Bridgeport Company is constructing a building. Construction began on February 1 and was completed on December 31. Expenditures were $1,836,000 on March 1, $1,236,000 on June 1, and $3,038,370 on December 31. Bridgeport Company borrowed $1,112,250 on March 1 on a 5-year, 12% note to help finance construction of the building. In addition, the company had outstanding all year a 9%, 5-year, $2,342,100 note payable and an 10%, 4-year, $3,467,800 note payable. Compute the weighted-average interest rate used for interest capitalization purposes.

Answers

Answer 1

Answer:

9.6%

Explanation:

According to the problem, calculation are as follows,

Company borrowed on March 1 = $1,112,250

First we calculate total expenditures in constructing a building.

Total Expense = ($1,836,000 × 10÷12)+ ($1,236,000 × 7÷12)+ ($3,038,370 × 0÷12)

= $1,530,000 + $721,000 + 0

= $2,251,000

So, Difference in both amount = $2,251,000 - $1,112,250 = $1,138,750

We can calculate the weighted average interest rate by using following formula,

Weighted average interest rate = Interest ÷ outstanding principal

Where, Outstanding principal = $2,342,100 + $3,467,800 = $5,809,900

Interest = $2,342,100 × 9% + $3,467,800 × 10%

= $210,789 + $346,780 = $557,569

So, by putting the value in formula, we get,

Weighted average interest rate = $557,569 ÷ $5,809,900

= 0.096 or 9.6%


Related Questions

Which of the following statements is incorrect?
a. Adjustments to prepaid expenses, depreciation, and unearned revenues involve previously recorded assets and liabilities.
b. Accrued expenses and accrued revenues involve assets and liabilities that had not previously been recorded.
c. Adjusting entries can be used to record both accrued expenses and accrued revenues.
d. Prepaid expenses, depreciation, and unearned revenues often require adjusting entries to record the effects of the passage of time.
e. Adjusting entries affect the cash account.

Answers

my brain can't process this lol

Blossom Company had the following transactions. 1. Sold land (cost $8,400) for $10,500. 2. Issued common stock at par for $22,200. 3. Recorded depreciation on buildings for $12,200. 4. Paid salaries of $7,400. 5. Issued 1,000 shares of $1 par value common stock for equipment worth $8,100. 6. Sold equipment (cost $13,800, accumulated depreciation $9,660) for $1,656. (a) For each transaction above, prepare the journal entry.

Answers

Answer:

Item 1

Debit : Cash $10,500

Credit : Land $8,400

Credit : Profit and Loss $2,100

Item 2

Debit : Cash $22,200

Credit : Common Stock $22,200

Item 3

Debit : Depreciation Expense $12,200

Credit : Accumulated Depreciation $12,200

Item 4

Debit : Salaries Expense $7,400

Credit : Cash $7,400

Item 5

Debit : Equipment $8,100

Credit : Common Stock $1,000

Credit : Common Stock Paid in Excess of Par $7,100

Item 6

Debit : Cash $1,656

Debit ; Accumulated Depreciation $9,660

Debit : Profit and Loss $2,484

Credit : Cost $13,800

Explanation :

See the entries prepared above.

Note on Sale of Assets :

When a sale of asset is made, derecognize the cost of asset, derecognize the accumulated depreciation, recognize the profit or loss on sale and finally recognize the cash receipts.

Explain the significance of capital structure.

Answers

Capital structure increases the ability of the company to find new wealth- creating investment opportunities.
Capital structure maximizes the company's market price of share by increasing earnings per share of the ordinary shareholders. It also increases dividend receipt of the shareholders. Investment Opportunity: Capital structure increases the ability of the company to find new wealth- creating investment opportunities.

The air pollution could be reduced if the company spent $10,000 on upgraded ventilators. The company agrees to install the ventilators if the affected families contribute the $10,000. However, because individuals will benefit from the reduction in air pollution whether they contribute or not, most people will not contribute and the firm will not install the ventilators. This outcome is an example of the

Answers

Answer:

free rider problem

Explanation:

The air pollution constitutes a negative externality

A good has negative externality if the costs to third parties not involved in production is greater than the benefits. an example of an activity that generates negative externality is pollution. Pollution can be generated at little or no cost, so they are usually overproduced. Government can discourage the production of activities that generate negative externality by taxation. Taxation increases the cost of production and therefore discourages overproduction. Tax levied on externality is known as Pigouvian tax.

Government can regulate the amount of externality produced by placing an upper limit on the amount of negative externality permissible

Free rider is when some people benefit from the solution proffered but do not pay to enjoy these benefits  

The Miller Manufacturing Company has two divisions. The Cutting Division prepares timber at its sawmills. The Assembly Division prepares the cut lumber into finished wood for the furniture industry. No inventories exist in either division at the beginning of 2019. During the year, the Cutting Division prepared 60,000 cords of wood at a cost of $660,000. All the lumber was transferred to the Assembly Division, where additional operating costs of $6 per cord were incurred. The 600,000 boardfeet of finished wood were sold for $2,500,000. Required: Determine the operating income for each division if the transfer price is $9 per cord.

Answers

Answer and Explanation:

The computation of the operating income in the case when the transfer price is $9 per cord

Particular                         Cutting                     Assembly

Revenue                      $540,000                    $2,500,000

                        (60,000 × $9)

Cost of service

Incurred                      $660,000                     $360,000

                                                                     (60,000 × $6)

Transfered in                  $0                              $540,000

Total                           $660,000                      $900,000

Operating income      -$120,000                     $1,600,000

Your purpose for writing a formal business letter should be clearly stated in _____.

a postscript following your signature
the first paragraph
the salutation
the conclusion of the letter

Answers

Answer:

the answer is C hope this helps

the saulutation is the answer

An asset used in a four-year project falls in the five-year MACRS class for tax purposes. The asset has an acquisition cost of $6,020,000 and will be sold for $1,220,000 at the end of the project. If the tax rate is 35 percent, what is the aftertax salvage value of the asset

Answers

Answer:

The after-tax salvage value of the asset is:

= $793,000.

Explanation:

a) Data and Calculations:

Asset acquisition cost = $6,020,000

Salvage value = $1,220,000

MACRS Depreciation Expenses = $4,800,000

Project useful life or project duration = 5 years

Tax rate = 35%

Tax expense = $427,000

After-tax salvage value = $793,000 ($1,220,000 - $427,000)

b) The salvage value of the project asset is the recovery or residual value after depreciation expenses have been recognized over the project asset's useful life.  Depreciation is an accounting method of spreading the cost of an asset over its useful life.  There are many depreciation methods, including straight-line, double-declining, unit-of-production, sum-of-the-years digits, etc.

Heidi is having trouble understanding the Black Lives Matter (BLM) movement and why her workplace sent out an email affirming the company's commitment to diversity and inclusion. This is probably because as a white woman from a small town with little exposure to diversity efforts, Heidi has not had much education about what BLM is trying to accomplish. She is wrestling with this new information about systemic racism and ultimately dismisses it as unfounded because it is contrary to her past experiences. This is an illustration of which of the following?

a. Stereotyping
b. An entrenched mental model
c. Leader-Member Exchange Theory
d. Ethnocentrism
e. Social Identity Theory

Answers

Answer:

e. Social Identity Theory

Explanation:

It is correct to state that the scenario in the question above refers to the theory of social identity, which is a theory that seeks to explain how the categorization of groups such as those based on culture, social class, race, age, directly impact the life of an individual and their perception of the world. Psychology seeks to analyze how important it is for an individual to belong to a group and to form an identity based on the collective of that group, that is, to form a society.

Therefore, the theory of social identity suggests that there is an inclination for individuals to overestimate the characteristics of the group to which they belong and to minimize the characteristics of other groups, which can generate prejudice, racism and apathy, which is what happened with Heidi, who considered information about systemic racism unfounded by the fact that they are contrary to their previous experiences.

What is the difference between earning a wage and earning a salary?

Answers

Answer:

Wages are the money your employer pays you for the hours you work each week. A salary, on the other hand, typically defines a fixed amount your employer pays you, not necessarily for specific hours worked but for completing the duties of your job

Explanation:

8. A relatively small grocery store chain operates 35 stores in three New England states. Recently, the organization has been facing intensified competition from resource-rich dominant players like Kroger and Walmart, new players with innovative services like Amazon, and new low-cost leaders like Aldi. This small chain is seeing declining sales because it cannot offer consumers the same or better products, services, or prices as any of these competitors. Which type of interorganizational relationship does this describe

Answers

Answer:

- Population ecology.

Explanation:

'Population ecology' is characterized as the kind of inter-organizational association in which asserts that the dynamic changes takes places in the level of population as an outcome of the selection of their organization and its failure to replace with the evolution/change in the environment. As per Hannan & Freeman's theory of organizational ecology, an organization(like the grocery store in the given situation) faces decline in sales due to their selection of the orgnaization as the structural inertia of the orgnaization does not allow it to adapt the environmental changes and the changes in demands of the population.

The Phillips curve was first suggested as a description of the relationship between inflation and unemployment in the late 1950s, and data through the 1960s were consistent with its predictions. What happened in the 1970s?

Answers

Answer: High inflation and high unemployment in the United States undermined the Phillips hypothesis.

Explanation:

In the year the 1970s, there is high inflation and high unemployment in the United States that undermined the Phillips hypothesis.

What happened in the 1970s?

Since the Phillips curve was first recommended by the description of the relationship that lies between inflation and unemployment.

So based on this, we can say that In the year the 1970s, there is high inflation and high unemployment in the United States that undermined the Phillips hypothesis.

Learn more about inflation here: https://brainly.com/question/17183026

Chavez S.A., a Venezuelan company, wishes to borrow $8,000,000 for eight weeks (maturity). A rate of 6.250% per year is quoted by potential lenders in Great Britain, and Switzerland. British, and the Swiss-Euro bond definitions of interest (day count conventions) are 56 days and 60 days, respectively. Numbers of days in a financial year are 360. From which source should Chavez borrow?

Answers

Answer:

Chavez should borrow from the British market.

Explanation:

We need to compare the interest payment of both markets to make the decision

First, calculate the Interest payment in case, if borrowed from the British market

Interest Payment ( British ) = Principal Value x Interest rate x Time fraction

Interest Payment ( British ) = $8,000,000 x 6.250% x 56/360

Interest Payment ( British ) = $77,777.78

First, calculate the Interest payment in case if borrowed from Swiss market

Interest Payment ( Swiss ) = Principal Value x Interest rate x Time fraction

Interest Payment ( Swiss ) = $8,000,000 x 6.250% x 60/360

Interest Payment ( Swiss ) = $83,333.33

As the British market offers a lower rate, Chavez should borrow from the British market.  

jasmine has too many files in her math folder and can't easily find her class notes. what should she do to help her find her notes easily?

Answers

Answer:

used folders or sticky notes in a binder. Notes saying what they are help too.

Explanation:

What is three ways eBay helps support small businesses? Full sentences please :)​

Answers

Answer:

1. Gets you customers fast

2. There is a 95% chance you will make a profit

3. eBay is a big platform with multiple users

intercontinentel baseball
Manufacturers 18m) hasan
outstanding bond that reatures
moyears. The bond, which
pays $25 intrest overy six
months 850 per share), is
Currently selling for 598.55
What is the bond's yeuld to

Answers

Answer:

12%

Explanation:

The computation of the yield to maturity is shown below:

Given that

Coupon (pmt) = $ 25

Present Value of Bond (PV) = $598.55

Face Value (FV) = $1000

No of Semi annual Period (nper) = 10 × 2 = 20

Now

The formula to calculate Bond's Half yearly yield to maturity is = rate(nper,pmt,-pv,fv)

= rate(20,25,-598.55,1000)

= 6%

Now Bond's Annual yield to maturity is

= 6% × 2

= 12%

A student wants to have $30,000 at graduation 4 years from now to buy a new car. His grandfather gave him $10,000 as a high school graduation present. How much must the student save each year if he deposits the $10,000 today and can earn 12% on both the $10,000 and his earnings in a mutual fund his grandfather recommends

Answers

Answer:

Annual deposit= $2,984.69

Explanation:

First, we need to calculate the Future Value of the lumpsum investment using the following formula:

FV= PV*(1+i)^n

FV= 10,000*(1.12^4)

FV= $15,735.19

Now, the annual deposit to cover the difference:

Difference= 30,000 - 15,735.19= 14,264.81

FV= {A*[(1+i)^n-1]}/i

A= annual deposit

Isolating A:

A= (FV*i)/{[(1+i)^n]-1}

A= (14,264.81*0.12) / [(1.12^4) - 1]

A= $2,984.69

Duck, an accrual basis corporation, sponsored a rock concert on December 29, 2020. Gross receipts were $300,000. The following expenses were incurred and paid as indicated:
Expense Payment Date
Rental of coliseum $25,000 December 21, 2020
Cost of goods sold:
Food 30,000 December 30, 2020
Souvenirs 60,000 December 30, 2020
Performers 100,000 January 5, 2021
Cleaning the coliseum $10,000 February 1, 2021
Performers Cleaning the coliseum Because the coliseum was not scheduled to be used again until January 15, the company with which Duck had contracted did not perform the cleanup until January 8-10, 2020. a. Calculate Duck's net income from the concert for tax purposes for 2019. If an amount is zero, enter "0".
Gross receipts 300,000 ✓
Coliseum rental 25,000
Food 30,000
Souvenirs 60,000
Performers 100,000
a. Calculate Duck's net income from the concert for tax purposes for 2019. If an amount is zero, enter "0". Gross receipts 300,000 Less: Coliseum rental 25,000 Food 30,000 Souvenirs 60,000 Performers 100,000 Cleaning costs Total expenses 215,000 Net income for 2019 85,000
b. What is the true cost to Duck if it had to defer the $100,000 deduction for the performers until 2020? Assume a 5% discount rate and a 21% marginal tax rate in 2019 and 2020. The present value factor for a single sum at 5% for one year is 0.9524. If required, round your answers to the nearest dollar. The present value of the 2020 tax savings is and the cost of the deferral to Duckiss.

Answers

Answer:

Duck Corporation

Rock Concert

a) Income Statement for the year ended December 31, 2020:

Gross receipts          $300,000

Less: Coliseum rental  25,000

Food                             30,000

Souvenirs                     60,000

Performers                 100,000

Total expenses          215,000

Net income for 2019  85,000

b) The true cost is $116,240.

Explanation:

a) Data and Calculations:

Rental of coliseum $25,000 December 21, 2020

Cost of goods sold:

Food 30,000 December 30, 2020

Souvenirs 60,000 December 30, 2020

Performers 100,000 January 5, 2021

Cleaning the coliseum $10,000

b) The Cleaning expense is excluded because the services had not been rendered as at December 31.  The inclusion of the Performers' compensation is necessary because the services had been enjoyed and incurred as at December 31.

c)  The true cost = the Present value of the $100,000 performers' compensation plus additional tax expense of $21,000 ($100,000 * 21%) that would have been deducted.

= $116,240 ($95,240 + $21,000)

The PPP theory fails in reality for all of the following reasons EXCEPT Group of answer choices monopolistic or oligopolistic practices in goods markets. restrictions on trade. inflation rates are unrelated to money supply growth. transport costs. the inflation data reported in different countries are based on different commodity baskets.

Answers

Answer:

inflation rates are unrelated to money supply growth.

Explanation:

purchasing power parity which is regarded as (PPP) is a macroeconomic analysis metric which gives comparison between economic productivity aas well as standards of living existing between countries. It can be regarded as economic theory which gives comparison of currencies of different countries using an approach of "basket of goods". The PPP theory can hold in reality for instance, when inflation rates are unrelated to money supply growth.

EXCEPT Group of answer choices monopolistic or oligopolistic practices in goods markets. restrictions on trade. the inflation data reported in different countries are based on different commodity baskets.

5 years ago, Barton Industries issued 25-year noncallable, semiannual bonds with a $1,000 face value and a 9% coupon, semiannual payment ($45 payment every 6 months). The bonds currently sell for $896.87. If the firm's marginal tax rate is 25%, what is the firm's after-tax cost of debt? Do not round intermediate calculations. Round your answer to two decimal places.

Answers

Answer: 7.67%

Explanation:

To solve this, the financial calculator will be needed

Present value = -896.87

Future Value = 1,000

N = [(25 - 5years) × 2 = 40

PMT = $45

Given the above information, we will press the financial calculator as we'll press CPT after which we then press I/Y and we'll get 5.11%

Then, the the firm's after-tax cost of debt will be:

= (5.11% x 2 )(1 - 0.25)

= (0.0511 × 2) (0.75)

= 0.07665

= 7.665%

= 7.67%

The following information pertains to Lance Company.

1. Cash balance per bank, July 31, $8,732.
2. July bank service charge not recorded by the depositor $45.
3. Cash balance per books, July 31, $8,768.
4. Deposits in transit, July 31, $3,500.
5. $2,023 collected for Lance Company in July by the bank through electronic funds transfer. The accounts receivable collection has not been recorded by Lance Company.
6. Outstanding checks, July 31, $1,486.

Required:
Prepare bank reconciliation at July 31, 2022.

Answers

Answer and Explanation:

The preparation of the bank reconciliation statement is presented below:

Balance as per bank $8,732.00

Add: Deposit in transit $3,500.00  

Less: Outstanding checks  -$1,486.00

Adjusted bank balance  $10,746.00

Balance as per books $8,768.00

Add: EFT received from customer $2,023.00

10791.00

Less: Service charges -$45.00

Adjusted book balance  $10,746.00

The Lance Company's Bank Reconciliation , as at July 31, 2022 is shown in the attached image below.

Bank reconciliation is the process of comparing and reconciling the cash balance recorded in a company's books (the "book balance") with the balance reported by the bank in its statement (the "bank balance"). It aims to identify and resolve any discrepancies between the two balances, ensuring that the company's financial records accurately reflect its actual cash position. The purpose of bank reconciliation is to ensure the accuracy and reliability of the company's financial records.

Learn more about bank reconciliation here:

https://brainly.com/question/28390711

#SPJ6

On January 1, Year 1, Canseco Plumbing Fixtures purchased equipment for $52,000. Residual value at the end of an estimated four-year service life is expected to be $4,000. The company uses the straight-line method. For how much would each item below be reported at the end of Year 2?

Answers

Answer:

Reported for Year 2 will be :

Depreciation Expense = $12,000

Accumulated Depreciation = $24,000

Book Value = $28,000

Explanation:

Straight line method charges a fixed amount of depreciation for the period that the asset is in use in the business.

Depreciation Charge = (Cost - Salvage Value) ÷ Estimated Useful Life

therefore,

Depreciation Charge = ($52,000 - $4,000) ÷ 4

                                     = $12,000

we know that,

Accumulated depreciation = Sum of all depreciation to date

and

Book Value is the Costs less Accumulated depreciation

thus,

Balances for the Next 2 years will be as follows

Year 1

Depreciation Expense = $12,000

Accumulated Depreciation = $12,000

Book Value = $40,000

Year 2

Depreciation Expense = $12,000

Accumulated Depreciation = $24,000

Book Value = $28,000

In 1960, Frederick Herzberg constructed a two-dimensional paradigm of factors that affect people's work attitudes.

a. True
b. False

Answers

Answer:

A.

Explanation:

Frederick Herzberg was an American behavioral scientists who proposed the theory of Two-Factors. In his theory, he defined that an employee is motivated by two-factors, viz., motivators and hygience factors.

He remarks that motivators such as recognition and achievement motivates employees to work harder, whereas, hygience factors such as salary also effects employees motivation to work.

Therefore, the given statement is true. Thus option A is correct.

Consider the following premerger information about Firm X and Firm Y:
Firm X Firm Y
Total earnings $96,000 $22,500
Shares outstanding 53,000 18,000
Per-share values:
Market $53 $18
Book $14 $8
Assume that Firm X acquires Firm Y by issuing long-term debt to purchases all the shares outstanding at a merger premium of $5 per share. Construct the post-merger balance sheet for Firm X assuming the use of the purchase accounting method.

Answers

Answer:

Firm X and Firm Y

Post-merger Balance Sheet for Firm X

Net assets         $886,000

Goodwill                90,000

Total assets      $976,000

Common stock $742,000

Long-term debt  234,000

Total liabilities and

equity              $976,000

Explanation:

a) Data and Calculations:

                                    Firm X      Firm Y

Total earnings         $96,000    $22,500

Shares outstanding   53,000       18,000

Per-share values:

Market                            $53             $18

Book                               $14               $8

Net assets              $742,000   $144,000

=                       (53,000*$14)     (18,000*$8)

Net assets = Common Stock for each company

Merger premium on Firm Y         $5

Goodwill on acquisition = $90,000 (18,000 * $5)

Investment in Firm Y = $234,000 (18,000 * ($8 + $5)

Long-term debt issued = $234,000

Net assets

Firm X net assets before acquisition = $742,000

Firm Y net assets before acquisition =    144,000

Net value of combined assets =           $886,000

A lottery winner can take $6million now or be paid $600,000 at the end of each year for the next 16 years. The winner calculates the internal rate of return of taking the money at the end of each year, and estimating that the discount rate across this period will be 5%, decides to take the money at the end of each year. Was her decision correct

Answers

Answer:

yes

the present value of the 16 year annuity is 6502661.74. this is greater than $6 million

Explanation:

The following information is available: Units in process, Dec. 1 (60 percent converted) 2,000 units Units in process, Dec. 31 (30 percent converted) 1,000 units Units started during the month 7,500 units Materials are added at the beginning of the process. How many equivalent units in process for conversion were there in December using the weighted average method? Group of answer choices

Answers

Answer:

the equivalent unit for conversion is 8,800 units

Explanation:

The computation of the equivalent unit for conversion is shown below:

= Units transferred + ending units

= (2,000 + 7,500 - 1,000) × 100 units + 1,000 units ×30%

= 8,500 units + 300 units

= 8,800 units

Hence, the equivalent unit for conversion is 8,800 units

We simply used the above formula for determining the conversion units

Ramirez Company installs a computerized manufacturing machine in its factory at the beginning of the year at a cost of $48,400. The machine's useful life is estimated at 10 years, or 394,000 units of product, with a $9,000 salvage value. During its second year, the machine produces 33,400 units of product.

Required:
Determine the machine's second-year depreciation using the units-of-production method.

Answers

Answer:

$3,340

Explanation:

Step 1  : Determine the Depreciation rate

Depreciation rate = Cost - Salvage Value ÷ Estimated Units

Depreciation rate = $0.10

Step 2 : Depreciation Expense

Depreciation Expense = Depreciation rate x units produced

Depreciation Expense = $3,340

Therefore,

the machine's second-year depreciation using the units-of-production method is $3,340

Todd has a $100,000 25-year mortgage with a 12% nominal interest rate convertible monthly. The first payment is due one month after the mortgage is taken out. Twelve years after taking out the mortgage (after making his 144th payment), he refinances with a new nominal interest rate of 8%, again convertible monthly. The new mortgage will be paid off on the same date as the original one. Calculate the difference in the monthly mortgage payment after refinancing.

Answers

Answer:

The right solution is "$178.86".

Explanation:

The given values are:

Interest rate,

= 10%

New nominal interest rate,

= 8%

Years,

= 24

As per the question,

On the original loan, the annul installments will be:

=  [tex]100000\times 0.01\times 1.01^{\frac{300}{1.01^{300-1}}}[/tex]

=  [tex]1053.22[/tex] ($)

As we know,

The remaining 156 instalments are charged throughout the PV after the 144th deposit,

=  [tex]1053.22\times \frac{(1.01^{156-1})}{(0.01\times 1.01^{156}})[/tex]

=  [tex]83,017.90[/tex] ($)

On the refinanced loan, the annul installments will be:

=  [tex]83017.90\times 0.01\times \frac{1.01^{300}}{(1.01^{300-1})}[/tex]

=  [tex]874.36[/tex] ($)

hence,

After refinancing, the difference in mortgage will be:

=  [tex]Annual \ installment \ on \ original \ loan-Annual \ installment \ on \ refinanced \ loan[/tex]

=  [tex]1053.22-874.36[/tex]

=  [tex]178.86[/tex] ($)

eva always wanted to be a veterinarian

Answers

Good for Eva then. lol

Using the following categories, indicate the effects of the following transactions. Indicate the accounts affected and the amounts. (Enter any decreases to account balances with a minus sign.)
a. During the period, customer balances are written off in the amount of $11,600.
b. At the end of the period, bad debt expense is estimated to be $9,600.

Answers

Answer:

Note: See the attached excel for the Indication of the effects of the two transactions.

Explanation:

From the attached excel file, we have:

a. During the period, customer balances are written off in the amount of $11,600.

Assets increase as the Allowance for doubtful accounts increases by $11,600; but Assets also decreases at the same as Accounts receivable decreases by $11,600.

b. At the end of the period, bad debt expense is estimated to be $9,600.

Assets decrease as the Allowance for doubtful accounts decreases by $9,600; and Stockholders' Equity also decreases as Bad debt expense increases by $9,600.

What is defined by an organization's mission statement?
A. A comprehensive list of the organization's budgets, schedules, and
milestones
B. How the organization differs from others and provides value to its
customers
C. A broad and inspiring overview of the company's
accomplishments
omplay's
D. The desired future plans for the expansion of the organization

Answers

Answer:How the organization differs from others and provide value to its customers

Explanation:

AP EX

Other Questions
Pls help will mark brainliest The following represents a sequence with an exponential pattern. FInd the missing numbers of the sequence. 20, __, __, __, 12, 500 15. Cells found in plants and animals have similarities but can differ in function. Consider the following two organisms: a corn plant cell (Zea mays) and a camel cell (Bactrianus ferus). What is the best explanation for the difference in the cellular vacuole size between these two biotic organisms?A. The corn cells' have a small vacuole size because it does not need long term water andelectrolyte storage.B. The camel cells' have a small vacuole size because it does not need long term water and electrolyte storage.C. The camel cells' have a small vacuole size because it is not in contact with toxins that need to be removed from the cell.D. The corn cells' have a large vacuole size because it is in contact with many toxins in the soil which need to be removed from the cell. PYTHON:Design a recursive function that accepts one integer argument, n, and prints the numbers 1 up through n. For example, if you call the function with n=5, you should see this:12345Hint: Because this function prints its results, it does not need to use a return statement. What was the primary demand of thenewly-founded Republican Party? PLS HELP!! HELPPPPPPP PLEASEEEEEEE!!!!!!!!:(((((( Which statement correctly describes the rules for transferring the registration of a real estate office?A. The registration can only be transferred if it is a branch of officeB. The registration can only be transferred if it is the main officeC. The registration can only be transferred one timeD. The registration is only necessary if the office is located in Florida Why is the land breeze experienced at night?need an explanation related to the following diagram What is the power of a stereo that has an intensity of 3.5X105 W/m2 at a distance of 12.4 m A.B., a 68-year-old man, is admitted to your medical floor with a diagnosis of pleural effusion. He relates having shortness of breath; pain in his chest; weakness; and a dry, irritating cough. His vital signs (VS) are 142 / 82,118, respirations 38 and labored and shallow, 102.1F(38.9C) F(38.9 C), and Spo2Spo 2 85% on room air. Chest x-ray examination shows a large pleural effusion and pulmonary infiltrates in the right lower lobe consistent with pneumonia.The provider performs a thoracentesis and drains 1500 mL of fluid. A specimen for culture and sensitivity (C&S) is sent to the lab, and A.B. is started on ceftriaxone 500 mg IV every 12 hours. The pleural C&S results show a large amount of Klebsiella organism growth that is not sensitive to ceftriaxone.It is now the end of your shift and A.B.'s condition has stabilized. Using the SBAR framework, describe the bedside change-of-shift report you will give the oncoming nurse. Given the utility function, U= x^0.5 y^0.5 calculate the utility if consuming bundle a:(16,36). Calculate the marginal rate of substitution at this bundle and interpret your answer A city council with six members must elect a five-person executive committee consisting of a mayor, deputy mayor, secretary, administrator, and treasurer. How many executive committees are possible?Determine the appropriate counting technique. Choose the correct answer belowA. Arrangements with repetition should be used because no llem may be selected more than once and the order matersB. Permutations should be used because no item may be selected more than once and the order mattersC. Combinations should be used because no tem may be selected more than once and the order does not matterD. Arangements with repetition should be used because we make selections from a group of choicesE. Permutations should be used because we make selections from a group of choicesCalculate how many different committees are possible Your friend Niko predicts that iron and silver nitrate will form when silver is placed into an iron (III) nitrate solution. Is this correct? Why or why not?AIt is correct because the products are an element and a compound.BIt is correct because iron is more reactive than silver.CIt is incorrect because this reaction should form a single product.DIt is incorrect because silver is less reactive than iron. To develop the main points for a speech on a question of value, you should aska "How do you know?"b. "Why is this good or bad?" "Why is true?"d "How is this better than what we have now?" geometry multiple choice(will mark brainliest) pero (but) ahora la profesora dice que ellos enter answer abrir su libro de texto. a sporting goods store received an order of 64 baseball caps, of which 16 were green. if 1 of the 64 caps is selected at random, what is the probability it will Plss HelpWILL GIVE OUT BRAINLIEST ANSWER Please answer this correctly without making mistakes The sound intensity level from one solo flute is 70 dB. If 10 flutists standing close together play in unison, what will the sound intensity level be?Sound Intensity:Sound intensity can vary over a vast range of numbers, from the hearing threshold, which is a very weak sound, aboutin intensity, to the jet engine sound, which can exceed the pain threshold and result in human death. In order to characterize the intensities, we use decibels as sound intensity measure,