11. ABC Co. has an average collection period of 60 days. Total credit sales for the year were $3,285,000. What is the balance in accounts receivable at year-end? (Use 365 days in a year.)
A. $54,750
B. $109,500
C. $540,000
D. $547,500

Answers

Answer 1

Correction option C. $540,000 .

To calculate the balance in accounts receivable at year-end, we will use the average collection period and total credit sales data provided.

The average collection period is 60 days, which means that on average, it takes 60 days for ABC Co. to collect payments from its customers. We will also use the total credit sales for the year, which is $3,285,000.

To find the balance in accounts receivable at year-end, we will first calculate the daily credit sales:

Daily credit sales = Total credit sales / 365 days
Daily credit sales = $3,285,000 / 365
Daily credit sales = $9,000

Next, we will multiply the daily credit sales by the average collection period:

[tex]Accounts receivable balance = Daily credit sales * Average collection period[/tex]


Accounts receivable balance = $9,000 * 60
Accounts receivable balance = $540,000

Thus, the balance in accounts receivable at year-end is $540,000, which corresponds to option C.

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Related Questions

assume that the parameter values in the model of housing tenure choice are given as:mortgage interest rate depreciation rate accelerated depreciationi

Answers

In the model of housing tenure choice, various factors influence an individual's decision to rent or own a property. Key parameters to consider are the mortgage interest rate, depreciation rate, and accelerated depreciation.

1. Mortgage Interest Rate: The mortgage interest rate plays a significant role in housing tenure choice. A lower interest rate makes owning a property more attractive, as it reduces the overall cost of borrowing money to finance the purchase. Conversely, a higher interest rate may encourage individuals to rent rather than own, as the cost of borrowing becomes less affordable.

2. Depreciation Rate: Depreciation rate refers to the decrease in the value of a property over time due to factors such as wear and tear or obsolescence. A higher depreciation rate can make homeownership less appealing, as the potential loss in property value could outweigh the benefits of owning. Conversely, a lower depreciation rate might make owning a property more attractive.

3. Accelerated Depreciation: Accelerated depreciation is a method of allocating a larger portion of a property's depreciation expense in the earlier years of its useful life. This factor can impact housing tenure choice by allowing property owners to claim higher tax deductions early on, which might make owning a property more appealing compared to renting.

In conclusion, mortgage interest rate, depreciation rate, and accelerated depreciation are crucial parameters in the housing tenure choice model. These factors collectively influence an individual's decision to rent or own a property, depending on their specific financial situation and preferences.

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Which of the following costs is NOT a relevant cost for a one-time special order decision? Assume idle capacity exists to the extent of special order.direct manufacturing labor costsDirect material costsVariable manufacturing overhead costVariable marketing costs

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The cost that is not a relevant cost for a one-time special order decision is the variable marketing costs. The correct option is variable marketing costs.

This is because marketing costs are not directly related to the production of the special order product, but instead are focused on promoting and selling products to customers. Therefore, these costs would not change based on whether or not the special order is accepted.

On the other hand, direct manufacturing labor costs, direct material costs, and variable manufacturing overhead costs are all relevant costs for a one-time special order decision because they are directly related to the production of the special order product. These costs would change based on whether or not the special order is accepted and would need to be taken into consideration when determining the profitability of the special order.

It is important for businesses to carefully evaluate all relevant costs when making one time special order decisions in order to ensure that they are making a profitable and informed decision. The correct option is variable marketing costs.

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When should flexibility exercises be performed?
a. at the start of a workout
b. anytime after a muscle is warmed up
c. only in the evening when the muscles will be unused for some time
d. none of these

Answers

Flexibility exercises should be performed anytime after a muscle is warmed up, and should be done slowly and gently to prevent injury and improve range of motion.

Flexibility exercises can be performed anytime after a muscle is warmed up. It is not necessary to perform them only at the start of a workout or in the evening when the muscles will be unused for some time. It is important to warm up the muscles before performing any type of exercise, including flexibility exercises. This can be done through light aerobic activity, such as jogging or cycling, or through dynamic stretching.

Once the muscles are warmed up, flexibility exercises can be performed to improve range of motion, prevent injury, and reduce muscle soreness. It is important to perform each stretch slowly and gently, holding each stretch for at least 30 seconds. It is also important to avoid bouncing or forcing the stretch beyond a comfortable range of motion, as this can cause injury.

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The use of marketing research is
a) limited strictly to large corporations.
b) limited to for-profit businesses of all sizes.
c) controlled by the federal government.
d) widespread throughout business and nonprofit organizations.
e) carefully monitored by each state's trade agencies.

Answers

The use of marketing research is widespread throughout business and nonprofit organizations. Marketing research is a crucial tool that helps businesses of all sizes to make informed decisions about their products, services, and target audience.

By conducting marketing research, organizations can gain valuable insights into their customers' needs and preferences, the competition, and market trends. This enables them to create effective marketing strategies that are tailored to their target audience, and ultimately, drive growth and profitability. While large corporations may have bigger budgets for marketing research, small and medium-sized businesses can also benefit from it by using cost-effective methods such as online surveys or social media analytics. The use of marketing research is not controlled by the federal government or carefully monitored by each state's trade agencies, although some industries may have specific regulations or guidelines. Overall, marketing research is a valuable tool that can help businesses and nonprofits of all sizes to stay competitive and achieve their goals.

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in order to determine the standard deviation of usage during lead time in the reorder point formula for a fixed-order quantity inventory model, which of the following must be computed first?

Answers

In order to determine the standard deviation of usage during lead time in the reorder point formula for a fixed-order quantity inventory model, you must first compute the daily demand standard deviation and the lead time. This is because the standard deviation of usage during lead time is calculated by multiplying the daily demand standard deviation by the square root of lead time.



1. Calculate the daily demand standard deviation, which measures the variability of daily demand.
2. Determine the lead time, which is the time it takes from placing an order to receiving it.
3. Compute the standard deviation of usage during lead time by multiplying the daily demand standard deviation by the square root of lead time.

By following these steps, you will be able to determine the standard deviation of usage during lead time in the reorder point formula for a fixed-order quantity inventory model.

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woods co. has a note payable due in monthly installments over the next five years. this note will be reported under which of the following categories of the balance sheet? (check all that apply.) multiple select question. long-term assets current liabilities long-term liabilities current assets

Answers

Woods Co.'s note payable due in monthly installments over the next five years will be reported under the long-term liabilities category of the balance sheet.

This is because the payments are due over a period of more than one year and will not be fully paid off within the current operating cycle. Long-term liabilities are obligations that are not due for payment within a year or the normal operating cycle of the company, whichever is longer.

They include loans, bonds, and other financial obligations that are not expected to be paid off in the short term. Current liabilities, on the other hand, are obligations that are due within a year or the normal operating cycle of the company, whichever is longer.

Current assets are assets that are expected to be converted into cash within a year or the normal operating cycle of the company. Long-term assets are assets that are expected to provide benefits beyond one year, such as property, plant, and equipment.

Therefore, the note payable will not be reported under current liabilities, long-term assets, or current assets, but only under long-term liabilities.

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Which of the following lis a question that a firm must answer in the long run but not in the short run? O a. How many workers should it hire? O b. How much should it pay its workers? Oc. What prices should it charge for its products? Od. What is the profit-maximizing level of output? 0 e, what is the optimal amount of capital to employ?

Answers

The question that a firm must answer in the long run but not in the short run is "What is the optimal amount of capital to employ?"   So, the correct option is  E. What is the optimal amount of capital to employ?

In the short run, a firm is limited by its existing capital and cannot easily increase or decrease it. However, in the long run, a firm can adjust its capital and equipment to improve its efficiency and productivity. The optimal amount of capital a firm should employ is determined by considering the cost of capital, the expected return on investment, and the firm's overall strategy.

It is important for firms to make strategic decisions regarding capital investment in the long run to ensure their long-term sustainability and profitability. Additionally, firms must also consider factors such as technology advancements, market conditions, and changes in consumer demand when making long-term decisions about capital investment.

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Crane Company has contacted Wildhorse Inc. with an offer to sell it 5400 wickets for $19.00 each. If Wildhorse makes the wickets, variable costs are $12 per unit. Fixed costs are $12 per unit; however, $5 per unit is avoidable. Should Wildhorse make or buy the wickets? What are the savings of this choice? O Buy: savings = $10800 O Make; savings - $21600 O Buy; savings = $27000 O Make; savings - $10800

Answers

Wildhorse company has an offer to accept for selling its 5400 wickets at the price of $19 each with fixed  and variable cost of $12 per unit for each, while $5 is the unavoidable expense. Based on this, it must  Buy and Save = $10800 i.e option A.

To determine whether Wildhorse should make or buy the wickets from Crane Company, we need to calculate the total cost of each option.
If Wildhorse makes the wickets, the variable cost per unit is $12, and the fixed cost per unit is $12 (with $5 per unit being avoidable). This means the total cost per unit is $19 ($12 variable cost + $7 fixed cost ($12 - $5 avoidable cost)).

If Wildhorse buys the wickets from Crane Company, the cost per unit is $19.

Therefore, it is more cost-effective for Wildhorse to buy the wickets from Crane Company, as the cost per unit is the same and there are no additional fixed or variable costs.

The savings of this choice would be $10,800 (5400 units x $2 per unit saved by buying instead of making). Therefore, the correct answer is option A - Buy; savings = $10,800.

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A registered representative is allowed to choose which of the following in a transaction without requiring written trading authorization from the customer?Price timeboth of all

Answers

A registered representative is allowed to choose the "time" of a transaction without requiring written trading authorization from the customer. Price, however, would typically require authorization.

As a general rule, a registered representative (also known as a stockbroker or financial advisor) is required to obtain written trading authorization from a customer before executing a transaction in the customer's account.

However, there are some situations where the representative may be allowed to choose the "time" of a transaction without requiring written authorization for the specific transaction.

The distinction between "time" and "price" authorization is based on the level of control that the customer has over the transaction.

"Time" authorization allows the representative to choose when to execute a transaction (for example, at a specific time of day or on a particular day), but the customer retains control over the price at which the transaction is executed.

"Price" authorization, on the other hand, allows the representative to choose the price at which the transaction is executed, but the customer must specifically authorize that price.

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The following are examples of typical marketing communications objectives, except:
A) increase market share
B) increase the number of products offered
C) increase profits
D) increase return on investment

Answers

Increase the number of products offered is not a typical marketing communications objective. Option B is correct.

Marketing communications objectives typically focus on increasing sales, profits, and market share, as well as improving brand awareness, brand loyalty, and customer engagement. Increasing the number of products offered is a business objective that may be supported by marketing communications efforts, but it is not typically a primary objective in and of itself. Marketing communications objectives are specific, measurable goals that businesses set to achieve through their marketing communications efforts. These objectives help to guide the development of marketing strategies and tactics, as well as to evaluate the effectiveness of marketing campaigns. Increasing return on investment (ROI): This objective aims to increase the financial return on marketing investments. This can be achieved through tactics such as targeting high-value customers, optimizing marketing channels, and tracking and analyzing marketing performance data

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The_______ form of business assists people in becoming owners without having to work at the firm

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The form of business that assists people in becoming owners without having to work at the firm is known as franchising. Franchising is a business model that allows individuals or groups to buy the rights to use a company's name, logo, products, and services in exchange for an initial fee and ongoing royalties.

Franchising provides a way for individuals to start a business with an established brand name and proven business model, without having to develop their own products or services from scratch.

Franchising is a popular way for entrepreneurs to start a business because it offers many benefits, such as access to a proven business model, established brand recognition, marketing support, and training and support from the franchisor. Additionally, franchising allows entrepreneurs to benefit from economies of scale, which means they can purchase products and services at a lower cost than if they were to start their own businesses.

However, becoming a franchise owner also comes with its own set of challenges. Franchise owners must adhere to the guidelines and standards set by the franchisor, and they must pay ongoing royalties and fees. They also have less control over the business than if they were to start their own business from scratch.

Overall, franchising can be a great option for individuals who want to become business owners without having to work at the firm, but it is important to carefully consider the benefits and challenges before making a decision.

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which of the following are employer requirements for safety training and education? create safety and health programs create job site inspection procedures prepare safety expense allocations all of the above

Answers

The employer requirements for safety training and education include creating safety and health programs, creating job site inspection procedures, and providing safety expense allocations. Therefore, the correct answer is: all of the above.

Employers have a legal obligation to provide safety training and education to their employees in order to ensure a safe and healthy work environment. The Occupational Safety and Health Administration (OSHA) has established standards for workplace safety, which include requirements for safety training and education. Employers must create safety and health programs that include information about hazards in the workplace, procedures for reporting and investigating incidents, and protocols for emergency response. Employers must also create job site inspection procedures to identify and address potential safety hazards. Additionally, employers are required to provide safety expense allocations to cover the cost of safety equipment and training programs. Failure to meet these requirements can result in fines and legal liability for workplace injuries or fatalities.

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In the food prep area, the only jewelry allowed on an employees hands or arms is:
A. A medical bracelet
B. A diamond engagement ring
C. A charm bracelet
D. A plain wedding band

Answers

The best alternative is D. A plain wedding band. jewelry worn on hands or arms can pose a food safety risk by harboring bacteria or falling into food during preparation.

However, a plain wedding band is allowed because it poses a minimal risk and is generally considered safe. A medical bracelet is also allowed as it serves a necessary medical purpose. On the other hand, diamond engagement rings and charm bracelets are not allowed because they have crevices and spaces where bacteria can hide and are also more likely to fall off into food. In conclusion, food safety should be a top priority in the food prep area, and guidelines such as these are in place to ensure that the risk of food contamination is minimized.

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List the steps required for detecting errors when a trial
balance does not balance. Think about the posting procedure and the
information about detecting errors in trial balances.

Answers

By following these steps, you should be able to detect errors when a trial balance does not balance, and then make the necessary corrections to ensure accuracy in your financial records.

Here are the steps, considering the posting procedure and information about detecting errors in trial balances:

1. Recheck the arithmetic: Ensure that the calculations for the sum of debit and credit columns in the trial balance are accurate.
2. Verify the account balances: Re-examine the ledger accounts to make sure that the balances for each account have been accurately transferred to the trial balance.
3. Review the posting process: Carefully analyze the journal entries to confirm that they have been correctly posted to the relevant ledger accounts as debits or credits.
4. Inspect for missing entries: Look for any journal entries that may have been inadvertently omitted while preparing the trial balance.
5. Double-check for transposition errors: Confirm that there are no errors in transferring figures from the ledger accounts to the trial balance. Transposition errors occur when two digits are reversed, such as writing "42" instead of "24".
6. Ensure correct account classification: Make sure that each account has been classified correctly as an asset, liability, equity, revenue, or expense.
7. Reevaluate the balancing process: Review the procedure followed while balancing each ledger account to ensure it has been done accurately.

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Logistics systems having a very heavy inbound flow and a very simple outbound flow are reverse systems.
a. true
b. false

Answers

The statement "Logistics systems having a very heavy inbound flow and a very simple outbound flow are reverse systems" is false.

A reverse logistics system, also known as a "closed-loop" system, is a process of moving goods from their final destination for the purpose of capturing value, or proper disposal. It involves the movement of goods from the customer back to the manufacturer or retailer.
On the other hand, a logistics system with heavy inbound flow and simple outbound flow is a traditional logistics system that involves the movement of goods from the supplier to the customer. This process is straightforward, with the primary objective of delivering goods to the customer efficiently and effectively.
Therefore, it can be concluded that the given statement is incorrect, and logistics systems with heavy inbound flow and simple outbound flow are not reverse logistics systems.
A logistics system with a heavy inbound flow and a simple outbound flow is not necessarily a reverse system. Reverse logistics systems specifically deal with the management of products and materials moving in the opposite direction of the traditional supply chain (e.g., from the consumer back to the manufacturer or distributor). This is usually for purposes like returns, recycling, or disposal. While a heavy inbound flow and simple outbound flow could indicate some elements of reverse logistics, it doesn't confirm the entire system is a reverse logistics system.

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the monopoly dimension of monopolistic competition is that the firm: group of answer choices confronts a downward sloping demand curve for its product. must worry about how its rivals respond to changes in its behavior. will earn an economic profit. has no competitors.

Answers

The monopoly dimension of monopolistic competition is that the firm confronts a downward sloping demand curve for its product.

What's monopolistic competition

Monopolistic competition refers to a market structure in which firms have some degree of market power, but face competition from other firms producing similar products.

The monopoly dimension of monopolistic competition refers to the fact that these firms still face a downward sloping demand curve for their products.

This means that as the firm raises its prices, it will sell fewer units, and as it lowers its prices, it will sell more units. However, unlike a pure monopoly, firms in monopolistic competition must worry about how their rivals respond to changes in their behavior.

This is because they are producing differentiated products, which means that consumers may switch to a rival's product if the firm raises its prices too much.

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Jill is a student at Vanderbilt University who recently got her first F. Now she has to make a decision about how to get her grades back up. Having recently taken a class on decision making, Jill decides to follow the six-step process for deciding what to do. What problem is Jill most likely to face during the development of alternatives step in the decision-making process?

Answers

During the development of alternatives step in the decision-making process, Jill is most likely to face the problem of coming up with a limited number of alternatives.

She may struggle to think of all possible options or may feel that the options she comes up with are not satisfactory. In this step, it's important to generate as many alternatives as possible to ensure that all potential options are considered and to increase the likelihood of making an effective decision. To overcome this problem, Jill can try brainstorming, asking for advice from others, or using other decision-making tools to help her generate a larger number of alternatives.

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Bill owns a furniture store in San Antonio. He relies on online customer reviews to find out what customers like about the line of furniture he carries and what customers find unsatisfactory about the service at his store. Which of the following is true about the feedback process of communication that could assist Bill?a.Feedback cannot be nonverbal.b.Feedback takes place before the process of decoding.c.With the increase in online advertising and social media, marketers are able to get more feedback via the internet.d.Indirect feedback does not help mass communicators to decide whether to continue, modify, or drop a message.

Answers

The true statement about the feedback process of communication that could assist Bill is: With the increase in online advertising and social media, marketers are able to get more feedback via the internet. The correct option is C.

The reason this statement is true is that online advertising and social media platforms provide businesses with numerous channels to receive direct feedback from their customers.

Bill can utilize these platforms to monitor customer reviews and gain insights about what they like and dislike about his furniture store's products and services. This feedback is invaluable for improving customer satisfaction and making necessary adjustments in his store.

Other options in your question are not accurate because:

a. Feedback can be nonverbal, such as gestures or facial expressions, although this may not be applicable in Bill's online context.


b. Feedback usually takes place after the process of decoding, as it is a response to a received message.


d. Indirect feedback, such as observing customer behavior or sales trends, can help mass communicators decide whether to continue, modify, or drop a message, although it may not be as specific as direct feedback.

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Complete question:

Bill owns a furniture store in San Antonio. He relies on online customer reviews to find out what customers like about the line of furniture he carries and what customers find unsatisfactory about the service at his store. Which of the following is true about the feedback process of communication that could assist Bill?

a. Feedback cannot be nonverbal.

b. Feedback takes place before the process of decoding.

c. With the increase in online advertising and social media, marketers are able to get more feedback via the internet.

d. Indirect feedback does not help mass communicators to decide whether to continue, modify, or drop a message.

In 2018, Mike Krzyewski and John Calipari topped the list of highest paid college basketball coaches (Sports Illustrated website). The following sample shows the head basketball coach's salary for a sample of 10 schools playing NCAA Division I basketball. Salary data are in millions of dollars. Excel File: data11-05.xlsx University Coach's Salary University Coach's Salary North Carolina State 2.2 Miami (FL) 1.5 Iona Creighton 1.3 Texas A&M 2.4 Texas Tech 1.5 Oregon South Dakota State 0.3 Iowa State New Mexico State a. Use the sample mean for the 10 schools to estimate the population mean annual salary for head basketball coaches at colleges and universities playing NCAA Division I basketball (to 2 decimals). million b. Use the data to estimate the population standard deviation for the annual salary for head basketball coaches (to 4 decimals). million c. What is the 95% confidence interval for the population variance (to 2 decimals)? Use Table 11.1. million, $ million) d. What is the 95% confidence interval for the population standard deviation (to 2 decimals)? Use Table 11.1. ($ million, $ million) $ $ ($ TABLE 11.1 Selected Values from the Chi-Square Distribution Table Area or probability Degrees of Freedom 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 .99 .000 .020 . 115 297 554 .872 1.239 1.647 2.088 2.558 3.053 3.571 4.107 4.660 5.229 5.812 6.408 7.015 7.633 8.260 8.897 9.542 10.196 10.856 11.524 12.198 12.878 13.565 14.256 14.953 22.164 37.485 53.540 70.065 .975 .001 .051 216 484 831 1.237 1.690 2.180 2.700 3.247 3.816 4.404 5.009 5.629 6.262 6.908 7.564 8.231 8.907 9.591 10.283 10.982 11.689 12.401 13.120 13.844 14.573 15.308 16.047 16.791 24.433 40.482 57.153 74.222 Area in Upper Tail .95 .90 .10 .05 .025 .01 .004 016 2.706 3.841 5.024 6.635 .103 211 4.605 5.991 7.378 9.210 352 584 6.251 7.815 9.348 11.345 .711 1.064 7.779 9.488 11.143 13.277 1.145 1.610 9.236 11.070 12.832 15.086 1.635 2.204 10.645 12.592 14.449 16.812 2.167 2.833 12.017 14.067 16.013 18.475 2.733 3.490 13.362 15.507 17.535 20.090 3.325 4.168 14.684 16.919 19.023 21.666 3.940 4.865 15.987 18.307 20.483 23.209 4.575 5.578 17 275 19.675 21.920 24.725 5.226 6.304 18.549 21.026 23.337 26.217 5.892 7.041 19.812 22.362 24.736 27.688 6.571 7.790 21.064 23.685 26.119 29.141 7.261 8.547 22.307 24.996 27.488 30.578 7.962 9.312 23.542 26.296 28.845 32.000 8.672 10.085 24.769 27.587 30.191 33.409 9.390 10.865 25.989 28.869 31.526 34.805 10.117 11.651 27.204 30.144 32.852 36.191 10.851 12.443 28.412 31.410 34.170 37.566 11.591 13.240 29.615 32.671 35.479 38.932 12.338 14.041 30.813 33.924 36.781 40.289 13.091 14.848 32.007 35.172 38.076 41.638 13.848 15.659 33.196 36.415 39.364 42.980 14.611 16.473 34.382 37.652 40.646 44.314 15.379 17.292 35.563 38.885 41.923 45.642 16.151 18.114 36.741 40.113 43.195 46.963 16.928 18.939 37.916 41.337 44.461 48.278 17.708 19.768 39.087 42.557 45.722 49.588 18.493 20.599 40.256 43.773 46.979 50.892 26.509 29.051 51.805 55.758 59.342 63.691 43.188 46.459 74.397 79.082 83.298 88.379 60.391 64.278 96.578 101.879 106.629 112.329 77.929 82.358 118.498 124.342 129.561 135.807 20 21 22 23 24 25 26 27 28 29 30 40 60 80 100

Answers

In 2018, Mike Krzyewski and John Calipari topped the list of highest paid college basketball coaches confidence interval We calculate the population mean and population standard deviation using the provided data.

The population variance and population standard deviation are then calculated using this estimate to produce a 95% confidence interval.

Salary in million dollar range: 2.2, 1.5, 0.5, 1.3, 2.4, 1.5, 2.7, 0.3, 2.0, 0.3

A: The mean is equal to the total of all values divided by the total number of values. So 2.2+1.5+0.5+1.3+2.4+1.5+2.7+0.3+2.0+-0.3 = 1.42 10

The median wage in the sample is $1.42 million.

The square root of the square of the difference between each value and the mean, divided by one fewer than the total number of values, is the standard deviation.

So (2.2-1.42)²+(1.5-1.42)²+(0.5–1.42)2+ (1.3–1.42)2+(2.4-1.42)2. 9 0.8772. Therefore, 0.8772 million is the estimated population standard deviation.

Concerning c:

Sample size is n = 10 people.

The level of significance is a = 1-0.05 = 0.95.

S = 0.8772 is the estimate for the sample standard deviation.

We now need to determine the Pearson distribution's crucial values. They include:X1-gn-1 0.975,9 n-1 X0.025.9 = 19.0228 2 X 2 = 2.7004

The population variance's confidence interval is (n-1)8 (n-1)s o 2 X-gn-1 Xa -1 9*0.8772 9*0.8772 o 19.0228 2.7004 0.3641 o 2.5646.

The population variance's 95% confidence interval is (0.3641, 2.5646). Variance's square root equals standard deviation, so: V0.3641=0.6034 V2.5646 = 1.6014 The population standard deviation's 95% confidence interval is (0.6034, 1.6014).

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you want to use automatic conversion of purchase requisitions into purchase orders for some raw materials. what are the prerequisites

Answers

When it comes to using an automatic conversion of purchase requisitions into purchase orders for raw materials, there are a few prerequisites that need to be in place in order for the process to work effectively. Firstly, you need to have a well-established procurement process in place that includes defining raw material requirements and setting up a system for managing purchase orders.

Secondly, you need to have a comprehensive list of raw materials that require automatic conversion of purchase requisitions into purchase orders. This means that you should identify the raw materials that are frequently ordered and have a system for managing the inventory levels to ensure that there are always enough raw materials on hand.

Thirdly, you need to have a robust ERP (Enterprise Resource Planning) system that can handle the automated conversion of purchase requisitions into purchase orders. The system should have the capability to automatically create purchase orders based on the raw material requirements and integrate with your suppliers' systems.

Finally, you need to have a team in place that can manage the automated process and handle any issues that may arise. This team should have the necessary skills and expertise to ensure that the automated process runs smoothly and that any problems are resolved quickly.

In summary, the prerequisites for using automatic conversion of purchase requisitions into purchase orders for raw materials include a well-established procurement process, a comprehensive list of raw materials, a robust ERP system, and a dedicated team to manage the process. With these in place, you can streamline your procurement process, reduce costs, and improve efficiency.

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Texoma has 2 manufacturing departments, A and B Total Factory overhead is $3,850,000 - $2,000,000 to Dept A and the rest to Dept B Each department will utilize 50,000 hrs of Direct Labor each for a total of 100,000 dih at a total cost of $15,000,000 ($150/hr) What is the Department Overhead Allocation Rate for Departments A and B, respecívely?a. $40 per dhl, $37 per dhib. $38.50 per dhl for both c. $47 per dhi, $40 per dhid. d. $40 per dhi. $32 per dhi

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The Department Overhead Allocation Rate for Departments A and B, $40 per dhl and $37 per dhl (option A) respectively.

To find the Department Overhead Allocation Rate for Departments A and B, follow these steps:

1. Determine the total overhead allocated to each department.
- Dept A: $2,000,000
- Dept B: $3,850,000 - $2,000,000 = $1,850,000

2. Determine the total direct labor hours (dhl) for each department.
- Dept A: 50,000 hours
- Dept B: 50,000 hours

3. Calculate the Department Overhead Allocation Rate for each department by dividing the total overhead allocated by the total direct labor hours.
- Dept A: $2,000,000 / 50,000 hours = $40 per dhl
- Dept B: $1,850,000 / 50,000 hours = $37 per dhl

So, the Department Overhead Allocation Rate for Departments A and B are $40 per dhl and $37 per dhl, respectively. The correct answer is option a. $40 per dhl, $37 per dhl.

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Elbow, Inc makes maccaroni. It uses the Weighted Average Method for inventory cost flows. The total Equivalent Units for the period are calculated at = 2,010,000 units Ending Inventory = 325,000 units. Direct materials cost = $4,500,500 Direct labor = $6,813,550; Factory Overhead = $1,911,750; Administrative salaries = $532,000; Selling expenses = $387,000. Calculate the cost per Equivalent Unita. $6.58 per Equ. Unit b. $7.04 per c. $785 per Equ. Unit d. $6.94 per Equ. Unit

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The cost per equivalent unit for Elbow, Inc withe the use of weighted inventory methods $6.58 (Option a).

To calculate the cost per Equivalent Unit using the Weighted Average Method, follow these steps:

1. Determine the total manufacturing costs: Add Direct Materials, Direct Labor, and Factory Overhead costs.
Total Manufacturing Costs = Direct Materials + Direct Labor + Factory Overhead
Total Manufacturing Costs = $4,500,500 + $6,813,550 + $1,911,750
Total Manufacturing Costs = $13,225,800

2. Calculate the cost per Equivalent Unit: Divide the Total Manufacturing Costs by the total Equivalent Units for the period.
Cost per Equivalent Unit = Total Manufacturing Costs / Total Equivalent Units
Cost per Equivalent Unit = $13,225,800 / 2,010,000
Cost per Equivalent Unit = $6.58

So, the cost per Equivalent Unit is $6.58 (Option a).

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international trade question 2 options: a) raises the standard of living in all trading countries. b) lowers the standard of living in all trading countries. c) leaves the standard of living unchanged. d) raises the standard of living for importing countries and lowers it for exporting countries

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International trade raises the standard of living for importing countries and lowers it for exporting countries. Option D is correct.

International trade can lead to an increase in the standard of living for countries that import goods and services they are unable to produce domestically. By importing goods and services, these countries are able to expand their consumption choices, and access resources, technology, and expertise that may not be available domestically.

This can lead to an increase in productivity, lower costs, and improved living standards.

On the other hand, exporting countries may experience a decline in their standard of living as their resources are directed towards producing goods for export rather than for domestic consumption. This can lead to higher prices and reduced availability of goods and services domestically, which can have negative impacts on the standard of living for the exporting country.

However, it is worth noting that in the long term, international trade can also lead to economic growth and development, which can benefit both importing and exporting countries. Therefore, option D is correct.

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LINEAR PROGRAMMING 3.(15 points) Patrick Torres, a former QMIT Lecturer known as "Boy Petiks", was bored one day. He talked about it with his closest summer friends, namely Manager, Boy Easy (Now known as Boy Medium), Boy Terror, Boy Intact, Boy Mentos, Boy Quant-Jay, Coach, Kerish, Vince, Gihoe, Girl, Salazar, Sean, and Stephen, and they all conducted some market research. One of the market opportunities they identified was the lack of solid bars in Katipunan, which are usually congested due to the high number of students in the area. After much advice and consultation, they decided to put up a new bar. After 69 failed attempts, they created and currently sell four kinds of mixed drinks, namely the Manager, the Easy, the Coach, and the Gin Bulag Petiks Special (GBPS), which each earn a profit of 120, 55, 50, and 15 pesos per drink sold, respectively. Table 1 lists the composition of each mixed drink as well as the available daily supply of each component. Easy Table 1: Drink component requirements and daily component supply Resource Usage per Drink Component Manager Coach GBPS Daily Supply Tequila 20 40 16,000 Rum 10 30 11,000 Vodka 40 30 10,000 Whisky 100 3,000 Gin 30 400 31,000 Coke 80 80 50 18,000 Sprite 40 50 12,000 Tonic 50 50 80 6,000 Because of the nature of their business and the dangers associated with excessive alcohol consumption, they also have to adhere to certain regulations: They can only produce up to 150 liters of mixed drinks per day. They can only produce up to 450 mixed drinks per day. The volume of Vodka used must not exceed the volume of Tequila used. The number of Gin Bulag Petiks Specials produced must not exceed 35% of the total number of mixed drinks produced. The total volume of Gin Bulag Petiks Specials produced must not exceed 65% of the total volume of mixed drinks produced. . If they need additional drink components, Bong, their supplier, is able to supply them with up to an additional 2 liters per drink component per day, up to a total of 10 liters per day, at the following prices: 120 pesos per liter of Tequila, Rum, or Vodka; 200 pesos per liter of Whisky; 20 pesos per liter of Gin; 30 pesos per liter of Coke or Sprite; 55 pesos per liter of Tonic. Lastly, in order to ensure that they, the owners of the bar, do not just drink all of the unused components themselves, Boy Petiks said that at least half of their stock of each component should be used. Formulate the scenario as a linear program.

Answers

The objective function and constraints ensure that the bar owners maximize profit while adhering to production and regulatory constraints and component usage guidelines.

Let x1, x2, x3, and x4 be the number of Manager, Easy, Coach, and GBPS drinks produced, respectively.

The objective function to maximize profit is:

Maximize Z = 120x1 + 55x2 + 50x3 + 15x4

Subject to the following constraints:

Tequila: 20x1 + 40x2 ≤ 16000 + 2y1

Rum: 10x1 + 30x2 ≤ 11000 + 2y2

Vodka: 40x1 + 30x2 ≤ 10000 + 2y3

Whisky: 100x1 + 3000x3 ≤ 20000 + 2y4

Gin: 30x1 + 400x2 ≤ 31000 + 2y5

Coke: 80x1 + 80x2 + 50x3 ≤ 18000 + 2y6

Sprite: 40x1 + 50x2 + 12x3 ≤ 12000 + 2y7

Tonic: 50x1 + 50x2 + 80x3 ≤ 6000 + 2y8

Production constraints:

x1 + x2 + x3 + x4 ≤ 450 (maximum number of drinks produced per day)

20x1 + 40x2 + 16x4 ≤ 15000 (maximum liters of mixed drinks produced per day)

Regulatory constraints:

40x4 ≤ 0.35(x1 + x2 + x3 + x4) (maximum 35% of GBPS)

16x1 + 30x2 + 10x3 + y1 + y2 + y3 ≤ 2(20x1 + 40x2 + y1 + y2 + y3) (volume of Vodka must not exceed the volume of Tequila)

40x4 ≤ 0.65(x1 + x2 + x3 + x4) (total volume of GBPS must not exceed 65% of total volume of mixed drinks produced)

Component usage constraints:

20x1 + 10x2 + 40x3 + 100x1 + 30x2 + 30x3 + 30x1 + 400x2 + 80x3 + 40x1 + 50x2 + 12x3 + 50x1 + 50x2 + 80x3 ≥ 0.5(16000 + 11000 + 10000 + 20000 + 31000 + 18000 + 12000 + 6000)

The decision variables are x1, x2, x3, x4, y1, y2, y3, y4, y5, y6, y7, and y8, which represent the number of drinks produced and the additional liters of each component purchased, respectively.

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Problem 6-25 Using Bond Quotes (LO 2] Suppose the following bond quote for IOU Corporation appears in the financial page of today's newspaper. Assume the bond has a face value of $2,000, and the current date is April 15, 2019 Company (Ticker) IOU (OU) Last Yield Coupon 7.75 Last Price 93.047 Maturity Apr 15, 2040 EST Vol (000s) 109 a. What is the yield to maturity of the bond? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.) b.What is the current yield? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)

Answers

The current yield of the bond is 8.33%.

a. To calculate the yield to maturity of the bond, we first need to determine the present value of all future cash flows. We can use the following formula:

PV = (C / (1 + r)^1) + (C / (1 + r)^2) + ... + (C + FV) / (1 + r)^n

where:
PV = present value
C = annual coupon payment
r = yield to maturity (unknown)
FV = face value
n = number of years to maturity

Using the information given in the bond quote, we can calculate the annual coupon payment as 7.75% of the face value, or $155. We can also determine the number of years to maturity as 21 (2040 - 2019).

Using a financial calculator or spreadsheet program, we can solve for the yield to maturity as 8.38%.

Therefore, the yield to maturity of the bond is 8.38%.

b. To calculate the current yield of the bond, we simply divide the annual coupon payment by the current market price of the bond. Using the information given in the bond quote, we can calculate the current market price as 93.047% of the face value, or $1,861.

Dividing the annual coupon payment of $155 by the current market price of $1,861, we get a current yield of 8.33%.

Therefore, the current yield of the bond is 8.33%.

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The credit sales and purchases for the month of December 2021 in respect to Shield & Co were as follows:
2021 Net Vat 10% Gross Dec 1 Sales to L. Odinson 10 _____ ____
10 Purchases from S. Rogers Ltd 90 _____ ____
20 Sales to T. Stark 410 _____ ____
31 Purchases from Vision Associates 150 _____ ____
Requirement: a. Calculate the Vat amount and the Gross amount b. Write all the relevant books and ledger accounts for the month

Answers

Shield & Co had credit sales and purchases in December 2021. The details of these transactions are as follows: On December 1, they sold goods to L. Odinson for a net amount of 10.

No VAT was added. On the same day, they also purchased goods from S. Rogers Ltd for a net amount of 90.

No VAT was added. On December 20, they sold goods to T. Stark for a net amount of 410. No VAT was added. Finally, on December 31, they purchased goods from Vision Associates for a net amount of 150. No VAT was added.

To calculate the VAT amount and the Gross amount, we need to know that the VAT rate is 10%. To calculate the VAT amount, we multiply the net amount by the VAT rate (10%). The Gross amount is the sum of the net amount and the VAT amount.

Now, to keep a record of these transactions, Shield & Co should maintain relevant books and ledger accounts. For the sales made to L. Odinson, they should maintain a sales book and a debtor's ledger account. For the purchase made from S. Rogers Ltd, they should maintain a purchase book and a creditor's ledger account. Similarly, for the sales made to T. Stark, they should maintain a sales book and a debtor's ledger account. Finally, for the purchase made from Vision Associates, they should maintain a purchase book and a creditor's ledger account.

These books and ledger accounts will help Shield & Co to keep track of their transactions and monitor their financial position. By maintaining proper books and ledger accounts, they can ensure that they are accurately recording their transactions and complying with tax laws and regulations.

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5. In examining the liquidity ratios, the primary emphasis is the firm's:
A. ability to effectively employ its resources.
B. overall debt position.
C. ability to pay short-term obligations on time.
D. ability to earn an adequate return.

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The primary emphasis of examining liquidity ratios is the firm's ability to pay short-term obligations on time. Liquidity ratios are financial metrics that measure a company's ability to meet its short-term financial obligations. These ratios help investors, creditors, and analysts assess a company's financial health, solvency, and risk.

A company with a high liquidity ratio has a greater ability to meet its short-term obligations without relying on external sources of financing.

Some of the commonly used liquidity ratios include the current ratio, quick ratio, and cash ratio. The current ratio measures a company's ability to pay its short-term liabilities using its current assets, while the quick ratio is a more stringent measure that excludes inventory from current assets. The cash ratio measures a company's ability to pay off its short-term liabilities using only its cash and cash equivalents.

Liquidity ratios are important indicators of a company's financial stability and its ability to manage its financial resources effectively. It is essential for a company to maintain an appropriate balance between liquidity and profitability. A high liquidity ratio indicates that the company has sufficient resources to meet its short-term obligations but may be sacrificing long-term growth and profitability. On the other hand, a low liquidity ratio indicates that the company may be at risk of defaulting on its short-term obligations. Therefore, analyzing liquidity ratios is crucial in assessing a company's financial health and risk.

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the cost of not taking the discount on trade credit of 3/20, net 90 is approximately blank.multiple choice15.9.3.0.4%

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The cost of not taking the discount on trade credit of 3/20, net 90 is approximately 15.9%. Effective cost of trade credit = (1+discount rate1−discount rate)365/(full payment day - discount payment days)−1.

This means that if a company decides not to take advantage of the discount offered by their supplier and pays the full amount within the 90-day period, they are effectively paying an additional 15.9% of the invoice amount in interest charges.

This is because the supplier is effectively charging interest on the amount owed beyond the discount period. Therefore, it is generally advisable for companies to take advantage of trade credit discounts wherever possible, as it can help to reduce their overall costs and improve their cash flow management.

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Peru has exports of $31.5 million and imports of $30 million.Peru
A)sells more overseas then it buys from overseas;it has a trade deficit.
B)sells more overseas then it buys from overseas;it has a trade surplus.
C)buys more from overseas then it sells overseas;it has a trade deficit.
D)buys more from overseas then it sells overseas;it has a trade surplus.

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With exports of $31.5 million and imports of $30 million, Peru "sells more overseas then it buys from overseas;it has a trade surplus." Option B is correct.

This means that Peru is exporting more goods and services than it is importing, resulting in a surplus of funds. A trade surplus can be seen as a positive sign for the economy, as it indicates that the country is able to compete internationally and generate revenue through its exports. This can lead to increased job opportunities and economic growth within the country.

On the other hand, a trade deficit, where a country imports more than it exports, can lead to a drain on resources and a decrease in domestic production.

Option B holds true.

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Why should there be only one Product Owner per product?

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There should only be one Product Owner per product because it ensures a clear and unified vision for the product. Having multiple Product Owners can lead to conflicting priorities and goals, which can result in confusion and delays in decision-making.

Additionally, having a single Product Owner helps to establish accountability and responsibility for the success of the product.

The Product Owner is responsible for defining and prioritizing the product backlog, communicating the product vision to the development team, and ensuring that the product meets the needs of the customers and stakeholders. It requires a deep understanding of the market, the users, and the business goals, which is difficult to achieve when there are multiple Product Owners with different perspectives and opinions.

Furthermore, having a single Product Owner allows for effective communication between the development team and the stakeholders. The Product Owner can act as a liaison between these groups, ensuring that the stakeholders' needs are understood and translated into actionable items for the development team.

In conclusion, having only one Product Owner per product ensures a clear vision, accountability, and effective communication, which are all essential for the success of the product.

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