Examples of how to improve perceptual acuity include: A. A CEO meets with other CEOs of non-competing companies to examine the world from multiple perspectives and then shares the results with his own management team. B. A CEO meets with the company management team regularly to analyze current world events and their potential impact on the company. C. A CEO meets with direct competitors to analyze current industry trends. The CEOs share their conclusions with their respective companies. D. Outsiders are brought in to the board meeting to critique the company strategy, which considers the new information in its potential revamping of the strategy.

Answers

Answer 1

Answer:

The answer is "Option C".

Explanation:

It was its human detector for seeing confusion through the fog because you can respond until others use it. Only a tiny portion of future executives look in and peek over the horizon towards their businesses from the outside to collect signs that could be bringers of shift.

It is also known as the psychological or mental preparedness throughout the external environment that can "see around corners" and spot potentially important phenomena, inconsistencies, and oddities before the others do. To see through all the fog of doubt, it is a radar. so, that you can act first, that's why the choice c is correct.


Related Questions

Which of the following statements is the most accurate? Sole proprietorships are well suited for people who want to own a business and share in its profits without taking an active role in management. Sole proprietorships are the least risky form of business ownership. Sole proprietorships must receive a state charter before they can legally conduct business. Sole proprietorships are taxed at the owner's personal tax rate.

Answers

Answer:

D. Sole proprietorships are taxed at the owner's personal tax rate

Explanation:

Sole Proprietorship can be defined as a simplest form of owning and starting any business. As the term suggests, this business is onwed by an individual only or shared by married couples.

Sole properietorship is easy to set up because the owner need not to register itself to state government, therefore, because of absence of governmental involvement, it is easy to set up or deconstruct sole proprietorship.

From the given options, the statement which is most accurate about a sole proprietorship is option D. The owner of sole proprietorship pays personal taxes on the profits earned by his/her business.

Therefore, option D is correct.

The primary focus for financial accounting information is to provide information useful for: Investing decisions Credit decisions a. Yes Yes b. Yes No c. No Yes d. No

Answers

Answer:

a. Yes yes

Explanation:

The primary focus for financial accounting information is to provide useful information to investors for decision making. This is to enable both present and potential investors have prior knowledge and state of affairs of the company or business they want to spend their money on.

However, in the long run, the focus for financial accounting would also include providing useful information for credit decisions. The aforementioned would only occur if a company is able to generate profit hence providing rate of returns to their investors.

Answer:

MAYBE

Explanation:

yes + no = maybe

Social Media, Inc. (SMI) has two services for users. Toot!, which connects tutors with students who are looking for tutoring services, and TiX, which can be used to buy, sell, or exchange event tickets. For the following year, SMI expects the following results. Toot! TiX Total Users 17,900 24,100 42,000 Revenues $ 2,200,000 $ 2,400,000 $ 4,600,000 Engineering hours 11,500 9,500 21,000 Engineering cost $ 1,096,250 $ 1,213,750 $ 2,310,000 Administrative costs $ 1,848,000 Required: a. Compute the predetermined overhead rate used to apply administrative costs to the two services assuming SMI uses the number of users to allocate administrative costs. b. Based on the rates computed in requirement (a), what is the profit for each service

Answers

Answer:

Instructions are below.

Explanation:

Giving the following information:

Toot! TiX Total

Users 17,900 24,100 42,000

Administrative costs $ 1,848,000

We need to allocate administrative costs to each product. First, we need to calculate the predetermined overhead rate:

Predetermined manufacturing overhead rate= total estimated overhead costs for the period/ total amount of allocation base

Predetermined manufacturing overhead rate= 1,848,000/42,000

Predetermined manufacturing overhead rate=  $44 per user

Now, we allocate overhead:

Allocated MOH= Estimated manufacturing overhead rate* Actual amount of allocation base

Toot!= 44*17,900= 787,600

TiX= 44*24,100= 1,060,400

Finally, the gross profit for each service:

Toot!:

Revenue= 2,200,000

Engineering cost= (1,096,250)

Administrative cost= (787,600)

Profit= $316,150

TiX:

Revenues= 2,400,000

Engineering cost= (1,213,750)

Administrative cost= (1,060,400)

Profit= $125,850

Farris Corporation, which has only one product, has provided the following data concerning its most recent month of operations: Selling price $ 78 Units in beginning inventory 0 Units produced 8,800 Units sold 8,700 Units in ending inventory 100 Variable costs per unit: Direct materials $ 18 Direct labor $ 10 Variable manufacturing overhead $ 4 Variable selling and administrative expense $ 5 Fixed costs: Fixed manufacturing overhead $255,200 Fixed selling and administrative expense $ 87,000 What is the unit product cost for the month under absorption costing

Answers

Answer:

$61

Explanation:

The computation of unit product cost for the month under absorption costing is shown below:-

Unit product cost = Direct material + Direct labor + Variable Manufacturing overhead + Fixed manufacturing cost

= $18 + $10 + $4 + ($255,200 ÷ 8,800)

= $61

Therefore for computing the unit product cost for the month under absorption costing we simply applied the above formula.

The difference between total factory overhead cost incurred during a period and the total standard factory overhead cost assigned to production of the period is the:______________.
A) Flexible-budget variance.
B) Production-volume variance.
C) Total factory overhead variance.
D) Overhead efficiency variance.
E) Total overhead spending variance.

Answers

Answer: C. Total factory overhead variance

Explanation:

The difference between total factory overhead cost incurred during a period and the total standard factory overhead cost assigned to production of the period is the total factory overhead variance.

Flexible budget variance is the difference that occurs between the results that are gotten by the flexible budget model and the actual results gotten.

Production volume variance is the difference that occurs between the budgeted production volume for a particular company and the actual volume of goods produced.

The correct option is C.

The expected return on the market portfolio is 12%, and the relevant risk-free rate is 4.2%. What is the equity premium?

Answers

Answer:

7.8%

Explanation:

The expected return on the market portfolio is 12 percent

The risk free rate is 4.2 percent

Therefore the equity premium can be calculated as follow

= expected return - risk free rate

= 12% - 4.2%

= 7.8%

Hence the equity premium is 7.8%

Under the allowance method for uncollectible accounts, the journal entry to record the estimate of uncollectible accounts would include a credit to

Answers

Answer and Explanation:

The journal entry to record the estimation of the uncollectible accounts is shown below:

Bad debt expense  XXXX

       To Allowance of doubtful debts XXXX

(Being the estimation of the uncollectible account is recorded)

Here the bad debt expense is debited as it increases the expenses account and credited the allowance as it decreased the assets

Hence, the same is to be considered

Preston Corp. is estimating its WACC. Its target capital structure is 20 percent debt, 20 percent preferred stock, and 60 percent common equity. Its bonds have a 12 percent coupon, paid semiannually, a current maturity of 20 years, and sells for $1,100. The firm could sell, at par, $100 preferred stock which pays a 5.52 percent annual dividend, but flotation costs of 5 percent would be incurred. Preston's beta is 1.2, the risk-free rate is 3 percent, and the market risk premium is 5 percent. The firm's marginal tax rate is 40 percent. What is Preston's WACC

Answers

Answer:

Follows are the solution to this question:

Explanation:

[tex]\text{Equity expense = free risk rate+beta} \times \text{market risk premium}[/tex]

                        [tex]=3 \% + 1.2 \times 5 \% \\\\= 0.03 + 1.2 \times 0.05 \\\\= 0.03 +0.06 \\\\= 0.09\\\\=9 \%[/tex]

[tex]\text{Preferred inventory cost} = \frac{\text{annual dividend}}{( price - floation \ rate)}[/tex]

                                     [tex]= \frac{(100 \times 5.46 \%)}{(100-100 \times 5 \%)}\\\\=5.75 \%[/tex]

[tex]\text{Excel feature = RATE(nper, PMT, PV, FV)}[/tex]

                     [tex]=(RATE( \frac{20 \times 2,1000 \times 12 \%}{2,-1100,1000})) \times 2 \\\\=10.77 \%[/tex]

[tex]\text{Debt expense after tax}= 10.77 \% \times (1-40 \%)[/tex]

WACC from Preston   = Capital weight [tex]\times[/tex]  Capital equity costs+cost of common stock [tex]\times[/tex] cost of common shares [tex]\times[/tex] debt cost [tex]\times[/tex] (1-tax rate)

[tex]=60 \% \times 9 \%+20 \% \times 5.75 \%+20 \% \times 6.46 \% \\\\=7.84 \%[/tex]

ear Net Income Profitable Capital Expenditure 1 $ 14 million $ 8 million 2 18 million 11 million 3 9 million 6 million 4 20 million 8 million 5 23 million 9 million The Hastings Corporation has 2 million shares outstanding. (The following questions are separate from each other). a. If the marginal principle of retained earnings is applied, how much in total cash dividends will be paid over the five years? (Enter your answer in millions.)

Answers

Answer:

$42 Million

Explanation:

The computation of the total cash dividend is shown below:-

Year Net Income Profitable capital Expenditure Dividends

1        $14 Million       $8 Million                                   $6 Million

2        $18 Million     $11 Million                                    $7 Million

3        $9 Million      $6 Million                                     $3 Million

4         $20 Million   $8 Million                                    $12 Million

5        $23 Million    $9 Million                                    $14 Million

Total cash dividends                                                  $42 Million

The value of what a Canadian-owned Tim Hortons produces in South Korea is included in the Canadian ________ and the South Korean ________

Answers

Answer: GNP; GDP

Explanation:

The value of what a Canadian-owned Tim Hortons produces in South Korea is included in the Canadian GNP and the South Korean GDP.

Gross National Product refers to the total amount of domestic production and foreign production that can be attributed to the residents of a nation.

This means that GNP includes the GDP and income earned by residents of the country in other countries but less the income earned by foreigners in the country. For Canada therefore, the value of goods produced by the Canadian company in South Korea will be added to the GNP.

Gross Domestic Product (GDP) on the other hand is simply the total final value of goods and services produced in a country regardless of if it was foreigners or residents doing the production. The value of what a Canadian-owned Tim Hortons produces in South Korea is therefore included in South Korea's GDP.

A semiannual coupon bond with face value of $1,000 has a coupon rate of 6% and matures in 16 years. The market-determined discount rate on this bond is 14%. What is the price of the bond?

Answers

Answer:

$1,125.30

Explanation:

The Price of the Bond is its Current/Trading price also known as the Present Value (PV). This is determined as follows :

Fv = $1,000

Pmt = $1,000 ×  6% = $160

P/yr = 1

n = 16

i = 14%

PV = ?

Using the Financial calculator to enter the values as above, the Pv is $1,125.30.

Thus, the price of the bond is $1,125.30.

Alfarsi Industries uses the net present value method to make investment decisions and requires a 15% annual return on all investments. The company is considering two different investments. Each require an initial investment of $15,600 and will produce cash flows as follows: End of Year Investment A B 1 $ 8,600 $ 0 2 8,600 0 3 8,600 25,800 The present value factors of $1 each year at 15% are: 1 0.8696 2 0.7561 3 0.6575 The present value of an annuity of $1 for 3 years at 15% is 2.2832 The net present value of Investment B is:

Answers

Answer:

Net present value  $1,363.50

Explanation:

The computation of the net present value of B is shown below:

Year         Cash flows         PVIFA factor at 15%      Present value

0              -$15,600                  1                                -$15,600

1                   0                        0.8696                              0

2                  0                        0.7561                                0

3                25,800                0.6575                      $16,963.50

Net present value                                                   $1,363.50

CF Manufacturing purchased inventory for $5,300 and also paid a $280 freight in bill 2/10, net 30. CF Manufacturing returned 60% of the goods to the seller and paid the bill within the discount period. What is the final inventory cost

Answers

Answer: $2357.6

Explanation:

Purchased Inventory = $5300

Less: purchase return = 60% × $5300 = 0.6 × $5300 = $3180

Amount = $2120

Less: purchase discount = 2% × $2120 = 0.02 × $2120 = $42.4

Amount = $2077.6

Add: Freight in: $280

Final Inventory cost = $2357.6

What features of the 100 Yen Sushi House service delivery system differentiate it from the competition, and what competitive advantages do they offer?

Answers

Answer:

The summary and as per the query is defined in the following portion of the clarification.

Explanation:

The key characteristics including its 100 yen sushi management of service distribution system are its approaches to meal preparation and facilities on the manufacturing process. The client is also involved throughout the supply chain. The regular price, the conveyor belt mechanism throughout the location, which passes across the commercial counter, is three to four chefs on the floor.

The benefits of this are the people that follow:

High-tech independence including the use of clear methods. The positions that their operation involves repetition throughout their manufacturing method there might be other providers that could follow 100 yen sushi household operational efficiency. The distribution system used for the 100 yen sushi household delivery of services may also be regarded for car production.  By only using throughout time method, the location uses freshly delivered food. The position has always had to estimate the volume of food purchased as well as cook it regularly according to the purchase request.

Comparing with unemployment rate with employment rate, which of the following is NOT correct? a. Unemployment rate takes the group of "out of labor force" into account. b. Compared with unemployment rate, employment rate is better because it concerns the hidden unemployment in the out of labor force group. c. Compared with employment rate, unemployment rate in a labor market usually has a larger variation. d. It has limitation because some policy shocks unrelated to unemployment or labor market situation such changes in fertility and school enrollment rates, will affect the number of the employment rate as well.

Answers

Answer:

b. Compared with unemployment rate, employment rate is better because it concerns the hidden unemployment in the out of labor force group.

Explanation:

Remember, the employment rate is used to determine the degree to which the labor force (people willing to work) in a particular economy are able to find work.

Hence, it does not concern itself or takes into account the hidden unemployment in the out of the labor force group, but only those people willing to work are considered.

A company offers ID theft protection using leads obtained from client banks. Three employees each work 40 hours a week on the leads. These employees are each paid $25 per hour. Each employee identifies an average of 3,000 potential leads a week. There are no duplications in these three lists. Material costs are $1,000 per week, and overhead costs are $9,000 per week. An average of 4 percent of the potential leads actually sign up for the service, paying a one-time fee of $70. Consider the output as the fees generated. a) What are the labor hours productivity and the multifactor productivity for this operation

Answers

Answer:

Output = 4%*3000 * $70 * 3

Output = $25,200

Labor hours productivity = Output / Labor hour

Where Labor hour = 3 * 40 hours = 120 hours

Labor hours productivity =  $25,200 / 120 hours

Labor hours productivity = $210 per labor hour

Multi factor productivity for this operation = Output / Multi factor input

Where Multi factor input = 120*$25 + $1,000 + $9,000 = $13,000

Multi factor productivity for this operation = $25,200 / $13,000

Multi factor productivity for this operation = 1.938462

Multi factor productivity for this operation = 1.94

Which of the following is an example of internally caused behavior? An employee was laid off because the company was attempting to cut costs by laying off employees. An employee was late for a team meeting because of a heavy downpour. An employee could not come to work because he met with an accident. An employee could not attend an interview because of a delayed flight. An employee was fired from work because he violated a company policy.

Answers

Answer:

An employee was fired from work because he violated company policy

Explanation:

One of the factor that determine the behavior of people is the way the event arround them is interpreted. Those that can control things arround them usually take responsibility for what they do compare to set of people believing that situation arround them is beyond their control, which is explained in" attribution theory" by Fritz Heider. Internally caused behavior can be regarded as challenging behavioras a result of internal stimuli such as traits, pain and anxiety.

Out of the options given in the question only "An employee was fired from work because he violated a company policy" is an example of internally caused behavior, since the violation is on the path of the employee which is as a result of internal behavior known to him.

Mr. C made the following gifts: $12,000 to a university to pay tuition costs for his niece. An undeveloped tract of land to his sister that had an adjusted basis to Mr. C of $4,000 and a fair market value of $25,000. Various shares of stock to his wife that had an adjusted basis to Mr. C of $15,000 and a fair market value of $40,000. Mr. C did not consent to gift-splitting. What is the total amount of taxable gifts

Answers

Answer:

$10,000

Explanation:

Gifts are only taxed when their fair market value is higher than $15,000. Any gifts made to your spouse are not taxable. Gift taxes are calculated on a  per person base, as long as they do not exceed the lifetime exemption (which is $11.58 million).

The tuition costs of her niece are not taxable since they are less than $12,000. The stocks given to his wife are not taxable either. The only taxable gift is the land given to his sister which had a FMV of $25,000. The taxable amount = $25,000 - $15,000 = $10,000

On October 1, 2020, Jackson Chemical was identified as a potentially responsible party by the Environmental Protection Agency. Jackson's management along with its counsel have concluded that it is probable that Jackson will be responsible for damages, and a reasonable estimate of these damages is $5,000,000. Jackson's insurance policy of $9,000,000 has a deductible clause of $500,000. How should Jackson Chemical report this information in its financial statements at December 31, 2020

Answers

Answer:

Jackson Chemical should report the $5,000,000 loss because we don't know if the insurance will actually pay out the policy.

Explanation:

Jackson chemical has to report $500,000 loss associated with the deductible would be accrued as liability in the company's financial statements at Dec 31, 2020 since it is probably that Jackson will be responsible for the damages.

$500,000 is the amount of the insurance policy's deductible Jackson will have to pay to receive the policy's benefits, which will cover the reasonably estimated damages.

Forrester Company is considering buying new equipment that would increase monthly fixed costs from $425,000 to $445,500 and would decrease the current variable costs of $60 by $15 per unit. The selling price of $100 is not expected to change. Forrester's current break-even sales are $1,140,000 and current break-even units are 11,400. If Forrester purchases this new equipment, the revised break-even point in dollars would be:

Answers

Answer:

Break-even point (dollars)= $810,000

Explanation:

Giving the following information:

Fixed costs= $445,500

Unitary variable cost= $45

Selling price= $100

To calculate the break-even point in dollars, we need to use the following formula:

Break-even point (dollars)= fixed costs/ contribution margin ratio

Break-even point (dollars)= 445,500 / [(100 - 45) / 100]

Break-even point (dollars)= $810,000

Suppose the banking system has $40 billion in reserves. Also assume that there are no cash leakages or excess reserves. If the central bank lowers the required reserve ratio from 20 percent to 16 percent, the money supply will

Answers

Answer:

Money supply increases by $1.6 billion

Explanation:

The reserve ratio is defined as the amount of a bank's reserves that the central bank of a country expects banks to keep as cash and not lend out.

Reserve ratio is also called cash reserve ratio.

This requirement is put in place in case customers decide to make mass withdrawals.

Central banks tend to control cash supply by increasing or reducing the reserve ratio.

When money to be supplied as loans is to be increased, the reserve ratio reduces so that banks can use more of their reserves for lending rather than for cash withdrawals.

In this instance reserve ratio reduced from 20% to 16%.

That is a 4% reduction

This means 4% of the reserves is freed up for lending or money supply to the public

Extra money supply = 0.04 * 40 billion = $1.6 billion

Money supply increases by $1.6 billion

Cutting flights and declaring bankruptcy are long-run decisions. What impact would you predict these actions would have on the airlines remaining in business?

Answers

Answer:

Follows are the solution to this question:

Explanation:

The declaration of bankruptcy as well as flight cutting reduces the amount for flights and also the flight sin operation leading to both a supply reduction. While the business continued, its other airlines will have an increased engagement and thus higher prices and will be seeing recovery for both the airline industry over an amount of time.

The following account titles and balances were taken from the adjusted trial balance of King Co. for Year 2. The company uses the periodic inventory system.
Account Title Balance
Sales returns and allowances $ 3,500
Miscellaneous expense 1,100
Transportation-out 2,500
Sales 155,000
Advertising expense 6,500
Salaries expense 21,600
Transportation-in 2,950
Purchases 85,000
Interest expense 450
Merchandise inventory, January 1 12,000
Rent expense 8,500
Merchandise inventory, 10,700
December 31
Purchase returns and allowances 2,500
Loss on sale of land 3,500
Utilities expense 1,750
Required:
1. Prepare a schedule to determine the amount of cost of goods sold.
2. Prepare a multistep income statement.
3. Prepare a single-step income statement.

Answers

Answer:

King Co.

1. Schedule of Cost of Goods Sold:

Merchandise inventory, January 1 $12,000

Purchases                                         85,000

Transportation-in                               2,950

Purchase returns and allowances   (2,500 )

Merchandise inventory,                   (10,700 )

Cost of goods sold                         $86,750

2. King Co.'s Multi-step Income Statement

For the year ended December 31:

Net Sales                                  $151,500

Cost of goods sold                     86,750

Gross profit                               $64,750

Expenses:

Miscellaneous expense     1,100

Transportation-out           2,500

Advertising expense        6,500

Salaries expense            21,600

Rent expense                   8,500

Utilities expense               1,750

Total expenses                        $41,950

Operating income                  $22,800

Interest expense                            450

Income before taxes              $22,350

Loss on sale of land                   3,500

Net Income                              $18,850

3. King Co's Single-step Income Statement

For the year ended December 31:

Net Sales                                  $151,500

Cost of goods sold       86,750

Operating expenses     41,950

Interest expense               450

Loss on sale of land       3,500 132,660

Net Income                                $18,850

Explanation:

Data:

Sales                                         $155,000

Sales returns and allowances     (3,500)

Net Sales                                  $151,500

Miscellaneous expense     1,100

Transportation-out           2,500

Advertising expense        6,500

Salaries expense            21,600

Rent expense                   8,500

Utilities expense               1,750

Total expenses            $41,950

Interest expense 450

Loss on sale of land 3,500

Transportation-in 2,950

Purchases 85,000

Purchase returns and allowances 2,500

Merchandise inventory, January 1 12,000

Merchandise inventory, 10,700

December 31

Your pro forma income statement shows sales of ​, cost of goods sold as ​, depreciation expense of ​, and taxes of due to a tax rate of . What are your pro forma​ earnings? What is your pro forma free cash​ flow?

Answers

Answer and Explanation:

The computation is shown below:  

Particulars       Amount($)

Sales               1,033,000

Less:- Cost of goods sold  (503,000)

Gross Profit      530,000

Less:- Depreciation   (103,000)

EBIT               427,000

Taxes [40% of 427000]   (170,800)

Earnings   256,200

1]Proforma earnings = $256200

2]Proforma free cash flow = Earnings + Depreciation

= $256,200 + $103,000

= $359,200

The proforma earnings is  $256200 , and the pro-forma free cash flow is the value of earnings before depreciation. Hence the value is $359,200.

Pro Forma income statement

we are provided with the information about:

Sales = 1,033,000

Cost of goods sold = 503,000

Gross Profit = 530,000

Depreciation = 103,000

We need to find, the net profit,

Net Profit = Gross Profit - Depriciation

Net profit = 530000 - 103000 = 427000

Earnings is the amount after deduction of Tax rate (40%)

= 40% of 427000  =  170,800

Earnings =  427000 - 170800 =  256,200

Therefore the Proforma Earning is 256,200, Proforma free cash flow = Earnings + Depreciation

= $256,200 + $103,000

= $359,200

Your Question is incomplete, the complete question is:

Our proforma income statement shows sales of $1,033,000, cost of goods sold as $503,000, depreciation expense of $103,000, and taxes of $170,800 due to a tax rate of 40%. what are your proforma earnings? what is your proforma free cash flow?

Learn more about Depreciation here:

https://brainly.com/question/1287985

ou can buy property today for $2.1 million and sell it in 6 years for $3.1 million. (You earn no rental income on the property.) a. If the interest rate is 11%, what is the present value of the sales price? (Do not round intermediate calculations. Enter your answer in millions rounded to 3 decimal places.)

Answers

Answer:

PV= $1,657,386.6

Explanation:

Giving the following information:

Future Value (FV)= $3,100,000

Interest rate (i)= 11%

Number of periods (n)= 6 years

To calculate the present value of the selling price, we need to use the following formula:

PV= FV/(1+i)^n

PV= 3,100,000 / (1.11^6)

PV= $1,657,386.6

Exercise 17-5 Assigning costs using ABC LO P3 Xie Company identified the following activities, costs, and activity drivers for this year. The company manufactures two types of go-karts: Deluxe and Basic. Activity Expected Costs Expected Activity Handling materials $ 625,000 100,000 parts Inspecting product 900,000 1,500 batches Processing purchase orders 105,000 700 orders Paying suppliers 175,000 500 invoices Insuring the factory 300,000 40,000 square feet Designing packaging 75,000 2 models Assume that the following information is available for the company’s two products for the first quarter of this year. Deluxe Model Basic Model Production volume 10,000 units 30,000 units Parts required 20,000 parts 30,000 parts Batches made 250 batches 100 batches Purchase orders 50 orders 20 orders Invoices 50 invoices 10 invoices Space occupied 10,000 sq. ft. 7,000 sq. ft Models 1 model 1 model Required: Compute activity rates for each activity and assign overhead costs to each product model using activity-based costing (ABC). What is the overhead cost per unit of each model? (Round activity rate and average OH cost per unit answers to 2 decimal places.)

Answers

Answer:

Instructions are below.

Explanation:

First, we need to calculate the activity rate for each activity:

Predetermined manufacturing overhead rate= total estimated overhead costs for the period/ total amount of allocation base

Handling materials= 625,000/100,000= $6.25 per part

Inspecting product= 900,000/1,500= $600 per batch

Processing= 105,000/700= $150 per order

Paying suppliers= 175,000/500=$350 per invoice

Insuring the factory= 300,000/40,000= $7.5 per square feet

Designing packaging= 75,000/2= $37,500 per model

Now, we can allocate overhead to each model:

Allocated MOH= Estimated manufacturing overhead rate* Actual amount of allocation base

Deluxe:

Handling materials= 6.25*20,000= 125,000

Inspecting product= 600*250= 150,000

Processing= 150*50= 7,500

Paying suppliers= 350*50= 17,500

Insuring the factory= 7.5*10,000= 75,000

Designing packaging= 37,500*1= 37,500

Total allocated overhead= $412,500

Basic:

Handling materials= 6.25*30,000= 187,500

Inspecting product= 600*100= 160,000

Processing= 150*20= 3,000

Paying suppliers= 350*10= 3,500

Insuring the factory= 7.5*7,000= 52,500

Designing packaging= 37,500*1= 37,500

Total allocated overhead= $444,000

Finally, the unitary overhead:

Deluxe= 412,500/10,000= $41.25

Basic= 444,000/30,000= $14.8

Doug and Sue Click file a joint tax return and decide to itemize their deductions. The Clicks' income for the year consists of $89,000 in salary, $1,500 interest income, and $700 long-term capital loss. The Clicks' expenses for the year consist of $1,450 investment interest expense. Assuming that the Clicks' marginal tax rate is 35 percent, what is the amount of their investment interest expense deduction for the year

Answers

Answer:

$1,450

Explanation:

Interest Income = $1,500

Investment Interest expenses = $1,450

Allowed deduction limit investment interest is subject to investment income. So $1,450 is allowed as deduction

4. Give two reasons why GDP is often not seen as the best measure of living standards.


Answers

Answer:

Different factors account to it.

Explanation:

Because many factors that contribute to people's happiness are not bought and sold, GDP is a limited tool for measuring standard of living. To understand it's limitations better, let's take a look at several factors that are not accounted for in GDP.

GDP does not account for leisure time. The US GDP per capita is larger than the GDP per capita of Germany, but does this prove that the standard of living in the United States is higher? Not necessarily since it is also true that the average US worker works several hundred hours more per year more than the average German worker. The calculation of GDP does not take German workers extra weeks of vacation into account.

GDP includes what is spent on environmental protection, healthcare, and education, but it does not include actual levels of environmental cleanliness, health, and learning. GDP includes the cost of buying pollution-control equipment, but it does not address whether the air and water are actually cleaner or dirtier. GDP includes spending on medical care, but it does not address whether life expectancy or infant mortality have risen or fallen. Similarly, GDP counts spending on education, but it does not address directly how much of the population can read, write, or do basic mathematics.

Would you rather own your own business or become a franchise

Answers

Answer:

own a business

Explanation:

I'm able to create my own brand and free to do what I want

Answer:

{: Own My Own Business :}

Explanation:

I would rather own my own business so that I could get lots of money yet give other people money ^w^ It would also be a restaurant. Most likely so I could eat da food as in.. 'taste' da food. :}

Bean​ Brewers, Inc., a manufacturer of coffee​ makers, had the following​ activities, allocated​ costs, and allocation​ bases: Activities Allocated Costs Allocation Base Account inquiry​ (hours) hours Account billing​ (lines) lines Account verification​ (accounts) accounts Correspondence​ (letters) letters The above activities are carried out at two of its regional offices. Activities Northeast Office Midwest Office Account inquiry​ (hours) hours hours Account billing​ (lines) lines lines Account verification​ (accounts) accounts accounts Correspondence​ (letters) letters letters How much of the correspondence cost will be assigned to the Northeast​ Office? (Round any intermediate calculations to the nearest cent and your final answer to the nearest​ dollar.)

Answers

Answer: B. $438

Explanation:

Correspondence Cost = Number of letters * Predetermined cost of correspondence  

Predetermined cost of correspondence = Allocated cost/ Allocated base

= 14,000/1,600 letters

= $8.75 per letter

Northeast Office used 50 letters for correspondence.

Cost = 8.75 * 50

= $437.50

= $438

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