what unit value should royal decking use for each of its products when applying the lower of cost or market (lcm) rule to units of ending inventory?

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Answer 1

The unit value for each product under the lower of cost or market (LCM) rule for units of ending inventory should be as follows:

Product A: $43

Product B: $78

Product C: $48

Product D: $78

Product E: $28

To apply the lower of cost or market (LCM) rule to units of ending inventory, we compare the original cost and replacement cost for each product and choose the lower value as the unit value for inventory. We will calculate the lower cost or market value for each product as follows:

1. Product A:

Lower of Cost or Market = Minimum(Per Unit Product Cost, Replacement Cost)

Lower of Cost or Market = Minimum($48, $43) = $43 (Replacement cost is lower)

2. Product B:

Lower of Cost or Market = Minimum(Per Unit Product Cost, Replacement Cost)

Lower of Cost or Market = Minimum($88, $78) = $78 (Replacement cost is lower)

3. Product C:

Lower of Cost or Market = Minimum(Per Unit Product Cost, Replacement Cost)

Lower of Cost or Market = Minimum($48, $63) = $48 (Cost is lower)

4. Product D:

Lower of Cost or Market = Minimum(Per Unit Product Cost, Replacement Cost)

Lower of Cost or Market = Minimum($108, $78) = $78 (Replacement cost is lower)

5. Product E:

Lower of Cost or Market = Minimum(Per Unit Product Cost, Replacement Cost)

Lower of Cost or Market = Minimum($28, $36) = $28 (Cost is lower)

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Probably the full question is:

The inventory of Royal Decking consisted of five products. Information about the December 31, 2018, inventory is as follows: Per Unit Product Cost Replacement Cost Selling Price A $ 48 $ 43 $ 68 B 88 78 108 C 48 63 88 D 108 78 138 E 28 36 38 Selling costs consist of a sales commission equal to 10% of selling price and shipping costs equal to 5% of cost. The normal gross profit percentage is 40% of selling price. Required: What unit value should Royal Decking use for each of its products when applying the lower of cost or market (LCM) rule to units of ending inventory? (Do not round intermediate calculations. Round final answers to 2 decimal places.)


Related Questions

what three things do businesses typically do when faced with increased risk from cross-border investments?

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Businesses typically take the following three steps when faced with increased risk from cross-border investments: diversification, hedging, and insurance.

Diversification means investing in a variety of assets, as it reduces the risks of a single investment. Hedging is the use of financial instruments to reduce the potential losses of a particular investment.

Lastly, insurance can be purchased to protect against any losses due to unexpected changes in the market.

By diversifying, hedging, and insuring investments, businesses are able to reduce their risk from cross-border investments.

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berta, the manager of an automobile showroom, announces a new scheme wherein the company offers an all-expenses paid trip to the salesperson who sells the most number of cars in the next quarter. this inspires berta's subordinates to work harder and improve their performance. in this scenario, berta uses a(n) . group of answer choices countertransference technique intrinsic motivation technique counterconditioning technique positive reinforcement technique

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In this scenario, Berta is using a Positive Reinforcement Technique to motivate her subordinates.

Positive Reinforcement is a type of behavior modification that rewards desirable behavior. By offering an all-expenses paid trip to the salesperson who sells the most cars, Berta is providing a positive reward that encourages her subordinates to work harder and improve their performance.

This reward serves as a motivation for them to strive for higher results and encourages them to maintain their performance. By implementing this technique, Berta is reinforcing the desired behavior, which in turn leads to better outcomes.

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project risk is lowest during the: concept stage of the project life cycle. implementation stage of the project life cycle. termination stage of the project life cycle. development stage of the project life cycle.

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The project life cycle stage where risk is lowest is when the project is terminated.

When in a project's life cycle is risk the greatest?

Stakeholders have the most power to affect project results during the project's first phases. Due to the huge proportion of unknowable elements, risk is at its maximum during this phase.

Why is a project considered low risk?

Minimal risk suggests that there won't be a significant negative effect on the organisation should the project fail. Hard implementation describes the resources needed to successfully accomplish the project, which include both a large number of people and a large sum of money or assets.

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during times of economic recession, what can stimulate the economy? group of answer choices both monetary and fiscal policy can be used to influence economic activity the government erases debt for both individuals and businesses the central bank uses monetary policy to determine how much money and credit is available to consumers the government uses fiscal policy to impact government spending and taxes

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During times of economic recession, both monetary and fiscal policy can be used to influence economic activity. The central bank uses monetary policy to determine how much money and credit is available to consumers, while the government uses fiscal policy to impact government spending and taxes.

What is Fiscal Policy?

Fiscal policy is the use of government revenue collection and expenditure to influence the economy. The two major instruments of fiscal policy are government spending and taxation.

Changes in the level and composition of taxation and government spending can influence the following macroeconomic variables in an economy:

Aggregate demand and the level of economic activity;The pattern of resource allocation;The distribution of income;Fiscal policy is frequently used in conjunction with monetary policy, which attempts to influence the supply of money and credit in the economy.What is Monetary Policy?

Monetary policy is the process by which the monetary authority of a country, like a central bank, controls the supply of money, often targeting an inflation rate or interest rate to guarantee price stability and general trust in the currency. Monetary policy is usually contrasted with fiscal policy, which focuses on government spending and taxation, and is implemented by the government rather than the central bank.

In monetary policy, the central bank uses several policy tools to influence the availability and cost of money and credit. These include open market operations, the discount rate, and reserve requirements, among others. Monetary policy is executed through a variety of channels, such as interest rates and credit flows. Monetary policy can be used to stabilize macroeconomic variables like inflation, output, employment, and foreign exchange rates, among others.

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teenagers have more frequent unemployment spells and spend more time searching for jobs. other thing the same, this means that teenagers have a

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Yes, Teenagers have more frequent unemployment spells and spend more time searching for jobs. This is due to the fact that teenagers often lack the experience and qualifications needed for more competitive jobs.

Additionally, employers are often reluctant to hire teenagers due to lack of reliability or potential for a lack of commitment to a job.

As a result, teenagers often spend more time searching for jobs and experience longer unemployment spells than adults with more experience and qualifications.

In conclusion, other things being equal, teenagers have a higher risk of unemployment and longer spells of unemployment than adults due to lack of experience and qualifications, as well as employers' reluctance to hire them.

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the announcement of an increase in the cash dividend should, according to mm, leads to an increase in the price of the firm's stock. true false

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The announcement of an increase in the cash dividend should, according to MM, leads to an increase in the price of the firm's stock.

MM, also known as the Modigliani-Miller theorem, is an influential economic theory on capital structure. It implies that the market price of a company is decided by its future profits and should be independent of the financing choices made to achieve those profits. When a company announces an increase in the cash dividend, it can lead to an increase in the price of the firm's stock. It is because the dividend payment is an essential component of a firm's value for its investors. Companies use dividend payments to return capital to shareholders and also as a way of signalling that the company is doing well financially, which makes it more attractive to investors. Therefore, an increase in the cash dividend can have a positive impact on the value of the firm's stock.

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your assistant gives you the following diagram as the efficient frontier of the group of stocks you asked him to analyze. the diagram looks a bit odd, but your assistant insists he double-checked his analysis. would you trust him? is it possible to get such a diagram?

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No, I wouldn't trust him as it is not possible to get such a diagram as it does not meet the instructions of the given data and required efficient frontier.

The efficient frontier is the set of optimal portfolios that either offer the highest expected return for a defined level of risk or the lowest risk for a given level of expected return. Portfolios below the efficient frontier are suboptimal because they do not provide sufficient returns for their risk levels. Portfolios clustered on the right side of the efficient frontier are suboptimal because they have a higher level of risk for the defined return.

Introduced by Nobel laureate Harry Markowitz in 1952, Efficient Frontier Theory is the foundation of Modern Portfolio Theory (MPT).

The Efficient Frontier evaluates/estimates portfolios (investments) on a scale of return (y-axis) versus risk (x-axis). Asset compound annual growth rate (CAGR) is commonly used as a return component and standard deviation (annualized) is a risk metric.

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Complete question:

Your assistant gives you the following diagram as the efficient frontier of the group of stocks you asked him to analyze. the diagram looks a bit odd, but your assistant insists he double-checked his analysis. would you trust him? is it possible to get such a diagram?

during what months does boulder have a water surplus? a water deficit? during what months does silver lake have a water surplus? a water deficit?

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Boulder has a water surplus during the months of May, June, and July, and a water deficit during the months of August, September, and October.

Silver Lake has a water surplus during the months of November, December, and January, and a water deficit during the months of May, June, and July.

During what months does Boulder have a water surplus?

Boulder has a water surplus during the months of May, June, and July. These months are the wettest months in the area, with the most precipitation. The rest of the year, Boulder experiences a water deficit, which means that it does not receive enough water to meet the demand for water.

During what months does Boulder have a water deficit?

Boulder has a water deficit during the months of August, September, and October. During these months, the area receives very little precipitation, which is not enough to meet the water needs of the area.

During what months does Silver Lake have a water surplus?

Silver Lake has a water surplus during the months of November, December, and January. These are the months when the lake receives the most precipitation, which leads to a surplus of water. During these months, it is important for the lake to release some of the water, to prevent it from overflowing and causing flooding.

During what months does Silver Lake have a water deficit?

Silver Lake has a water deficit during the months of May, June, and July. During these months, the lake receives very little precipitation, which means that it is not able to replenish the water that it loses. This can lead to a shortage of water in the lake, which can have negative effects on the ecosystem and the people

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if the nominal interest rate is 8% and the real interest rate is 3%, then the inflation rate equals:

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The inflation rate is equal to 5%.

The nominal interest rate is the rate of interest that is quoted and publicized by the lender. It does not take into account the decrease in purchasing power due to inflation.

The real interest rate is the nominal rate minus the inflation rate. Therefore, if the nominal rate is 8% and the real rate is 3%, then the inflation rate is 5%.

To calculate the inflation rate, we must take the nominal interest rate minus the real interest rate. The nominal interest rate is the rate of interest that is advertised and publicized by the lender, while the real interest rate takes into account the decrease in purchasing power due to inflation.

In this example, the nominal interest rate is 8% and the real interest rate is 3%. By subtracting the real interest rate from the nominal interest rate, we get the inflation rate of 5%. This means that the inflation rate is 5% for this example.

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in customer feedback surveys, rtc corp customers have indicated that they have a similar experience each time they interact with the company. this reflects success in which service quality dimension?

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In customer feedback surveys, RTC Corp customers have indicated that they have a similar experience each time they interact with the company. This reflects success in the consistency service quality dimension.


RTC Corp customers experiencing a similar experience each time they interact with the company reflects success in the service quality dimension of consistency.

Consistency is a service quality dimension that refers to the uniformity and reliability of the service. It is the extent to which a company offers dependable and accurate services, including availability, delivery, dependability, and reliability.

The consistency dimension of service quality encompasses the following:-

Keeping promises made to customersConsistency across channelsDependability and reliability of service deliveryQuality of service delivery

Therefore, this ensures that customers are satisfied with the services they receive and that they have a positive experience. So, the success of RTC Corp in the consistency dimension of service quality reflects its ability to meet customer expectations and provide high-quality services.

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the toy box pays an annual dividend of $2.40 per share and sells for $46.60 a share based on a market rate of return of 15 percent. what is the capital gains yield?

Answers

The capital gains yield is 9.44%.

Capital gains yield is the percentage of an investment's value that increases in a given year as a result of share price increases. In this question, we are asked to find the capital gains yield of the toy box that pays an annual dividend of $2.40 per share and sells for $46.60 a share based on a market rate of return of 15 percent. The formula to calculate capital gains yield is: Capital gains yield = (P1 - P0) / P0 × 100%Where:P0 is the purchase price of the stock, which is $46.60P1 is the selling price of the stock, which is unknown at this point.

Therefore, the formula to calculate the capital gains yield can be written as: Capital gains yield = (P1 - $46.60) / $46.60 × 100%We need to solve for P1. To do that, we can use the following formula: Market rate of return = dividend yield + capital gains yield Or Capital gains yield = market rate of return - dividend yield .Substituting the values into the above formula: Capital gains yield = 15% - ($2.40 / $46.60)Capital gains yield = 9.44%Therefore, the capital gains yield is 9.44%.

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individual taxpayers are not taxed on their cancellation of debt (cod) income if their debt was forgiven as part of bankruptcy proceedings group of answer choices true false

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True. Individual taxpayers are not taxed on their Cancellation of Debt (COD) income if their debt was forgiven as part of bankruptcy proceedings.

This applies to any debts forgiven in the tax year, such as credit card debt, student loan debt, business debt, or other forms of debt.

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lawyers work in pleasant surroundings at low risk of injury, but they generally receive higher pay than construction workers. this is because

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The statement that lawyers work in pleasant surroundings at low risk of injury, but they generally receive higher pay than construction workers because: Lawyers work in pleasant surroundings at low risk of injury, but they generally receive higher pay than construction workers because of their higher education and specialized skills.

The level of education required for a lawyer is much higher than for a construction worker. Lawyers usually have completed an undergraduate degree and then have gone to law school for at least three years. During their education, they have learned skills such as research, writing, and critical thinking, as well as specialized knowledge of the law. These skills and knowledge are in high demand and are what allow lawyers to command higher salaries.Construction workers typically do not require as much education and training as lawyers. While there may be some specialized skills required for certain construction jobs, the overall level of knowledge and education required is generally lower than that of a lawyer. This is why construction workers typically receive lower pay than lawyers, even though their jobs may involve more physical labor and a higher risk of injury.

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normative economic statements group of answer choices violate the law of ceteris paribus. contain value judgments. are usually irrational. are easily testable.

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Normative economic statements "contain value judgments" and are usually irrational. Thus, Option B is correct.

Normative economic statements are subjective statements that involve value judgments and opinions. These statements cannot be easily tested or proven true or false, as they are based on personal beliefs and opinions. They are different from positive economic statements, which are objective and based on empirical evidence.

Normative statements violate the law of ceteris paribus, which means that they do not consider all the factors that could affect an economic decision. As a result, they cannot be easily tested or verified. It is important to differentiate between normative and positive statements when analyzing economic theories and policies.

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when there is a sharp decline in the cboe volatility index (vix), stock prices also tend to decline. group of answer choices false true

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The statement that when there is a sharp decline in the CBOE Volatility Index (VIX), stock prices also tend to decline, is true. The CBOE Volatility Index (VIX) is a measure of market volatility and is often referred to as the “fear gauge”, as it is a measure of the expectation of volatility over the next 30 days.

When the VIX is high, it typically indicates that investors are expecting a sharp market move, either up or down. When the VIX is low, it typically indicates that investors are expecting a relatively calm and steady market. Therefore, when the VIX experiences a sharp decline, this is often a sign that investors are becoming more confident and less fearful, and that stock prices will tend to follow suit.

To illustrate this, consider the recent market volatility caused by the coronavirus pandemic. As the virus spread, market uncertainty increased and the VIX spiked to an all-time high of 82.69. This was followed by a sharp decline in the VIX, as investors became increasingly confident that the worst of the crisis was over. This confidence was reflected in the stock market, and the S&P 500 rose by approximately 25%.

Overall, the statement that when there is a sharp decline in the CBOE Volatility Index (VIX), stock prices also tend to decline, is true. The VIX is a measure of market volatility, and when it declines, it typically indicates that investors are becoming more confident and stock prices will rise as a result.

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philip morris markets marlboro cigarettes, the number-one selling cigarette brand in the world. outside the united states, marlboro generates huge profits that philip morris uses to support other less successful sbus. according to the bcg matrix, marlboro is an example of a .

Answers

Marlboro is an example of a cash cow according to the BCG Matrix.

Cash cows have high market share in a mature market, meaning that they have already established themselves as a leader in their market, and the demand for their product is stable and consistent.

Marlboro cigarettes have been the leading brand of cigarettes in the world for decades and the demand for their product remains steady. The profits from Marlboro cigarettes outside the United States are used to support other, less successful SBUs within the Philip Morris company. As a cash cow, Marlboro brings in steady profits to the company, which can then be used to support the other parts of the business.

In summary, according to the BCG Matrix, Marlboro cigarettes are classified as a cash cow. A cash cow is a product that has a high market share in a low-growth industry, generating excess cash that can be used to fund other business units that are not as profitable.

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a change in relative prices between two counties has caused net exports to increase, resulting in real gdp increasing from $12,000 to $17,000. what is the percent change in real gdp? round your answer to the nearest tenth.

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The percent change in real GDP between two countries is (17000 - 12000) / 12000 = 41.7%. The percent change in real GDP is 41.7%, rounded to the nearest tenth.

To find the percent change in real GDP, we can use the following formula:

Percent change in real GDP = ((New real GDP - Old real GDP) / Old real GDP) x 100%

Substituting the given values, we get:

Percent change in real GDP = ((17000 - 12000) / 12000) x 100%

Percent change in real GDP = (5000 / 12000) x 100%

Percent change in real GDP = 41.7%

Therefore, the percent change in real GDP is 41.7%, rounded to the nearest tenth.

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fill in the blank A human resource ______ of an organization reveals the demographic of the firms labor force and whether it is technically up to date an thoroughly trained.

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A human resource audit of an organization reveals the demographic of the firms labor force and whether it is technically up to date an thoroughly trained.

What is Human Resource Audit?

Human resource audit is an examination of policies, procedures, documentation, systems, and practices of a human resource function.

The primary purpose of HR audit is to determine the effectiveness of HR policies and practices in order to ensure the HR department is in compliance with employment laws and to improve the overall functioning of the organization.

The audit identifies areas of HR where deficiencies exist and what actions need to be taken in order to rectify those deficiencies.

An HR audit should cover:

Employment policies and procedures

Personnel files

Benefits administration

Payroll Administration of human resources programs and functions

Training and development programs

Equal employment opportunity and affirmative action programs

Performance appraisal systems

Labor relations and compliance with employment laws

Occupational health and safety policies and practices

Personnel transactions conducted on an HRIS

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question number 2) government regulation influences the operations of most businesses. which regulatory topic did software ag's ceo briefly discuss?

Answers

Every industry is subject to certain government rules, and institutions are required to abide by these regulations.

What is the purpose of software AG?

Enterprise software integration solutions are offered by the technology firm Software AG (SAG). The company provides a number of platforms, including adabas & natural, apis, integration, and microservices platforms, as well as IoT and analytics systems.

What would you say about Software AG's growth plan?

Its declared objective is to grow through a "string of pearls" acquisition plan that emphasizes selective purchases that offer value in certain areas and are in demand by current clients.

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an economy in which elements of both private enterprise and government intervention are present is known as:

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An economy that contains elements of private enterprise and government intervention is called a mixed economy.

A mixed economy is an economic system that combines elements of both capitalism and socialism. It has characteristics of both capitalism and socialism, but it is not purely either of them. It's a hybrid system that blends the best of both worlds.

What is a private enterprise? A private enterprise is a system in which businesses are owned and operated by individuals or groups of individuals. In a private enterprise system, the government has little or no involvement in the operation of businesses.

What is government intervention? Government intervention refers to the involvement of the government in the operation of the economy. The government may use its power to regulate or control economic activity, to redistribute income and wealth, or to provide public goods and services. Government intervention is often seen as necessary to correct market failures and ensure that the economy operates efficiently and fairly. However, too much government intervention can be harmful to economic growth and development.

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a differentiator will always seek out ways of distinguishing itself from similar competitors to justify price premiums greater than the costs incurred by differentiating. group of answer choices true false

Answers

Answer: The statement is generally true.

Differentiation is a strategy that businesses use to make their products or services stand out from similar offerings in the market. By highlighting unique features, benefits, or attributes, businesses can create perceived value for their offerings and justify price premiums that are greater than the costs incurred by differentiating.

However, it is important to note that the success of differentiation depends on several factors, such as the target market, the level of competition, the quality of the offering, and the effectiveness of marketing and branding efforts. Differentiation is not always a foolproof strategy and may not always result in sustained competitive advantage or increased profitability.

Explanation:

question content area a statement of stockholders' equity reports the changes in stockholders' equity for a period of time. true false

Answers

The statement of stockholders 'equity reports the changes in stockholders' equity for a period of time is True.

This statement typically shows the beginning balance of stockholders' equity, any changes that occurred during the period (such as net income, dividends paid, and stock issuances), and the ending balance of stockholders' equity.

The statement of stockholders' equity is an important financial statement that is often included in a company's annual report or 10-K filing with the Securities and Exchange Commission (SEC). It provides useful information for investors and analysts to understand how a company's equity has changed over time and what factors have contributed to those changes.

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In consumption of product Edgeworth box, a position on the contract curve

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No, the contract line in Edgeworth's box is not always the diagonal of the box even if consumer preferences are the same, but there is no need to be indifferent between the two goods.

The diagonal of the Edgeworth box represents an even distribution of two goods between two individuals, where each individual receives an equal share of the two goods.

This allocation takes effect only if the preferences of the two individuals are identical and if their initial assets for the two goods are also equal. In this case, the diagonal of the box will represent the contract curve.

However, if the preferences of two individuals are identical but their initial assets for the two goods are different, then the contract curve will not be the diagonal of the box.

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Complete Question

Is the contract curve the diagonal of the Edgeworth Box if and only if the consumer's preferences are identical, but need not be indifferent between the two goods?

what is the term for the negative result of an organization raising the price of a product too far above the equilibrium

Answers

The term for negative result of an organization raising the price of a product too far above the equilibrium is "price ceiling" or "price floor."

What is a price ceiling?

A price ceiling is a government-imposed limit on the maximum price that can be charged for a particular good or service. The intention behind a price ceiling is often to make that good or service more affordable and accessible to consumers, especially those with lower incomes. Price ceilings are typically implemented during times of economic hardship or crisis, such as during a natural disaster or a recession. However, setting a price ceiling can have unintended consequences, such as shortages, decreased quality, and even a black market for the product or service. In some cases, businesses may stop producing or offering the good or service altogether if they cannot earn a profit under the price ceiling, which can worsen the situation for consumers.

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aunt butch borrows $19,500 from the bank at 8 percent annually compounded interest to be repaid in 10 equal annual installments. the interest paid in the third year is

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The interest paid in the third year is $1,336, which can be calculated using the formula for the present value of an annuity.

To calculate the interest paid in the third year, we first need to find the amount of each annual installment. We can use the formula for the present value of an annuity to do this:

[tex]PV = PMT x\frac{(1 - 1/(1+r)^n) }{r}[/tex]

Where PV is the present value (the amount borrowed), PMT is the amount of each annual payment, r is the annual interest rate (8% or 0.08), and n is the number of payments (10). Plugging in the given values, we know:

PV = $19,500r = 0.08n = 10

So:

[tex]PMT= PV /\frac{(1 - 1/(1+r)^n) }{r}[/tex][tex]PMT= 19,500 /\frac{(1 - 1/(1+0.08)^10) }{0.08}[/tex]PMT = $3,050.87

So the amount of each annual payment is $3,050.87.

Now we need to find the interest paid in the third year. Since the payments are equal, we can use the formula for the future value of an annuity to find the amount of the remaining payments after two years:

[tex]FV = PMT x\frac{((1+r)^n - (1+r)^t) }{r}[/tex]

where FV is the future value, t is the number of years already passed (2), and all other variables are the same as before. Plugging in the values, we get:

[tex]FV = 3,050.87 x\frac{((1+0.08)^10 - (1+0.08)^2) }{0.08}[/tex]FV = $22,376.98

So after two years, Aunt Butch still owes $22,376.98. To find the interest paid in the third year, we subtract the remaining balance after two years from the total amount borrowed, and then calculate 8% of that amount:

Interest paid in third year = 0.08 x ($19,500 - $22,376.98)Interest paid in third year = $1,336.16

Therefore, the interest paid in the third year is $1,336 (rounded to the nearest dollar).

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if 12,500 units were produced and sold, what is the average fixed manufacturing cost per unit produced?

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The average fixed manufacturing cost per unit produced is calculated by dividing total fixed costs by the number of units produced. In this case, if 12,500 units were produced and sold, the average fixed manufacturing cost per unit is calculated by dividing total fixed costs by 12,500 units.

Total fixed costs can be found by subtracting the variable manufacturing costs from the total costs. This can be calculated by multiplying the variable costs by the number of units produced and subtracting it from the total cost of production. After subtracting variable costs, divide the resulting number by the number of units produced to find the average fixed manufacturing cost per unit.

Therefore, the formula to calculate the average fixed manufacturing cost per unit produced is as follows: Average fixed manufacturing cost per unit produced = (Total cost of production - (Variable cost per unit x Number of units produced)) / Number of units produced.

In this case, the average fixed manufacturing cost per unit produced is equal to (Total cost of production - (Variable cost per unit x 12,500)) / 12,500.

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if 63 million workers produced gdp in mexico in 2018, using the bar graph, how much output did the average worker produce?

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To calculate the output of the average worker, we need to divide the GDP by the number of workers. Using the bar graph, we can estimate that the GDP for Mexico in 2018 is approximately $2 trillion.

Therefore, the output of the average worker can be calculated as follows: Output of the average worker = GDP / Number of workers Output of the average worker = $2 trillion / 63 million Output of the average worker ≈ $31,746Therefore, the output of the average worker in Mexico in 2018 was approximately $31,746.

GDP measures the monetary value of final goods and services—that is, those that are bought by the final user—produced in a country in a given period of time (say a quarter or a year). It counts all of the output generated within the borders of a country.

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The following information is for Punta Company for July: a. Factory overhead costs were applied to jobs at the predetermined rate of
$44.00
per labor hour. Job S incurred 6,190 labor hours; Job T used 4,290 labor hours. b. Job S was shipped to customers during July. c. Job T was still in process at the end of July. d. The overapplied or underapplied overhead to the Cost of Goods Sold account was closed at the end of July. e. Factory utilities, factory depreciation, and factory insurance incurred are summarized as follows: Utilities $14,700
Depreciation 45,750
Insurance 18,300
Total $78,750
f. Direct materials and indirect materials used are as follows:
Jobs S Job T Total
Material A $29,250 $72,000 $101,250
Material B 17,450 35,450 47,900
Subtotal $41,700 $107,450 $ 149,150
Indirect ,aterials 211,750
Total $360,900
g. Direct labor incurred for the two jobs and indirect labor are as follows: Job S $57,000
Job T 46,500
Indirect labor 136,000
Total $239,500
Required: 1. Calculate the total manufacturing cost for Job S and Job T for July. (Round your intermediate calculations and final answers to 2 decimal places.) 2. Calculate the amount of overapplied or underapplied overhead and state whether the Cost of Goods Sold account will be increased or decreased by the adjustment.
Total manufacturing costs-Job S ____
Total manufacturing cost-Job T ____
Cost of goods sold ____

Answers

Total manufacturing costs: Job S: $371,060 and Job T: $342,710; Total applied overhead is $461,120; Cost of goods sold is $382,370 (underapplied overhead).

1. To calculate the total manufacturing cost for Job S and Job T for July, follow these steps:

Step 1: Calculate the applied overhead for each job.
Job S: 6,190 labor hours * $44 per labor hour = $272,360
Job T: 4,290 labor hours * $44 per labor hour = $188,760

Step 2: Add direct materials, direct labor, and applied overhead for each job.
Job S: $41,700 (direct materials) + $57,000 (direct labor) + $272,360 (applied overhead) = $371,060
Job T: $107,450 (direct materials) + $46,500 (direct labor) + $188,760 (applied overhead) = $342,710

Total manufacturing costs:
Job S: $371,060
Job T: $342,710

2. To calculate the amount of overapplied or underapplied overhead and determine the adjustment to the Cost of Goods Sold account, follow these steps:

Step 1: Calculate the total actual overhead costs.
Utilities: $14,700
Depreciation: $45,750
Insurance: $18,300
Total actual overhead: $78,750

Step 2: Calculate the total applied overhead.
Total applied overhead: $272,360 (Job S) + $188,760 (Job T) = $461,120

Step 3: Calculate the difference between total actual overhead and total applied overhead.
Overapplied or underapplied overhead: $78,750 (total actual overhead) - $461,120 (total applied overhead) = -$382,370

Since the overhead is underapplied (negative value), the Cost of Goods Sold account will be increased by the adjustment.

Cost of goods sold: $382,370 (underapplied overhead)

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the management effect in fixed income attribution analysis least likely includes: a. policy effect. b. analysis effect. c. rate anticipation effect. d. trading effect.

Answers

The management effect in fixed income attribution analysis least likely includes: Policy Effect. Policy Effect is defined as changes to the portfolio due to strategic investment decisions, such as changes in the portfolio's risk profile or expected return. Analysis Effect, Rate Anticipation Effect, and Trading Effect are all other types of effects that are likely to be included in fixed income attribution analysis.

The policy effect refers to the impact of the portfolio manager's decisions on the portfolio's overall performance. The analysis effect reflects the manager's ability to identify and select securities that outperform the benchmark. The rate anticipation effect measures the manager's success in anticipating changes in interest rates. Finally, the trading effect captures the manager's ability to generate excess returns through tactical trading decisions.

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who at ucf is required to comply with the prohibition of discrimination, harassment and related interpersonal violence policy? group of answer choices faculty and staff only faculty, staff, students and ucf-affiliated vendors non-affiliates of ucf, such as visitors students only

Answers

The group of people at UCF who are required to comply with the Prohibition of Discrimination, Harassment and Related Interpersonal Violence Policy are faculty, staff, students, and UCF-affiliated vendors.

Prohibition of Discrimination, Harassment and Related Interpersonal Violence Policy is an official university policy that prohibits acts of discrimination, harassment, sexual harassment, dating violence, domestic violence, stalking, retaliation, and any other forms of interpersonal violence.

It aims to prevent and promptly address all forms of violence and harassment, foster a safe, respectful, and inclusive learning and working environment, and ensure that the university community is free from any form of discrimination or harassment.

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