Questions 9-10 refer to the following scenario:
A profit maximizing firm produces the quantity Q=2⋅L12⋅K12, where L denotes the quantity of labor and K denotes the quantity of capital. The wage per unit of labor is w=2 and the interest rate per unit of capital is r=8.

Question 9
What is the cost of the firm to produce an output of Q=100?
A. C(100)=1000
B. C(100)=400
C. C(100)=850
D. C(100)=500

Question 10
What is the produced quantity of Q, if the firm uses a budget of exactly 1600?
A.Q=400
B. Q=800
C. Q=200
D. Q=1600

Answers

Answer 1

The cost of the firm to produce an output of Q=100 , C(100) = 1000 , i.e option A . ; The produced quantity of Q if budget used is 1600 is Q= 800 , i.e option B .

Question 9-

The quantity produced is Q = 2 × L¹² × K¹². The wage per unit of labor is w = 2.

The interest rate per unit of capital is r = 8.

The cost function is given as: C = wL + rK

Substituting the given values, we have: C = 2L + 8K

The cost of the firm to produce an output of Q = 100 is given by: C (100) = 2L + 8K = 2 × (100)¹/² + 8 × (100)¹/²= 2 × 10 + 8 × 10= 20 + 80= 100

Answer: A. C(100) = 1000

Question 10

The firm has a budget of 1600.

The cost function is given as: C = wL + rK.

Using the cost function, we can write the total cost as: C = 2L¹/² + 8K¹/²

Since the budget is 1600, we can write the budget constraint as: 2L¹/² + 8K¹/² = 1600.

The objective is to find the quantity produced Q. We know that Q = 2L¹² × K¹².

Solving the two equations, we get: K = (200 - L)²/64Q = 2L¹² × (200 - L)¹²

Differentiating the expression for Q with respect to L, we get:

dQ/dL = 24L¹¹ × (200 - L)¹² - 24L¹² × (200 - L)¹¹= 24L¹¹ (200 - L)¹¹ [24 - L]/64

Thus, dQ/dL = 0 when L = 24.Substituting L = 24 in the expression for K, we have:

K = (200 - 24)²/64= 176/4= 44

The produced quantity of Q, if the firm uses a budget of exactly 1600 is Q = 2L¹² × K¹²= 2 × 24¹² × 44¹²= 800

Answer: B. Q = 800.

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Related Questions

Multiple Chalce Paytack period itanores the 1 ining of casis fows and the sosh frown aftor the poybock Paybsck period ignores the cash flows after the paybock Paybock period ignores the timing of cash fiaws Payback period is a good way to moke copial biggeting decisions because some businesses use 4 and it is easy to understand

Answers

The payback period is a capital budgeting technique that ignores the timing of cash flows and only considers the time it takes to recover the initial investment.

It does not take into account the cash flows that occur after the payback period. While some businesses use the payback period because it is easy to understand, it has limitations as a decision-making tool. This method fails to consider the time value of money and does not provide a comprehensive analysis of the profitability or risk associated with an investment.

The payback period is calculated by dividing the initial investment by the expected annual cash flows. It represents the length of time required to recoup the initial investment. However, this approach ignores the timing of cash flows beyond the payback period, which can lead to incomplete decision-making.

One of the limitations of the payback period is that it does not consider the time value of money. It treats all cash flows equally, without accounting for the fact that a dollar received in the future is worth less than a dollar received today. By not discounting future cash flows, the payback period fails to provide an accurate measure of profitability or return on investment..

While the payback period may be simple to understand and calculate, it should not be relied upon as the sole basis for making capital budgeting decisions. It is important to consider other financial metrics and perform a comprehensive analysis that incorporates the time value of money and the profitability of an investment.

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What is disadvantage of the payback method? Selected answer will be automatically saved. For keyboard navigation, press up/down arrow keys to select an answer. a It ignores cash inflows earned before the payback period. b It is difficult to calculate. c It can be used to cheaply separate desirable projects from less desirable ones. d It ignores cash inflows earned after the payback period. What formula is used to calculate the payback period? Selected answer will be automatically saved. For keyboard navigation, press up;down arrow heys to select an answer: P=NCF/I I=NCF/P I=P/NCF P=1/NCF What discount rate is used to measure the difference between the sum of all cash inflows and cash outfows when using the net present value technique? Selected answer will to automaticaly saved. For keyboard nwieation, press upidown arrow keys to select an aricwer. a the internal rate of return b the inflation rate c the weighted average cost of capital d. the weighted average payback return What must the cash outflow equal when the internal rate of return is achieved? Selected answer will be automatically saved, for keyboard navigation, press up/down arrow keys to select an answer. a the undiscounted cash inflow b the net future value c the discounted cash inflows d the net present value

Answers

The disadvantage of the payback method is that it ignores cash inflows earned after the payback period. The formula used to calculate the payback period is P=NCF/I. The discount rate used to measure the difference between the sum of all cash inflows and cash outflows when using the net present value technique is the weighted average cost of capital. When the internal rate of return is achieved, the cash outflow must equal the net present value.

The payback method has the disadvantage of ignoring cash inflows earned after the payback period. This means that any cash inflows received beyond the payback period are not taken into consideration when evaluating the profitability of a project. This limitation can lead to a skewed assessment of a project's true financial viability, as it fails to capture the full extent of its long-term profitability potential.

To calculate the payback period, the formula P=NCF/I is used. P represents the payback period, NCF denotes the net cash flows generated by the project, and I stands for the average annual cash inflows.

On the other hand, the discount rate used in the net present value (NPV) technique to measure the difference between the sum of all cash inflows and cash outflows is the weighted average cost of capital (WACC). The WACC takes into account the cost of capital from various sources, such as equity and debt, and reflects the required rate of return for the project. It considers both the time value of money and the risk associated with the investment.

When the internal rate of return (IRR) is achieved, the cash outflow must equal the net present value. This means that the project's initial investment has been fully recovered, and the net cash flows generated by the project are equal to zero. The IRR represents the discount rate at which the NPV of a project becomes zero, indicating that the project's cash inflows match the cash outflows.

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How does the Federal Reserve prevent runs on banks?
a.) By printing more money if necessary
b.) By guaranteeing people's deposits
c.) It doesn't; banks need to establish good reputations on their own
d.) By acting as a lender of last resort to member banks

Answers

The Federal Reserve prevents runs on banks by acting as a lender of last resort to member banks. Therefore, option D is the correct answer.

The Federal Reserve, as the central bank of the United States, plays a key role in maintaining the stability of the country's financial system. One of the primary ways it does this is by serving as a lender of last resort to commercial banks and other depository institutions. In a financial crisis, when banks face a sudden surge in withdrawals (a bank run), the Federal Reserve can lend money to these banks. This provision of emergency liquidity helps to restore confidence and prevent further panic. The objective is to ensure that banks can meet their obligations, thus avoiding bank failures and potentially broader financial crises.

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Question A1 By applying appropriate theories, models or scholarly research recommend how an organisation could create an innovative environment in facilitating the innovation process. (20 marks)

Answers

To create an innovative environment and facilitate the innovation process, organizations can employ various strategies backed by theories and scholarly research.

One key theory that can guide organizations in creating an innovative environment is the concept of psychological safety. This theory suggests that when employees feel psychologically safe, they are more likely to take risks, share ideas, and engage in innovative behaviors. Organizations can foster psychological safety by promoting a culture that values experimentation, learning from failure, and open communication.

Another model that can be applied is the Innovation Ambidexterity Model. This model emphasizes the importance of balancing exploration (generating new ideas) and exploitation (optimizing existing processes). Organizations can create dedicated time and resources for employees to explore new ideas while also ensuring that operational efficiency is maintained.

Scholarly research also emphasizes the significance of cross-functional collaboration in facilitating innovation. By bringing together individuals from different departments or areas of expertise, organizations can encourage diverse perspectives, knowledge sharing, and the generation of novel ideas.

Effective leadership plays a crucial role in creating an innovative environment. Leaders should provide clear vision and goals, support and reward innovative initiatives, and empower employees to take ownership of their ideas. Additionally, fostering a culture of open communication and creating platforms for idea-sharing can enhance the innovation process.

Overall, organizations can create an innovative environment by embracing theories and models that promote psychological safety, ambidexterity, cross-functional collaboration, and effective leadership practices. These strategies, supported by scholarly research, can help organizations unlock their innovative potential and drive meaningful and sustainable innovation.

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Dinshaw Company is considering the purchase of a new machine. The invoice price of the machine is $71,312, freight charges are estimated to be $2,600, and installation costs are expected to be $7,060. The annual cost savings are expected to be $14,060 for 9 years. The firm requires a 20% rate of return. Ignore income taxes. What is the internal rate of return on this investment? (Round answer to O decimal ploces, e.g. 15\%)

Answers

The internal rate of return (IRR) for the investment in the new machine is approximately 19%.

To calculate the internal rate of return, we need to determine the discount rate at which the present value of the cost savings over the investment period equals the initial cost of the machine. In this case, the initial cost includes the invoice price, freight charges, and installation costs, which sum up to $81,972 ($71,312 + $2,600 + $7,060).

Next, we calculate the present value of the cost savings. The annual cost savings of $14,060 for 9 years is a total of $126,540. We discount these future cash flows using a discount rate equal to the required rate of return, which is 20%. Applying the formula for present value, we find that the present value of the cost savings is approximately $59,129.

The internal rate of return is the discount rate at which the present value of the cost savings equals the initial cost. By solving this equation, we find that the internal rate of return is approximately 19%. This means that the investment in the new machine will yield a return of 19%, which is higher than the required rate of return of 20%. Therefore, the investment is considered financially feasible as it offers a rate of return greater than the required rate.

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14. Supply Chain Operations Reference (SCOR) modeling looks to measure, manage, and improve supply chain performance for your company. When your company's inventory levels have inefficient variances, inventory spoils, or customers become frustrated by not being served adequately. Then the "bullwhip effect" can take place, meaning the frustrated customers will then make it even harder for your company to minimize inventory variances. Suppose your company has Eocation A and Location B. The annual standard deviation in the inventory levels at Location A is 40,000 items. The annual standard deviation at Location B is 21,000 items. It's your job to test the theory that Location A's variance is significantly higher than Location B...leading to possibly closing Location A. Utilize the F-test (also known as ANOVA) to see if Location A has a significant problem compared to Location B.

Answers

The F-test (ANOVA) will be utilized to determine if Location A's inventory variance is significantly higher than Location B, potentially indicating a problem and justifying the consideration of closing Location A.

The F-test (ANOVA) is a statistical test that compares the variances between multiple groups or populations. In this scenario, Location A and Location B are the two groups being compared.

By conducting the F-test and comparing the annual standard deviations of inventory levels at the two locations (40,000 items for Location A and 21,000 items for Location B), the test will assess if the variance at Location A is significantly higher than Location B.

If the F-test yields a statistically significant result, it would indicate that Location A's variance is indeed significantly higher, suggesting a problem in inventory management that could potentially justify considering closing Location A.

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Discuss the asset market model and explain the logic behind the (uncovered) interest rate parity equilibrium condition.

Answers

The asset marketplace model is a financial framework used to research the relationship between change rates, interest charges, and asset fees. It examines the interplay between the forex market and the home market for economic assets.

In the asset market version, the change price is determined by using the supply and call for currencies in the foreign exchange marketplace. The call for forex is influenced by using various factors, which include interest fees, expectancies about future alternate charge actions, and the perceived hazard associated with preserving foreign money. The delivery of a currency is decided by way of factors that includes alternate flows, capital flows, and valuable bank interventions.

One crucial concept inside the asset market model is exposed hobby fee parity (UIP), which is an equilibrium circumstance that hyperlinks hobby quotes and alternate charges. The common sense at the back of UIP is primarily based on the idea of rational expectations and no arbitrage opportunities inside the financial markets.

UIP states that the distinction in hobby quotes among nations ought to equal the anticipated exchange in the exchange price over the same duration. In other words, buyers have to be indifferent between investing in one forex or every other, considering each the hobby fee differential and the anticipated exchange in the change rate.

The equilibrium situation of UIP may be defined using the following logic: If the interest charge in a single United States is better than in any other, traders could be attracted to invest in that U. S .'s economic belongings to earn a better return.

This accelerated call for higher-yielding forex would result in an appreciation of that foreign money. The expected appreciation of the forex could offset the interest price differential, making the overall go-back equal between the two nations.

If UIP is violated, it would create a possibility for arbitrage, in which traders can make the most of the hobby fee differential and make reliable income. In reaction to such possibilities, marketplace forces would speedily modify the alternate fee until UIP is restored.

However, it's miles important to word that in exercise, UIP is frequently no longer flawlessly discovered due to factors inclusive of transaction prices, marketplace imperfections, capital controls, and threat issues. Nonetheless, the concept of UIP affords a beneficial framework for understanding the connection between hobby prices and alternate prices inside the asset market model and enables shaping expectancies and funding selections in global financial markets.

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List and discuss the techniques a leader can use to increase the
performance of the team (Expand and narrate in detail "in your own
words" to demonstrate the understanding of the concepts).

Answers

Leaders can use various techniques to increase the performance of their teams. These techniques include setting clear goals, providing regular feedback and recognition, fostering open communication, promoting collaboration, offering training and development opportunities, and empowering team members.

A leader should establish clear and specific goals that align with the team's purpose and objectives. Clear goals provide direction and focus, enabling team members to understand what is expected of them and work towards a common vision.

Feedback plays a crucial role in improving performance. Leaders should provide constructive feedback to individuals and the team, highlighting areas of improvement and acknowledging successes.

Effective communication is essential for team success. Leaders should encourage open and honest communication, actively listen to team members' ideas and concerns, and promote a culture of transparency and trust.

Collaboration enhances team performance by leveraging the diverse skills and perspectives of team members. Leaders should create opportunities for collaboration, encourage teamwork, and facilitate a supportive and inclusive environment.

Continuous learning and development contribute to team growth and improvement. Leaders should provide training, workshops, and resources to enhance the skills and knowledge of team members.

Empowerment involves delegating responsibilities, granting autonomy, and trusting team members to make decisions. Empowered team members feel a sense of ownership and are more likely to take initiative, be proactive, and perform at their best.

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which of the following would the calculation of gdp include

Answers

The purchase of ink and paper supplies by a textbook company for the production of new textbooks is included in the calculation of GDP.

This is because the production of new textbooks is considered a part of the country's economic output. The purchase of a used textbook from a friend who took the same class last year is not included in the calculation of GDP because it does not involve the production of new goods or services.

The purchase of a new edition of a foreign textbook that was produced in a different nation is also not included in the calculation of GDP because it is not produced within the country's borders. The purchase of tutoring services from a tutor who holds citizenship outside the country but resides within the country is included in the calculation of GDP because it is a service produced within the country's borders.

Therefore, only the purchase of ink and paper supplies by a textbook company for the production of new textbooks is included in the calculation of GDP

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The complete question is:

Which of the following is included in the calculation of GDP? The purchase of ink and paper supplies by a textbook company for the production of new textbooks. The purchase of a used textbook from a friend who took the same class last year. The purchase of a new edition of a foreign textbook that was produced in a different nation. The purchase of tutoring services from a tutor who holds citizenship outside the country but resides within the country

in contrast to eisenhower, kennedy focused on all of the following during his administration except ________.

Answers

Kennedy focused on all of the following during his administration except domestic policy.

During his presidency, John F. Kennedy prioritized several key areas of focus, including foreign policy, civil rights, and space exploration. However, the one area that he did not emphasize as much was domestic policy. Unlike his predecessor,

President Dwight D. Eisenhower, who placed a significant emphasis on domestic issues such as infrastructure development and economic policies, Kennedy's primary attention was directed towards international affairs and advancing the United States' position in the global arena.

Kennedy's administration was marked by his efforts to confront the challenges posed by the Cold War, particularly the escalating tensions with the Soviet Union. He played a pivotal role in the Cuban Missile Crisis, a high-stakes confrontation that brought the world to the brink of nuclear war.

Kennedy also championed the Civil Rights Movement, delivering a historic speech in support of civil rights and introducing legislation to address racial inequality.

Furthermore, Kennedy's administration was defined by his commitment to space exploration. He announced the goal of landing an American on the moon, which eventually led to the Apollo program and the successful moon landing in 1969.

These ambitious endeavors showcased Kennedy's focus on international competition and advancing American interests globally, while domestic policy took a backseat during his presidency.

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Laura decided to begin saving towards the purchase of a new car in 5 years . If Laura put $ 500 at the end of each of each 6 - month period for 5 years and the account paid 6 percent compounded semiannually . How much will Laura accumulate after 5 years ? Note : Laura is only making 10 payments , with first payment is six months from today and the interest is compounded semiannually
a . $ 6,691.13
b . $ 5,637.09 $
c. $ 1,338.23
d . $ 5,975.32
e. $ 5,731.94

Answers

Laura decided to begin saving towards the purchase of a new car in 5 years . If Laura put $ 500 at the end of each of each 6 - month period for 5 years and the account paid 6 percent compounded semiannually .

How much will Laura accumulate after 5 years ? Note : Laura is only making 10 payments , with first payment is six months from today and the interest is compounded semiannually.Therefore, the correct answer is (e) $573.09

a . $ 6,691.13

b . $ 5,637.09 $

c. $ 1,338.23

d . $ 5,975.32

e. $ 5,731.94

To calculate the amount Laura will accumulate after 5 years, we can use the formula for the future value of an ordinary annuity:

FV = P × [(1 + r/n)^(nt) - 1] / (r/n)

Where:

FV is the future value (amount accumulated)

P is the periodic payment

r is the interest rate per period

n is the number of compounding periods per year

t is the total number of periods

Given:

P = $500 (the periodic payment)

r = 6% (the interest rate per period)

n = 2 (semiannual compounding)

t = 10 (total number of periods)

Plugging in the values:

FV = 500 × [(1 + 0.06/2)^(2*5) - 1] / (0.06/2)

Calculating the right-hand side:

FV = 500 × [(1 + 0.03)^10 - 1] / 0.03

FV ≈ 500 × (1.03^10 - 1) / 0.03

FV ≈ 500 × (1.34409565063 - 1) / 0.03

FV ≈ 500 × 0.34409565063 / 0.03

FV ≈ 573.09491345

Rounding to two decimal places, the amount Laura will accumulate after 5 years is approximately $573.09.

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Suppose you are bearish on BHP and decide to sell short 100 shares at the current market rice of $40 per share. If the broker's initial margin requirement is 60% of the value of the hort position and the maintenance margin is 30%. If the price of BHP immediately changes to $55, will you receive a marginal call? If so, lease calculate the additional margin you need to deposit in the account (2 marks) How high can BHP's price increase before you get a margin call? (2 marks)

Answers

The maximum price increase before receiving a margin call is $3,429/$100 (since you sold short 100 shares), which is $34.29 per share.

To determine if a margin call will be received, we need to compare the equity in the account to the maintenance margin requirement. Initially, you sold short 100 shares at $40 per share, which gives you a short position value of $4,000.

With a broker's initial margin requirement of 60%, the initial margin you need to deposit is 60% of $4,000, which amounts to $2,400.

If the price of BHP immediately changes to $55 per share, the short position value becomes $5,500. The equity in the account can be calculated by subtracting the short position value from the initial margin deposited: $5,500 - $2,400 = $3,100.

Since the maintenance margin requirement is 30% of the short position value, which is $1,650 ($5,500 * 30%), and the equity in the account is $3,100, you will not receive a margin call in this scenario.

To determine the maximum price increase before receiving a margin call, we can calculate the short position value that corresponds to the maintenance margin requirement of 30%. Let's denote this as V. We have V - $2,400 = 0.3V, which results in V = $3,429.

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Large time deposits of more than $100,000 are considered to be found in what part of the money supply? A) M2 B) M1 and M2 C) M3 D) M1

Answers

C) M3. large time deposits of more than $100,000 are considered part of the M3 money supply. M3 includes M2 (which consists of M1 and savings deposits) along with large time deposits, institutional money market funds, and other long-term deposits.

These large time deposits are not as liquid as M1 or M2 components, and they typically have longer maturities and higher minimum deposit requirements, making them part of the broader M3 category.

The money supply is divided into different categories based on the liquidity and types of financial assets included. M1 represents the most liquid forms of money, including physical currency, demand deposits (checking accounts), and traveler's checks. M2 includes all components of M1 and adds savings deposits, money market deposit accounts, and small time deposits.

However, large time deposits of more than $100,000 fall outside the scope of M1 and M2 and are considered part of the M3 money supply. M3 encompasses M2 components and extends further to include larger time deposits, institutional money market funds, and certain long-term deposits. These large time deposits typically have longer maturities and require higher minimum deposit amounts, making them less liquid compared to M1 and M2.

By categorizing large time deposits as part of M3, economists can analyze a broader measure of the money supply that includes a wider range of financial assets and provides insights into longer-term saving and investment behavior.

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Create a marketing plan to introduce Jeeves to your local community. Gather any secondary data that you can in order to substantiate the business case. Make clear notes throughout the plan where you would seek additional primary marketing research to provide guidance about those components of the plan. Divide the market and its segments, and characterize the segments you would target.

Market Positioning using the 4Ps

Answers

Jeeves is a personalized home butler service that caters to upper-class families in Riverside, CA. The service offers round-the-clock assistance to clients who feel like they have more money than time.

The aim of this marketing plan is to introduce Jeeves to the local community and increase brand awareness.

Market Segmentation:

The market for Jeeves can be divided into two segments:

Upper-class families who have busy lifestyles and require personalized assistance.

Individuals who are willing to pay for luxury services.

Target Market:

The primary target market for Jeeves is upper-class families who require personalized assistance. The secondary target market is individuals who are willing to pay for luxury services.

Marketing Mix:

Product: Jeeves offers personalized home butler services to clients. The services include housekeeping, laundry, grocery shopping, meal preparation, and other personalized services.

Price: Jeeves' pricing strategy will be based on the level of service required by the client. The pricing will be competitive with other luxury home service providers in the area.

Promotion: Jeeves will use a combination of advertising and public relations to promote the brand. Advertising will include online ads, print ads, and outdoor advertising. Public relations will include press releases, media interviews, and social media marketing.

Place: Jeeves will offer its services to clients in Riverside, CA. The company will use a direct-to-consumer approach to reach its target market.

Additional Primary Marketing Research:

To provide guidance about the components of the marketing plan, additional primary marketing research will be required. This research will include surveys, focus groups, and interviews with potential clients to determine their needs and preferences.

Conclusion:

The marketing plan for Jeeves aims to introduce the brand to the local community and increase brand awareness. The plan includes market segmentation, target market, and marketing mix. Additional primary marketing research will be required to provide guidance about the components of the plan.

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The following expenditures were incurred by Grouper Company in purchasing land: cash price $80,000, accrued taxes $3,500, attorneys' fees $2,100, real estate broker's commission $1,600, and clearing and grading $5,100. What is the cost of the land? Cost of the land $ Concord Company acquires a delivery truck at a cost of $44,000. The truck is expected to have a salvage value of $16,000 at the end of its 5-year useful life. Compute annual depreciation expense for the first and second years using the straight-line method. On January 1, 2020, Swifty Country Club purchased a new riding mower for $19,000. The mower is expected to have an 5-year life with a $4,000 salvage value. What journal entry would Swifty make at December 31, 2020, if it uses straight-line depreciation? (Credit account titles are automatically indented when amount is entered. Do not indent manually. If no entry is required, select "No Entry" for the account titles and enter 0 for the amounts.) Monty Taxi Service uses the units-of-activity method in computing depreciation on its taxicabs. Each cab is expected to be driven 154,000 miles. Taxi no. 10 cost $57,240 and is expected to have a salvage value of $1,800. Taxi no. 10 is driven 31,300 miles in year 1 and 24,400 miles in year 2. (a1) Calculate depreciation cost per mile using unit-of-activity method. (Round answer to 2 decimal places, e.g. 0.50.) Depreciation cost $ per mile

Answers

The cost of the land is $92,300. The amount spent by the Grouper Company in purchasing land was $92,300.

This includes cash price $80,000, accrued taxes $3,500, attorneys' fees $2,100, real estate broker's commission $1,600, and clearing and grading $5,100.

Hence, the cost of the land is $92,300 ($80,000 + $3,500 + $2,100 + $1,600 + $5,100).

Annual depreciation expense for the first and second years using the straight-line method for Concord Company would be $5,600.

The annual depreciation expense for each year is ($44,000 - $16,000) / 5 = $5,600. The depreciation expense would remain constant every year.

Thus, the annual depreciation expense for the first and second years would be $5,600.
The journal entry Swifty would make at December 31, 2020, if it uses straight-line depreciation, would be Depreciation Expense $3,000, Accumulated Depreciation - Mower $3,800.

The depreciation expense is the cost of the mower minus its salvage value divided by its useful life. It is $3,000 (($19,000 - $4,000) / 5)).

The accumulated depreciation is the sum of depreciation expense each year, which is $3,000.

The balance in the accumulated depreciation account at December 31, 2020, is $3,000 ($600 × 5).

Since Swifty uses straight-line depreciation, the depreciation expense is the same every year.

Thus, the accumulated depreciation account has a balance of $3,800 ($600 × 6) at the end of 2021.
The depreciation cost per mile using the unit-of-activity method for Taxi no. 10 is $0.37.

First, calculate the depreciation cost per mile. The total miles the taxi will drive over its useful life are 154,000 - $1,800 = 152,200 miles.

Thus, the depreciation cost per mile is ($57,240 - $1,800) / 152,200 miles = $0.37. To calculate the depreciation for year 1, multiply the depreciation cost per mile by the number of miles the taxi drove in year 1.

The depreciation expense for year 1 is $11,591 ($0.37 × 31,300 miles). For year 2, the depreciation expense would be $9,038 ($0.37 × 24,400 miles).

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Ethics and abiding by the rules of professional practice are fundamental to beensed insurance agents: A common objective of insurance regulators is to provide regulatory services that protect the public internst and enhance public confidence in the sectors they regulate. High ethical standards are critical to maintaining the public's trust in the insurance industry and in the profession of an insurance agent. Which of the following organizations is an inter.jurisdictional association of insurance regulators whose mandate is 7 is facilitate and promote an efficient and effective regulatory system in Canada to serve the public interest? Select one: a. CCIR b. CAILBA C. CISRO d. CLHIA

Answers

The organization that is an inter-jurisdictional association of insurance regulators in Canada, with a mandate to facilitate and promote an efficient and effective regulatory system in the public interest, is the CCIR.

The correct answer is a. CCIR. The CCIR (Canadian Council of Insurance Regulators) is an inter-jurisdictional association of insurance regulators in Canada. Its primary mandate is to facilitate and promote an efficient and effective regulatory system in Canada that serves the public interest. The CCIR works towards maintaining high ethical standards in the insurance industry and aims to enhance public confidence in the sector it regulates.

By establishing guidelines, best practices, and regulations, the CCIR ensures that insurance agents and companies operate in a manner that protects the public interest. They work collaboratively with provincial and territorial regulators to harmonize and streamline insurance regulations across jurisdictions. The CCIR also promotes consumer protection, market stability, and fair and transparent insurance practices.

In summary, the CCIR is an important organization that plays a key role in maintaining ethical standards and enhancing public confidence in the insurance industry in Canada. Through its efforts, it aims to create an efficient and effective regulatory system that serves the public interest.

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Airlines charge different passengers different prices for the same flight. Explain why this will not have exchange efficiency from an economist perspective. Explain why this will not have exchange eff

Answers

Airlines charging different prices for the same flight lacks exchange efficiency as it reduces overall economic welfare and creates market inefficiencies.

From an economist's perspective, exchange efficiency refers to the allocation of goods and services in a way that maximizes total economic welfare. When airlines charge different prices for the same flight, it introduces price discrimination, which can lead to several drawbacks.

Firstly, price discrimination can result in a misallocation of resources. Passengers who are charged higher prices might be discouraged from purchasing tickets, leading to unused capacity on the flight. Conversely, passengers who are charged lower prices might be incentivized to consume more seats than they would at a higher price, potentially resulting in overbooking and inefficiencies.

Secondly, price discrimination reduces consumer surplus, which is the difference between the price consumers are willing to pay and the actual price they pay. Passengers who are charged higher prices are likely to experience lower consumer surplus, as they have to pay more than their reservation price. This leads to a decrease in overall welfare.

Additionally, price discrimination can create market distortions and reduce transparency. Passengers might perceive the pricing practices as unfair or discriminatory, eroding trust in the airline industry. Moreover, the complexity of pricing strategies, such as dynamic pricing or personalized offers, can make it difficult for consumers to make informed decisions, hindering market efficiency.

In conclusion, the practice of airlines charging different prices for the same flight undermines exchange efficiency. It results in resource misallocation, reduced consumer surplus, market distortions, and decreased transparency. Achieving exchange efficiency requires a fair and transparent pricing system that maximizes overall welfare and promotes market efficiency.

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What are the different characteristics of hybrid project
management? Explain in detail?

Answers

Hybrid project management refers to the integration of different project management methodologies or approaches to suit the unique requirements of a project.

It combines elements from traditional or waterfall project management and agile project management. Here are some key characteristics of hybrid project management:

Tailored Approach: Hybrid project management allows for a customized approach based on the specific needs of the project. It recognizes that not all projects can be effectively managed using a single methodology and provides flexibility to adapt the project management approach accordingly.

Phased Execution: Hybrid projects often involve breaking down the project into distinct phases, similar to traditional project management. Each phase follows a sequential approach with defined deliverables and milestones. This helps in better planning and control of the project.

Agile Elements: Hybrid projects incorporate agile principles and practices to enhance flexibility, collaboration, and adaptability. It encourages iterative and incremental development, frequent feedback, and continuous improvement. Agile techniques like Scrum or Kanban may be used for specific parts of the project.

Project Complexity: Hybrid project management is particularly useful for projects with varying levels of complexity. It allows for different methodologies to be applied to different project components based on their complexity, level of uncertainty, or time sensitivity.

Stakeholder Involvement: Hybrid projects emphasize stakeholder engagement and collaboration. It encourages regular communication and involvement of stakeholders throughout the project lifecycle, ensuring their needs and expectations are understood and addressed effectively.

Emphasis on Results: Hybrid project management focuses on delivering tangible outcomes and value to stakeholders. It combines the discipline and structure of traditional project management with the flexibility and adaptability of agile approaches to achieve successful project outcomes.

Team Collaboration: Hybrid projects promote cross-functional collaboration and teamwork. It encourages collaboration between different teams or departments, fostering effective communication, coordination, and knowledge sharing.

Risk Management: Hybrid project management incorporates risk management practices from both traditional and agile methodologies. It emphasizes proactive identification, assessment, and mitigation of risks throughout the project, ensuring that risk management is an integral part of the project's governance.

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Although the pegged exchange rate between the yuan and the U.S. dollar has undervalued the yuan, China has been reluctant to abandon the peg for fear that abandoning the peg would
A) increase exports and increase the current account deficit.
B) reduce capital inflows.
C) reduce exports and reduce economic growth.
D) increase Chinese holdings of dollars.

Answers

B) reduce capital inflows. china has been reluctant to abandon the pegged exchange rate between the yuan and the U.S. dollar because abandoning it would reduce capital inflows.

A pegged exchange rate helps maintain stability and attracts foreign investors, as they have confidence in the value of the currency. If China were to abandon the peg, it could lead to currency volatility, potentially discouraging foreign investors and reducing the flow of capital into the country.

China has maintained a pegged exchange rate between the yuan and the U.S. dollar to keep its currency undervalued. This has provided certain advantages, such as making Chinese exports cheaper and promoting economic growth. However, abandoning the peg would have consequences. One of the primary concerns for China is that it would reduce capital inflows. A pegged exchange rate provides stability and predictability, which attracts foreign investors. If the peg is abandoned, there would likely be currency volatility, making it less attractive for foreign investors to bring their capital into China. This reduction in capital inflows could have negative implications for the Chinese economy.

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Why can Starbucks charge so much for a latte when there is a
less expensive option like Coffee Cafe Day being present in the
market?

Answers

Starbucks can charge a higher price for a latte compared to other cafes like Cafe Coffee Day due to several reasons such as brand value, premium ingredients, better service and strategic locations.

These include:

1. Brand value and image: Starbucks has created a strong brand identity and image over the years, which enables them to charge more for their products. Customers are willing to pay more for Starbucks' lattes as they perceive them to be of higher quality and better taste than other cafes.

2. Premium ingredients: Starbucks uses high-quality and premium ingredients in their lattes, such as arabica beans, organic milk, and flavorings like vanilla and caramel. These ingredients cost more than what is used by other cafes like Cafe Coffee Day, which leads to a higher price for their lattes.

3. Better service experience: Starbucks provides a better customer service experience with their welcoming environment, comfortable seating, and friendly staff. This leads to customers spending more time at the cafe, ordering more items, and paying more for their lattes.

4. Strategic locations: Starbucks strategically locates their cafes in high-traffic areas such as airports, malls, and tourist destinations. This gives them a wider customer base and enables them to charge more for their lattes due to the convenience factor for customers.

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Under a fair value hedge, the change in the fair value of the hedging derivative is
O ignored.
O reported under AOCl in the balance sheet.
O reported under retained earnings in the balance sheet.
O reported in the income statement.

Answers

Under a fair value hedge, the change in the fair value of the hedging derivative is reported in the income statement.

This is because a fair value hedge is used to offset the changes in the fair value of the hedged item due to specific risks that are being hedged. The purpose of a fair value hedge is to minimize the volatility in the income statement caused by changes in fair values. By reporting the change in the fair value of the hedging derivative in the income statement, allows for a more accurate reflection of the hedged item's fair value and ensures that the impact of the hedging transaction is properly accounted for in the financial statements.

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Which of the following statutory deductions would not be remitted to Revenu Quebec?
1. Quebec Pension Plan (QPP) contributions
2. Employment Insurance (El) Premiums
3. Quebec Income Taxes
4. Quebec Parental Insurance Plan (QPIP) Premiums

Answers

The statutory deduction that would not be remitted to Revenu Quebec is the Employment Insurance (EI) premiums. Hence, option 2 is the correct answer.

The Employment Insurance program is a federal program in Canada that provides temporary income support to individuals who are unemployed, sick, or on parental leave. The EI premiums are deducted from an employee's earnings and are intended to fund this program.

However, in the case of Quebec, the province operates its own separate parental leave program called the Quebec Parental Insurance Plan (QPIP). The QPIP provides benefits to eligible individuals taking parental leave, adoption leave, or paternity leave in Quebec. As a result, the premiums for the QPIP are deducted separately from an employee's earnings and remitted to Revenu Quebec, the provincial tax authority. These premiums contribute to funding the QPIP program and are specific to Quebec.

On the other hand, Employment Insurance (EI) premiums are remitted to the Canada Revenue Agency (CRA), the federal tax authority, and not to Revenu Quebec. The CRA administers the Employment Insurance program on a national level, including the collection of EI premiums.

It's important to note that Quebec residents are still subject to federal income taxes, as well as provincial income taxes levied by Revenu Quebec. These taxes are remitted to the respective tax authorities.

Hence, while deductions for the Quebec Pension Plan (QPP) contributions, Quebec Income Taxes, and Quebec Parental Insurance Plan (QPIP) premiums are remitted to Revenu Quebec, the Employment Insurance (EI) premiums are remitted to the Canada Revenue Agency (CRA) and not to Revenu Quebec. So, option 2 is correct.

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Is it valid to apply game theory to the analysis of
organizational strategy in a perfectly competitive market? Why or
why not?

Answers

Yes, game theory can be validly applied to the analysis of organizational strategy in a perfectly competitive market.

Game theory is a mathematical framework used to study strategic decision-making in competitive environments involving multiple participants or players. In a perfectly competitive market, firms are price takers and lack market power, as prices are determined by market forces of demand and supply. Despite this, game theory can still be employed to analyze strategic decisions in such markets.

Firms can utilize game theory to examine strategic interactions between different firms, determine optimal pricing strategies, assess the impact of competitive behaviors, and analyze the effects of new entrants in the market. By applying game theory, organizations can gain insights into the dynamics of strategic interactions and make informed decisions.

In summary, game theory is applicable to the analysis of organizational strategy in a perfectly competitive market, enabling firms to understand and navigate strategic interactions among players and determine the most advantageous courses of action.

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Approximately what percentage of start-up firms in the United States go bankrupt within the first two years? Multiple Choice 22 53 O 9.5 10.2

Answers

Answer: 22

Explanation: Industry data on startups from the Bureau of Labor Statistics provide valuable insights into the failure of startups. 20% of new businesses fail within the first two years. 45% of new business startups don't survive the fifth year.

Identify one visionary leader from the contemporary business
world and briefly discuss what change he/she has brought to the
world.

Answers

One visionary leader from the contemporary business world is Elon Musk, who has brought significant changes to various industries.

Elon Musk, the CEO of Tesla, SpaceX, and other ventures, has made a profound impact on the world through his innovative ideas and ambitious projects. Musk's vision and leadership have revolutionized the automotive, aerospace, and renewable energy industries.

In the automotive industry, Musk has played a pivotal role in popularizing electric vehicles (EVs) and accelerating their adoption. Through Tesla, he has introduced high-performance electric cars with longer ranges, challenging the perception that EVs are limited in performance and practicality. Musk's commitment to sustainable transportation has not only influenced the automotive sector but also inspired other manufacturers to invest in electric and autonomous technologies.

Furthermore, Musk's SpaceX has disrupted the aerospace industry by significantly reducing the cost of space exploration and launching satellites. His vision of making space travel more accessible and affordable has paved the way for private space missions and has the potential to shape the future of space exploration.

Overall, Elon Musk's visionary leadership has brought about transformative changes, pushing the boundaries of innovation and sustainability in the automotive, aerospace, and renewable energy sectors. His ventures continue to inspire and shape industries, emphasizing the importance of bold visions and technological advancements in creating a better future.

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78)Jimmy can be categorized under the late majoritycustomer segment. Which of the following behaviors is hemostlikely to exhibit?A)He will be confident in her ability to master anynew technology.B)He will prefer to buy from well-establishedbrands rather thanunknown new ventures.C)He will notrely on endorsements by the early majority or early adopters.D)He will buy beta versions of new products and technology

Answers

Jimmy, who can be categorized under the late majority customer segment, will prefer to buy from well-established brands rather than unknown new ventures.

The correct answer is Option B.

Jimmy can be categorized under the late majority customer segment. The Late Majority, also known as Skeptics or Laggards, is the second last to adopt an innovation. Their adoption is driven mainly by economic necessity or peer pressure from others who have already adopted the innovation.

The following behavior is most likely to be exhibited by Jimmy:

B) He will prefer to buy from well-established brands rather than unknown new ventures. The late majority usually has a high degree of skepticism when it comes to technology. They rely on well-established brands to make them feel comfortable and secure.

They will typically opt for established, proven technologies that have been in use for some time rather than untested new technologies. They prefer to be sure that the new product or technology has been tried and tested before they make a purchase.

The Late Majority of customers are also not early adopters or early majority customers. They are less confident in their ability to master any new technology and may not rely on endorsements by the early majority or early adopters. This segment of the market is usually very conservative and resistant to change.

They need plenty of convincing before they make a purchase and will often wait for a new product or technology to become more affordable or to prove its worth before they take the plunge.

The correct answer is Option B.

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a
coupon bond that pays interest of $70 annually has a par value of
$1000, matures in 6 years and is selling today at $50.50 discount
from par value.
The current yield on this bond is ______?

Answers

The current yield on this bond is approximately 7.37%. This indicates that the bond is offering a yield of 7.37% based on its current market price and the annual interest payment.

The current yield of a bond represents the annual return an investor would receive based on the bond's current market price. It is calculated by dividing the annual interest payment by the market price of the bond and expressing the result as a percentage.

In this scenario, the bond has a par value of $1000, an annual interest payment of $70, and is currently selling at a discount of $50.50 below its par value. To calculate the current yield, divide the annual interest payment ($70) by the market price of the bond ($1000 - $50.50 = $949.50) and multiply by 100 to express it as a percentage:

Current Yield = (Annual Interest Payment / Market Price) * 100

            = ($70 / $949.50) * 100

            = 7.37%

Therefore, the current yield on this bond is approximately 7.37%. This indicates that the bond is offering a yield of 7.37% based on its current market price and the annual interest payment.

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Which of the following accounts would be reported as assets on the balance sheet?

a. cash, accounts payable, and notes payable

b. cash, retained earnings, and accounts receivable

c. cash, accounts receivable, and inventories

d. inventories, property and equipment, and common stock

Answers

The accounts that would be reported as assets on the balance sheet are c. cash, accounts receivable, and inventories.

The balance sheet is a financial statement that presents the company's financial position at a specific point in time. Assets are resources owned by a company that has future economic value. In this case, option c. includes accounts that represent assets.

Cash is a liquid asset that includes physical currency, deposits in bank accounts, and other forms of readily available funds. Accounts receivable represents amounts owed to the company by its customers for goods or services that have been delivered but not yet paid for. It is an asset because the company has a legal claim to receive those funds in the future. Inventories are goods held by a company for sale in the ordinary course of business. They are considered assets as they have the potential to generate revenue when sold.

Options a., b., and d. include accounts that are not classified as assets on the balance sheet. Accounts payable and notes payable (option a.) are liabilities, representing amounts owed by the company to suppliers or creditors. Retained earnings (option b.) represent the accumulated profits or losses of the company and is part of the shareholders' equity section, not classified as an asset. In option d., inventories and property and equipment are assets, but common stock is part of the shareholders' equity section, not considered an asset on the balance sheet.

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You invested $9,000 at the end of each half-year for 7 years in an investment fund. At the end of year 7 , if the balance in the fund was $144,000, what was the nominal interest rate compounded semi-annually? % Round to two decimal places

Answers

The nominal interest rate compounded semi-annually is approximately 6.41%.

To solve this problem use the formula for the future value of an annuity:

FV = P × [(1 + r)²n - 1] / r,

where:

FV is the future value of the annuity,

P is the periodic payment,

r is the interest rate per compounding period, and

n is the number of compounding periods.

The future value (FV) is given as $144,000, the periodic payment (P) is $9,000, and the number of compounding periods (n) is 7 years × 2 compounding periods per year = 14 compounding periods.

solve for the interest rate (r):

144,000 = 9,000 ×[(1 + r)²14 - 1] / r.

To find the interest rate (r) use numerical methods or trial and error an iterative approach to solve the equation:

Assume an initial interest rate value,  say 5% (0.05 in decimal form).

Calculate the right-hand side of the equation using this assumed interest rate.

Compare the calculated value with the left-hand side of the equation (144,000).

The assumed interest rate up or down based on the comparison and repeat steps 2-4 until a close approximation is found.

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Which market or business model best describes Freelancer? (visit the site and then decide) Select one: Marked out of a. Two-sided market P Flag b. Peer to peer market c. Ecosystem d. Platform

Answers

Summary: Freelancer can be best described as a platform business model. The correct answer is option D.

Freelancer operates as a platform that connects two distinct sides of the market: clients seeking freelance services and freelancers offering their skills and expertise.

The platform provides a centralized marketplace where clients can post projects, set budgets, and select freelancers based on their requirements. Freelancers, on the other hand, can create profiles, showcase their work, and bid on projects that align with their skills.

As a platform, Freelancer facilitates the exchange of services by providing features such as project management tools, secure payment systems, dispute resolution mechanisms, and communication channels. It serves as a digital intermediary that brings together buyers and sellers, enabling them to engage in freelance work efficiently and effectively.

The platform business model adopted by Freelancer allows for scalability and network effects. As more clients and freelancers join the platform, the value of the marketplace increases, attracting even more participants.

This creates a self-reinforcing cycle where the growth of the platform leads to more opportunities, better matching, and increased value for both clients and freelancers.

In summary, Freelancer best fits the description of a platform business model. It operates as a digital marketplace connecting clients and freelancers, facilitating the exchange of freelance services, and providing a range of tools and features to support efficient and secure transactions.

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Other Questions
The book states "Some will want to have the project completed in the shortest amount of time, some will want to have the project completed at the lowest cost, and other clients may have other project goals. Project scheduling can help meet the stated objectives. The schedule can be viewed in several different ways to determine the optimal way to satisfy the client. ? Concentrating on the four solutions; all normal, least cost, least time, and all crash, what is this overall analysis called? You are the Chief Financial Officer of Incomprehensible Technologies Inc. (ITI). The CEO has asked you to calculate the firms overall WACC. Your team of analysts has presented you with the following data: Common Stock: The company has 50,000 shares of common stock outstanding that sells for $10 per share. The stocks beta is 1.8, Treasury Bills are yielding 2%, and the expected return of the market is 7%. Bonds: The company also has 500 bonds outstanding with a par value of $1000 and semi-annual coupon payments. The bonds have a coupon rate of 5%, there are 12.5 years to maturity, and they are currently selling on the market at $800. Preferred Stock: The company has 4000 shares of preferred stock outstanding that are selling for $25 on the market and pay quarterly dividends of $0.50 per share. Ignore the effect of taxes What is the company's WACC? Which of the following is not a reason we would monitor the accounts of a personal borrower:a. To make sure the account is not being used for illegal activitiesb. To make sure the borrower pays the maximum fees possible on their accounts.c. To provide an early warning of any problems such as excessive spending.d. To ensure that the account details are kept up to date. In certain countries, healthcare providers charge patients different amounts of consultation fees depending on the patients' ability to pay. 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