^4
= $65,899.63
hence, the amount that have at the end of year 12 is $65,899.63
We simply applied the above formula so that the correct value could come
And, the same is to be considered
What is the prime reason that Jenny's discretionary income is more volatile than her salary?
A. Her cost of living is affected by high inflation in the neighborhood
B. Her tax rate remains 30%
C. Her mortgage payments and necessities are fixed
D. Her discretionary income and salary are equally volatile
Answer:
c. Her mortgage payments and necessities are fixed
Explanation:
Discretionary income is the remaining income after being paid out for all fixed expenses (i.e. Discretionary income = Salary - Mortgage - Income tax etc). The primary reason for variability in it is due to the mortgage payment and fixed expenses from the basic salary received.
So, option c is correct while other options are incorrect as tax does not affect as well as cost of living
Outstanding stock of the Nash's Corporation included 30000 shares of $5 par common stock and 8000 shares of 5%, $10 par non-cumulative preferred stock. In 2019, Nash's declared and paid dividends of $1500. In 2020, Nash's declared and paid dividends of $15000. How much of the 2020 dividend was distributed to preferred shareholders
Answer:
$4,000
Explanation:
Calculation of Dividend distributed to Preferred Shareholder
= $8,000 * 5% * $10 Preferred shares
= $4,000
Thus, $4,000 is the amount of dividend which was distributed to preferred shareholders
Work with delivery teams that are implementing the solution to ensure the technology features are appropriate. Ensure alignment between technology deliverables of a solution and the business goals. Engage with decision-makers to identify the business goal and the capabilities that need improvement. Prepare the budget for the endeavor into the cloud.
Answer:
Note: The full question is attached as picture below
Cloud architects typically carry out 3 major tasks as listed below:
Task 1: Prepare the budget for the endeavor into the cloud.
Task 2: Configure and build the cloud environment for the company to ensure everything is setup as the design intended.
Task 3: Work with delivery teams that are implementing the solution to ensure the technology features are appropriate.
Other options are wrong because
- Ensuring alignment between technology deliverable of a solution and the business goals - This is the goal of a project manager or a solution architect.
- Engage with decision-makers to identify the business goal and the capabilities that need improvement - This activity is typically done by the product manager.
If the value of risk-sensitive assets exceeded that of its liabilities, the bank's profit from the interest rate will:_____
a. Increase
b. Decrease
Answer:
Increase
Explanation:
The rate of a bank work or performance is mostly acted upon or influenced by the interest payments earned on its assets (loans and investments) relative to the interest paid on its liabilities (deposits). Bank will get profit from increasing interest rates only if the said assets have floating (adjustable) rates.
When the value of risk-sensitive assets is beyond that of its liabilities, the bank would profit from increase in interest rates.
During January, time tickets show that the factory labor of $7,000 was used as follows: Job 1 $2,330, Job 2 $1,750, Job 3 $1,700, and general factory use $1,220. Prepare a summary journal entry to record factory labor used.
Answer and Explanation:
The journal entry to record the usage of the factory labor is as follows;
Work in process ($2,330 + $1,750 + $1,700) $5,780
Manufacturing overhead $1,220
To Factory labor $7,000
(Being the factory labor used is recorded)
Here the work in process and manufacturing overhead is debited as it increased the asset and increased the expenses while on the other hand the factory labor is credited
Which of the following is not public sector undertakings?
1. Rastriya Bima Sasthan
2.Hotel Himalayan
3.Nepal Telecom
4.DDC
Answer:
DDC is not a public sector
On December 31, management had determined that it would not be able to collect the $1,200 owed to it by one of its customers. On Jan 15 in the next year, a check in the amount of $600 was unexpectedly received from this customer. Management does not expect any future collections from this customer. The company uses the direct write-off method to account for its uncollectible accounts.
Prepare the necessary journal entry on January 15 to record the events by selecting the account names from the drop-down menus and entering the dollar amounts in the debitor credit columns.
Prepare two separate journal entries. The first journal entry is to record the reinstatement of the account receivable and the second is to record the receipt of cash.
View transaction list
Journal entry worksheet
< 1 2 >
Prepare the journal entry to record the reinstatement of the account receivable
Answer:
a. Journal entries to record the reinstatement of the account receivable
Account Title and Description Debit Credit
Account receivable account $600
Allowance for Doubtful Accounts account $600
(Reinstatement of the account receivable)
b. Journal entries to record the receipt of cash
Account Title and Description Debit Credit
Bank Account $600
Account receivable account $600
(Receipt of cash)
Which statement describes an outcome of fiscal policy?
Answer:
Consumers have less money for luxuries because they must pay taxes
Explanation:
What is one way investment consultants protect their clients’ money during periodic performance reviews?
Answer:
Investment consultants check that the portfolio manager's performance was based on skill investing in the agreed-upon stocks or sectors
Explanation:
because it is
In a bid to ensure that money is adequately channeled and client's finances are safe, investment consultant analyses the stocks and portfolio's in other to ensure they are based on the advise offered and agreed upon.
The investment consultant offers expert advise on profitable stocks and portfolio's which could be invested in. The portfolio manager handles and monitors client's investment and finances. Hence, the investment consultant and portfolio manager work hand in hand in other to ensure that the right stock is chosen and invested in.Therefore, investment consultant ensures that portfolio managers do not deviate from the agreement made.
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Critics of the North American Free Trade Agreement argued that opening our borders to free trade with Mexico would result in U.S. firms moving all of their factories to Mexico and the U.S. running large trade deficits with Mexico. Comment on the concerns of these critics using your knowledge of international trade and net capital flows. This criticism should _______________________
Answer:
The criticism is true to a certain degree, and unjustified to another degree.
Explanation:
It is true in the sense that the U.S. has indeed lost a lot of manufacturing to Mexico, simply because Mexico has far lower labor costs, and U.S. manufacturers have decided to take advantage of that by taking their plants to Mexican states.
It is also true that Mexico has been running a trade surplus with the United States in recent years, mainly because of the large manufacturing sector that Mexico has been developing.
On the other hand, the criticism is unjustified because neither a trade deficit nor the moving of manufacturing to Mexico mean that the United States as a whole is in worst condition than before NAFTA. In fact, most economists agree that free trade is a good thing for the economy as a whole, and that most people benefit from the lower costs and specialization that trade brings about.
The problem lies then, in the people who lose their jobs: formerly unionized manufacturing workers from the Rust Belt, for example. These people need to be helped with government assitance, both in terms of welfare, and training, so that they can find new jobs and make ends meet in the meanwhile.
explain any five opportunities of
foreign employment
Five opportunities of foreign employment include :
Higher salaries and benefits Career adavncements Cultural immersion Language learning Personal growth How can foreign employment be beneficial ?One of the most significant opportunities of foreign employment is the potential for higher salaries and better benefits. Foreign employment can also provide opportunities for career advancement, particularly for professionals in industries like technology, finance, and healthcare.
Working in a foreign country can also provide an opportunity for cultural immersion. Foreign employment can also provide an opportunity to learn a new language or improve existing language skills.
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An investment project provides cash inflows of $705 per year for eight years. What is the project payback period if the initial cost is $1,900
Answer:
2 years and 8 months
Explanation:
The payback period is the length of time required for thee total cashflows to equal the Initial Capital Investment.
Payback = $1,900
Therefore,
$1,900 = $705 + $705 + $490
Which is 2 years and 8 months ($490/ $705 × 12)
Conclusion :
The project payback period is 2 years and 8 months
In January 2019, • labor force participation in the United States was 62.3%. • official unemployment was 4.1%. • the proportion of short-term unemployment (14 weeks or less) in that month on average was 68.9%. • moderately long-term unemployment (15-26 weeks) was 12.7%. • very long-term unemployment (27 weeks or longer) was 18.4%. Based on these statistics, what proportion of the labor force was unemployed very long term in January 2019, to the nearest tenth of a percent?
Answer:
0.8
Explanation:
Proportion to labor force unemployed very long term = Unemployment rate * Very long unemployment
Official unemployment = 4.1%
Very long-term unemployment (27 weeks or longer) was 18.4%.
Proportion to labor force unemployed very long term = 4.1 * 18.4% = 4.1 * 0.184 = 0.7544 ≅ 0.8
So, based on these statistics, the proportion of the labor force for unemployed very long term in January 2019 is 0.8
Abbott, Inc., issued $50,000 of bonds, paid cash dividends of $8,000, sold long-term investments for $12,000, received $5,000 of dividend revenue, purchased treasury stock for $5,000, and purchased new equipment for $19,000. What is the net cash flow from financing activities?
a. $70,000 inflow.
b. $27,000 inflow.
c. $90,000 inflow.
d. $20,000 outflow.
Answer:
$27,000
Explanation:
Cash flow from financing activities
Particulars Amount
Bond issued $50,000
Less: Cash dividend payment $8,000
Less: Treasury stock purchase $15,000
Net cash-flow from financing $27,000
activities
Budgeted fixed manufacturing cost was $890,000 for 40,000 units or 100,000 hours, Actual fixed overhead totaled $910,000. The standard fixed production overhead cost per direct-labor hour was: _________$
Answer:
Estimated fixed overhead= $8.9 per direct labor hour
Explanation:
Estimated overhead cost= $890,000
Standard hours allowed= 100,000 hours
To calculate the fixed estimated overhead per standard hour, we need to use the following formula:
Predetermined fixed manufacturing overhead rate= total estimated overhead costs for the period/ total amount of allocation base
Predetermined fixed manufacturing overhead rate= 890,000 / 100,000
Predetermined fixed manufacturing overhead rate= $8.9 per direct labor hour
Think about a small business you might enjoy opening. Typical examples might be a restaurant, specialty clothing store, or professional service. Assume that it will be in a monopolistically competitive market structure. How will you specifically differentiate your product from others in the market
Answer:
Explanation:
When opening a business in a monopolistically competitive market structure it is incredibly difficult to compete and find a loyal customer base to make a profit. The best way to differentiate your product would be to personalize it as much as possible for every client. Personalizing not only the product but the shopping experience for each individual client makes that client feel special and cared about. This helps convince them to purchase this product from you as opposed to a competitor. Therefore, slowly increasing your loyal customer base.
Pauley Company needs to determine a markup for a new product. Pauley expects to sell 25,000 units and wants target profit of $20 per unit. Additional information is as follows:
Variable product cost per unit 17
Variable administrative cost per unit 12
Total fixed overhead 23,500
Total fixed administrative 42,000
Using the variable cost method, what markup percentage to variable cost should be used?
Answer:
69 %
Explanation:
Mark up is Gross Profit expressed as a percentage of Total Costs.
When using variable costing, only the variable costs are used to determine the Product Cost.
Product Cost = Variable product cost per unit + Variable administrative cost per unit
= $17.00 + $12.00
= $29.00
Therefore,
Mark up = Profit ÷ Total Variable Cost
= $20.00 ÷ $29.00
= 0.69 or 69 %
A corporate bond with a 6.5 percent coupon has 15 years left to maturity. It has had a credit rating of BBB and a yield to maturity of 7.2 percent. The firm has recently gotten into some trouble and the rating agency is downgrading the bonds to BB. The new appropriate discount rate will be 8.5 percent. What will be the change in the bond's price in dollars and percentage terms
Answer:
Price change in dollars = $104.22
% decrease in price of dollars = 11.13%
Explanation:
We assume the corporate bond have a face value of $1,000
Face Value = $1000
Coupon = 6.5%*1000/2 =32.50
Number of Periods = 15*2 =30
Semi annual rate of BBB bond = 7.2%/2 =3.6%
Price of BBB Bond = PV of Coupons + PV of Par Value =
Price of BBB Bond = 32.50*(((1-(1+3.6%)^-30)/3.6%)+1000/(1+3.6%)^30
Price of BBB Bond = $936.43
Semiannual Discount Rate for BB bond = 8.5%/2 = 4.25%
Price of BB Bond = PV of Coupons + PV of Par Value
Price of BB Bond = 32.50*(((1-(1+4.25%)^-30)/4.25%)+1000/(1+4.25%)^30
Price of BB Bond= $832.21
Price change in dollars = $936.43 - $832.21
Price change in dollars = $104.22
% decrease in price of dollars = $104.22 / $936.43
% decrease in price of dollars = 0.111295025
% decrease in price of dollars = 11.13%
Price change in dollars is 104.22
And, in percentage it is 11.13%.
The calculation is as follows:1. Face Value =1000
Coupon =6.5% ×1000 ÷ 2 =32.50
Number of Periods =15 × 2 =30
Semi annual rate of BBB bond =7.2% ÷ 2 =3.6%
Price of BBB Bond =PV of Coupons + PV of Par Value
=32.50 × (((1-(1+3.6%)^-30) ÷ 3.6%) + 1000/(1+3.6%)^30
=936.43
Now
Semiannual Discount Rate for BB bond =8.5% ÷2 =4.25%
Price of BB Bond =PV of Coupons + PV of Par Value
=32.50 × (((1-(1+4.25%)^-30) ÷ 4.25%)+1000 ÷ (1+4.25%)^30
=832.21
So,
Price change in dollars is
= 936.43 - 832.21
= 104.22
Now
Percentage decrease in price of dollars is
= 104.22 ÷ 936.43
= 11.13%
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