During the current year, merchandise is sold for $795,000. The cost of the merchandise sold is $477,000. a. What is the amount of the gross profit? b. Compute the gross profit percentage (gross profit divided by sales). c. Will the income statement necessarily report a net income? Explain.

Answers

Answer 1

it is not possible to determine whether the income statement will necessarily report a net income.

a. The amount of gross profit can be calculated by subtracting the cost of merchandise sold from the sales revenue. In this case, the gross profit is $795,000 - $477,000 = $318,000.

b. The gross profit percentage is calculated by dividing the gross profit by the sales revenue and multiplying by 100 to express it as a percentage. In this case, the gross profit percentage is ($318,000 / $795,000) * 100 = 40%.

c. Whether the income statement will report a net income depends on the presence of other expenses and revenues. The income statement includes various operating expenses, such as salaries, rent, utilities, and taxes, which need to be subtracted from the gross profit to determine the net income. If the total expenses, including cost of merchandise sold and other operating expenses, are less than the sales revenue, then a net income will be reported.

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Related Questions

With the following data, compute the NET FUTA Tax. Gross FUTA Tax DUE $ 6,750 Credit against FUTA (assume applicable) $3,100. a) $7,000. b) $3,100. c) $6,750. d) $3,650.

Answers

The correct answer is option d) $3,650 in the given case of tax data

To compute the net FUTA (Federal Unemployment Tax Act) tax, we subtract the credit against FUTA from the gross FUTA tax due.

Given:

Gross FUTA Tax Due: $6,750

Credit against FUTA: $3,100

Net FUTA Tax = Gross FUTA Tax Due - Credit against FUTA

Net FUTA Tax = $6,750 - $3,100 = $3,650

Therefore, the correct answer is option d) $3,650.

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Which of the following are principles of GAAP? d ABC Inc. has assets of $100,000, liabilities of $10,000, and owner's equity of $90,000. It buys office equipment on credit for $5,000. What effect would this transaction have on these amounts?

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Based on the illustrations above, there would be no change in the owner's equity, which remains at $90,000.

The principles of GAAP are:

Historical cost principleRevenue recognition principleMatching principleFull disclosure principleGoing concern principleMateriality principleConsistency principle Conservatism principle

The transaction of buying office equipment on credit worth $5,000 would result in an increase in the assets as well as an increase in the liabilities of the company.

The assets will increase from $100,000 to $105,000 ($100,000 + $5,000), and the liabilities will increase from $10,000 to $15,000 ($10,000 + $5,000).

As a result, there would be no change in the owner's equity, which remains at $90,000.

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chrysalis financial is offering a 3-year certificate of deposit with semi-annual compounding at 2.30%. you invest $5,175 in the certificate today. on the maturity date, the investment will be worth:

Answers

On the maturity date, the investment will be worth approximately [tex]\$5,654.96[/tex].

To calculate the future value of the investment at maturity, we can use the formula for compound interest with semi-annual compounding:

[tex]\[A = P \left(1 + \frac{r}{n}\right)^{nt}\][/tex]

Where:

[tex]A[/tex] is the future value (maturity value) of the investment,

[tex]P[/tex] is the initial principal (investment amount),

[tex]r[/tex] is the interest rate (2.30%),

[tex]n[/tex] is the number of compounding periods per year (2 for semi-annual compounding),

and [tex]t[/tex] is the number of years (3).

Substituting the given values into the formula:

[tex]\[A = \$5175 \left(1 + \frac{0.0230}{2}\right)^{(2 \times 3)}\][/tex]

Simplifying the formula:

[tex]\[A = \$5175 \times (1.0115)^6\][/tex]

Calculating the future value:

[tex]\[A \approx \$5,654.96\][/tex]

With an initial investment of [tex]\$5,175[/tex] in a 3-year certificate of deposit at a 2.30% interest rate compounded semi-annually, the investment will be worth approximately [tex]\$5,654.96[/tex] at maturity.

Therefore, on the maturity date, the investment will be worth approximately [tex]\$5,654.96[/tex].

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Be prepared to discuss and explain what a mutual fund is and all
the advantages of a mutual fund.

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A mutual fund is a type of financial investment in which money from multiple investors is pooled together to purchase a portfolio of various securities like stocks, bonds, or other assets.

What are the advantages of a mutual fund?

Following are the advantages of a mutual fund:

1. Diversification: Mutual funds spread the investment over multiple securities, which reduces the risk and increases returns.

2. Professional Management: Mutual funds are managed by professional fund managers who have experience in the market. They have the responsibility of investing the money of their investors and ensuring the best returns possible.

3. Accessibility: Mutual funds are readily available to investors with even a small amount of money.

4. Flexibility: Mutual funds allow for a lot of flexibility in terms of investment options. Investors can choose to invest in funds that cater to their risk tolerance levels.

5. Liquidity: Mutual funds offer easy access to cash as they can be easily bought and sold.

6. Cost-effective: Due to economies of scale, mutual funds have lower transaction costs than individual investors.

7. Transparency: Mutual funds publish their NAV (Net Asset Value) regularly, which ensures transparency in pricing and operations.

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Which of the following is essential to the application of good strategic assessment law and policy?

Select one:
a. Project-level evaluation of alternatives
b. Reactionary responses to broad-scale issues
c. Transparent processes that involve public engagement
d. Consistent application of methods and procedures

Answers

Transparent processes that involve public engagement is essential to the application of good strategic assessment law and policy.(C) A strategic assessment law and policy aims to understand how a law or policy will affect environmental, social, and economic aspects of the environment.

It involves the integration of ecological, social, and economic considerations into the policy formulation process in an attempt to minimize the negative impact of a policy on the environment and society. Transparent processes are important in ensuring that policy decisions are made in the public interest and that the public has input into the decision-making process. The public engagement process should be open, transparent, and inclusive to allow for diverse perspectives to be heard. It also provides a platform for stakeholders to ask questions, provide comments, and offer suggestions that may inform the policy decision. This helps to ensure that policy decisions are based on the best available science, knowledge, and understanding of the environmental, social, and economic impacts of the policy.

In conclusion, transparent processes that involve public engagement are essential to the application of good strategic assessment law and policy.

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Which is a true statement about understanding vocation or calling?
1. only religious people have a sense of calling
2. vocation refers to our job or career
3. vocation provides a sense of meaning
4. only those in high status jobs have a sense of calling

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The true statement about understanding vocation or calling is that "vocation provides a sense of meaning" (option 3). Vocation goes beyond just referring to our job or career (option 2).

It encompasses the idea that individuals have a unique purpose or mission in life, regardless of their religious affiliation (option 1). Vocation is not limited to individuals in high-status jobs (option 4). Instead, it relates to finding meaning and fulfillment in any occupation or life path, recognizing that one's work or contributions can align with their values, passions, and the greater good.

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How might the growth in online marketing affect the structure of retail supply chains? Provide and discuss one example of companies who have succeeded and one example of those who have faltered by this growth.

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The growth in online marketing has reshaped the structure of retail supply chains, with a shift towards e-commerce and direct-to-consumer sales.

The growth in online marketing has had a significant impact on the structure of retail supply chains. One key aspect that has been affected is the distribution network and logistics operations. Traditional retail supply chains were primarily designed to support brick-and-mortar stores, with a focus on delivering products to physical locations.

However, the rise of online marketing has led to a shift towards e-commerce and direct-to-consumer sales, requiring retailers to adapt their supply chains to meet the demands of online customers.

One example of a company that has succeeded in adapting to the growth in online marketing is Amazon. Amazon revolutionized the retail industry by developing a highly efficient and streamlined supply chain infrastructure. They invested heavily in building fulfillment centers strategically located near major urban areas to enable faster delivery.

Their sophisticated inventory management system and use of advanced technologies like robotics and automation have allowed them to handle high order volumes and provide a seamless online shopping experience for customers.

On the other hand, a company that has faltered in the face of online marketing growth is Sears. Sears was once a dominant player in the retail industry but failed to adapt to the changing landscape.

They struggled to keep up with the rapid rise of e-commerce and underestimated the impact it would have on their traditional retail business model.

Sears had an extensive network of physical stores, but their supply chain and logistics operations were not equipped to efficiently handle online orders and fulfill customer expectations for fast and convenient delivery. As a result, they faced declining sales and ultimately filed for bankruptcy.

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Develop a strategic business plan for a POULTRY CHICKEN FARMING to be submitted to a lending institution so that you can borrow funds to start your small business. You are required to write an Executive Summary of a POULTRY CHICKEN FARMING in Australia.

Answers

The strategic business plan for poultry chicken farming is a comprehensive plan that outlines the steps to be taken to start and grow a small business. The plan includes a market analysis, an organizational and management structure, a marketing plan, financial projections, and an operational plan. The business will focus on the local market, leverage digital marketing channels, and use a combination of loans, equity, and grants to fund its operations.

The poultry chicken farming business will be an integrated poultry farming business. It will combine the breeding of layers and broilers to produce and supply eggs and meat to customers. The business will be set up in an area that has a ready market for its products, and also close to suppliers of chicken feeds and other inputs.

The strategic business plan for poultry chicken farming includes a comprehensive market analysis, an organizational and management structure, a marketing plan, financial projections, and an operational plan.

The business will focus on targeting the local market for its products. The target market will include restaurants, supermarkets, food stores, and other customers. The business will also leverage social media and other digital platforms to reach customers.Organizational and Management Structure.

The poultry chicken farming business will be run by a management team that has expertise in poultry farming and business management. The management team will include the owner, an accountant, a marketing manager, a production manager, and other personnel.

The marketing plan will focus on building the brand, increasing market share, and attracting new customers. The plan will leverage digital marketing channels such as social media, email, and SEO. It will also include promotional activities such as in-store displays, events, and sponsorships.

The financial projections will include estimates of revenue, expenses, and profits. The business will be funded through a combination of loans, equity, and grants. The financial projections will also include a break-even analysis and cash flow projections.

The operational plan will outline the day-to-day activities of the business, including production, distribution, and customer service. It will also include policies and procedures for managing staff, supplies, and other inputs. The plan will focus on efficiency, quality, and safety.

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Which of the following statements best describe e-interruptions? OA. E-interruptions are caused by face to face conversations. O B. E-interruptions are caused by emails and texts. OC. E-interruptions

Answers

The best statement that describes e-interruptions is "E-interruptions are caused by emails and texts."

The correct Option is B.

E-interruptions can be defined as digital distractions that affect people's focus or concentration on a given task.

They can take many forms, including email, text messages, social media notifications, and pop-up ads. These interruptions can lead to a reduction in productivity and a decrease in the quality of work being done. Therefore, it is essential to learn how to manage e-interruptions effectively.In today's world, electronic communication channels have become more prevalent than ever. With the advent of smartphones and tablets, people are now connected to the internet around the clock. This constant connectivity has created a situation where e-interruptions have become a common occurrence. Whether it's an email notification or a social media update, these distractions can quickly disrupt our focus and make it challenging to stay on task.E-interruptions can have a significant impact on our productivity and well-being. They can lead to increased stress, reduced job satisfaction, and a decrease in the quality of work being done. To manage these interruptions effectively, it is essential to create a work environment that minimizes their impact. This may involve turning off notifications during specific periods, using productivity apps that block distractions, or setting clear boundaries around electronic communication channels. By managing e-interruptions effectively, you can improve your focus, productivity, and overall well-being.

The correct Option is B.

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Please read the "Focus on International Issues" on the top of page 120 in your textbook. After reading, please discuss why Siemen's earnings were able to increase so much faster than their revenue? What would happen if their revenue would have fallen by 9.4%?
From 2017 to 2019 nestles revenue increased only 3.1 percent, but its operating earnings increased 59.0 percent. In other words its profit grew 19 times as fast as its revenue.
class is Managerial Accounting
FOCUS ON INTERNATIONAL ISSUES COST-VOLUME-PROFIT ANALYSIS AT A SWISS COMPANY The greater the percentage of a company's total costs that are fixed, the more sensitive the company's earnings are to changes in rev- enue or volume. Operating leverage, the relationship between the changes in revenue and changes in earnings, introduced earlier, applies to companies throughout the world, large or small. Nestle Manufacturing companies often have significant fixed costs. Nestle Group, SA is a large, food manufacturing company head- quartered in Vevey, Vaud, Switzerland. Most college students will be familiar with its candy products, but it is also a major producer in infant formulas. From 2017 through 2019 Nestle's revenues increased only 3.1 percent, but its operating earnings increased 59.0 percent. In other words, its profit grew 19 times as fast as its revenue (volume). This is a classic example of the effects of fixed costs, whether measured in dollars, euros, or Swiss francs. Studying Nestle offers insight into a true global enterprise. Though headquartered in Switzerland, it does business in almost ev- ery county in the world. In 2019 it generated less than 25 percent of Klaus Ohlenschlaeger/Alamy its revenues in Europe, let alone Switzerland. Its financial statements are presented in Swiss francs (CHFs), but it does business in 11 other major currencies. Its stock is currently traded on the SIX Swiss Stock Exchange, but it can also be purchased using ADRS (American De- pository Receipts) on the over-the-counter market in the United States.

Answers

Siemens' earnings were able to increase so much faster than their revenue due to the fixed costs that were reduced over the year, and as a result, they were able to produce a higher level of earnings.

With the reduction in fixed costs, Siemens was able to cut back on expenses and streamline their business practices, leading to a faster growth in earnings. If their revenue would have fallen by 9.4 percent, Siemens would have been negatively impacted.

With the reduction in revenue, Siemens would have experienced a significant decrease in earnings, which would have hurt the company's profits. The company would have had to cut back on expenses in order to maintain its bottom line, which would have impacted the business's operations and growth moving forward. This shows that in companies where fixed costs are high, even small changes in revenue can have a significant impact on earnings, as well as the overall performance of the company.

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Use the following table to calculate the expected return from an asset. Return
0.25 0.10 0.20 0.30 Probability 0.30 0.25 0.20 0.25

Answers

The expected return from the asset is 20.25%. This means that, on average, you can expect to earn a return of 20.25% from this asset based on the given probabilities and returns.

The expected return from the asset can be calculated as follows:

Expected return = (Return1 * Probability1) + (Return2 * Probability2) + (Return3 * Probability3) + (Return4 * Probability4)

To calculate the expected return from an asset, you multiply each possible return by its corresponding probability and then sum up the results. In this case, we have four possible returns and their respective probabilities. Let's calculate the expected return step by step:

Expected return = (0.10 * 0.30) + (0.20 * 0.25) + (0.30 * 0.20) + (0.25 * 0.25)

Expected return = 0.03 + 0.05 + 0.06 + 0.0625

Expected return = 0.2025 or 20.25%

Therefore, the expected return from the asset is 20.25%. This means that, on average, you can expect to earn a return of 20.25%.

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Which of the following is true?
A. Incentive compensation imposes no risks on the agents and thus should not affect their compensation.
B. Incentive compensation imposes risk on the agent but need not be compensated for.
C. Incentive compensation imposes risk on the agent for which they should be compensated.
D. Incentive compensation is a bad idea.

Answers

The true statement among the options provided is C. Incentive compensation imposes risk on the agent for which they should be compensated.

Incentive compensation is a form of payment that is tied to an individual's performance or achievement of specific goals or targets. It is designed to motivate and incentivize agents to act in the best interests of the principal or employer.

However, incentive compensation introduces risk for the agent. By linking their compensation to performance, agents are exposed to the possibility of not achieving the desired outcomes or targets, which can result in reduced or variable compensation.

To compensate for the risk associated with incentive compensation, it is generally considered fair and appropriate to provide additional compensation or rewards to agents when they achieve or exceed their targets.

Option A is incorrect because incentive compensation does impose risks on agents, as their compensation is dependent on achieving certain performance targets.

Option B is incorrect because if incentive compensation imposes risk on the agent, it is reasonable and fair to provide compensation for that risk. Option D is incorrect as it makes a blanket statement.

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Suppose that the demand curve for electric cars is Q(P) = 100 - 4P. 1. Suppose that Tesla is the only producer of electric cars in the market. They face a total cost function TC(Q) = 5Q, where Q represents the number of units produced. a. What is the market quantity that Tesla produces to maximize its profits? b. What is the associated market price?

Answers

The market quantity that Tesla produces to maximize its profits is approximately 52.5 units. The associated market price is approximately $11.875 per unit.

In this case, we have:

Demand function: Q(P) = 100 - 4P

Total cost function: TC(Q) = 5Q

a. To find the market quantity, we need to equate MC and MR:

MC = MR

Marginal Cost (MC) is given by the derivative of the total cost function with respect to quantity (Q):

MC = dTC/dQ

Marginal Revenue (MR) is given by the derivative of the demand function with respect to quantity (Q):

MR = dQ(P)/dQ

Let's calculate MC and MR:

MC = dTC/dQ = 5

MR = dQ(P)/dQ = 100 - 8P

To find the quantity where MC equals MR, we set the two equations equal to each other and solve for Q:

5 = 100 - 8P

8P = 100 - 5

8P = 95

P = 95/8

P = 11.875

Substituting P back into the demand function to find Q:

Q = 100 - 4P

Q = 100 - 4(11.875)

Q = 100 - 47.5

Q = 52.5

Therefore, the market quantity that Tesla produces = 52.5 units.

b. To find the associated market price, we substitute the quantity (Q) back into the demand function:

P = (100 - Q)/4

P = (100 - 52.5)/4

P = 47.5/4

P = 11.875

Therefore, the associated market price = $11.875 per unit.

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Let the Canadian economy be described below. You are an economist in the Department of Finance, Ottawa. C=60+0.9Y (Yg is disposable income) I=300 (Investment spending) G=120 (Government purchases) NT=0.1Y (Net taxes) X= 120 (Exports are constant) IM= 0.31Y (Imports depend positively on our own Y) a) Calculate the equilibrium Y. Y=0 b) Find the autonomous multiplier. Autonomous multiplier Y = 0 c) Find the government budget balance BB, given your Y in (a). BB=0 d) Oil prices have been rising recently. Higher crude oil prices translate to higher costs for gasoline, plastic and many products. Suppose the higher oil prices translate. to our investment spending dropping from 300 to 100 due to a weaker investment confidence. Find the new Y. Y = O e) Find the BB as a result of the drop in investment spending. BB-0 f) is this change in BB due to an increase in government spending, ie, is the Canadian government to be blamed? O Yes O No g) Suppose the government wants to push the economy back to the Y level in (a) but with the investment spending still at 1-100. Find the new G necessary. G=0

Answers

a) To find the equilibrium level of output (Y), we need to set aggregate demand (AD) equal to aggregate supply (AS).

AD = C + I + G + (X - IM)

  = (60 + 0.9Y) + 300 + 120 + (120 - 0.31Y)

AS = Y

Setting AD equal to AS:

60 + 0.9Y + 300 + 120 + 120 - 0.31Y = Y

Simplifying the equation:

600 - 0.41Y = Y

Combining like terms:

1.41Y = 600

Dividing both sides by 1.41:

Y = 425.53

Therefore, the equilibrium level of output (Y) is approximately 425.53.

b) The autonomous multiplier is the change in equilibrium output divided by the change in autonomous spending. In this case, autonomous spending refers to investment (I).

Change in Y = Y - Y0

            = 425.53 - 0

            = 425.53

Change in I = I - I0

            = 100 - 300

            = -200

Autonomous multiplier (k) = Change in Y / Change in I

                         = 425.53 / -200

                         = -2.128

Therefore, the autonomous multiplier is approximately -2.128.

c) The government budget balance (BB) is calculated as the difference between government purchases (G) and net taxes (NT).

BB = G - NT

  = 120 - 0.1Y

Substituting the equilibrium output (Y = 425.53):

BB = 120 - 0.1(425.53)

  = 120 - 42.553

  = 77.447

Therefore, the government budget balance (BB) is approximately 77.447.

d) Given that investment spending drops from 300 to 100, we need to adjust the equation for aggregate demand (AD):

AD = C + I + G + (X - IM)

  = (60 + 0.9Y) + 100 + 120 + (120 - 0.31Y)

Setting AD equal to AS:

60 + 0.9Y + 100 + 120 + 120 - 0.31Y = Y

Simplifying the equation:

400 - 0.41Y = Y

Combining like terms:

1.41Y = 400

Dividing both sides by 1.41:

Y = 283.69

Therefore, the new equilibrium level of output (Y) is approximately 283.69.

e) The government budget balance (BB) is calculated as the difference between government purchases (G) and net taxes (NT).

BB = G - NT

  = 120 - 0.1Y

Substituting the new equilibrium output (Y = 283.69):

BB = 120 - 0.1(283.69)

  = 120 - 28.369

  = 91.631

Therefore, the government budget balance (BB) is approximately 91.631.

f) No, the change in the government budget balance (BB) is not due to an increase in government spending. It is primarily caused by the drop in investment spending.

g) To push the economy back to the equilibrium level of output (Y = 425.53) with investment spending still at 100, we can calculate the new required level of government purchases (G).

AD = C + I + G + (X - IM)

  = (60 + 0.9Y) + 100 + G + (

120 - 0.31Y)

Setting AD equal to AS:

60 + 0.9Y + 100 + G + 120 - 0.31Y = Y

Simplifying the equation:

280 + 0.59Y + G = Y

Rearranging the equation:

0.41Y - G = 280

Since we want the investment spending to remain at 100, we substitute I = 100:

0.41Y - 100 = 280

Solving for Y:

0.41Y = 380Y = 926.83

Therefore, the new required level of government purchases (G) to push the economy back to the equilibrium level of output is approximately 926.83.

About Investment

Investment, is a activity, either directly or indirectly, with the hope that in the future the owner of the capital will receive a number of benefits from the results of the investment.

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a physician has written a study plan to test whether an approved drug can prevent headaches. the physician has sent this plan to the pharmaceutical company that makes the drug, and the company has agreed to provide the drug at no cost for the study. this is an example of:

Answers

We can see here that this is an example of: clinical trial.

What is a study plan?

A study plan is a structured schedule or outline that individuals create to guide their learning and academic activities. It serves as a roadmap for organizing and managing one's time, resources, and efforts in order to achieve specific learning goals and academic success.

A clinical trial is a research study that tests the safety and effectiveness of a medical intervention in humans. In this case, the medical intervention is the drug that the physician wants to test for its ability to prevent headaches.

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The physician has devised a study plan, outlining the methodology and objectives of the research.

By reaching out to the pharmaceutical company that manufactures the drug, the physician has successfully obtained their agreement to provide the medication free of charge for the study. This demonstrates a cooperative effort between the medical community and the industry to conduct scientific investigations and gather valuable data on the drug's potential in headache prevention. The arrangement signifies a mutually beneficial relationship, as the pharmaceutical company benefits from the scientific inquiry into their product, while the physician gains access to the necessary resources to conduct the study.

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A company manufactures and sells racing bicycles to specialty retailers. The Bomber model sells for $610 and has per-unit variable costs of $305 associated with its production. The company has fixed e

Answers

A company manufactures and sells racing bicycles to specialty retailers. The Bomber model is one of its most popular products, with a selling price of $610 and a per-unit variable cost of $305. The company also incurs fixed expenses of $120,000 per month for rent, salaries, utilities and other overhead costs. To break even, the company needs to sell enough units of the Bomber model to cover both its variable and fixed costs. The break-even point can be calculated by dividing the fixed costs by the contribution margin per unit, which is the difference between the selling price and the variable cost. The contribution margin per unit for the Bomber model is $610 - $305 = $305. Therefore, the break-even point in units is $120,000 / $305 = 393.44. This means that the company needs to sell at least 394 units of the Bomber model per month to avoid losses.

About The Break Event Point

Break Even Point is called the break even point is the stage where revenue equals operating costs. In this situation, the company neither gains nor suffers a loss.

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A company estimates that warranty expense will be 5% of sales. The company has sales of $225,000 for the current period. The current period's entry to record the warranty expense is: OA. Warranty Expe

Answers

To record the warranty expense, the company should debit the Warranty Expense account for [tex]\$11,250[/tex] and credit the Estimated Warranty Payable account for the same amount.

The current period's entry to record the warranty expense is to debit the Warranty Expense account for [tex]\$11,250[/tex] and credit the Estimated Warranty Payable account for the same amount. This entry reflects the company's estimation that warranty expense will amount to [tex]5\%[/tex] of sales, which in this case is [tex]\$11,250[/tex] based on sales of [tex]\$225,000[/tex]. By recording this entry, the company recognizes the estimated liability for potential warranty claims and the corresponding expense. This helps ensure accurate financial reporting and reflects the company's commitment to addressing warranty obligations. The entry will be made at the end of the current period in the company's books.

The journal entry to record the warranty expense for the current period is: Debit Warranty Expense $11,250 and Credit Estimated Warranty Payable [tex]\$11,250[/tex].

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which of the following is false? which of the following is false? the analysis of agriculture, textiles, and clothing in the eu, the united states, and japan supports the proposition that older sectors of the economy are most protected, particularly in cases where the nation has lost a substantial part of its comparative advantage. trade barriers in high-income countries do not cause unintended consequences in low-income countries because most of their trade is with other industrialized countries. even when tariffs are relatively low, the cost per job saved tends to be high. commercial policy is grossly inefficient at achieving the objective of job preservation.

Answers

The false statement is that trade barriers in high-income countries do not cause unintended consequences in low-income countries because most of their trade is with other industrialized countries, option D is correct.

Trade barriers in high-income countries do cause unintended consequences in low-income countries, even if most of their trade is with other industrialized nations. When high-income countries impose trade barriers, it can lead to a decline in imports from low-income countries, affecting their economies and development. Trade barriers limit market access for low-income countries, reducing their export opportunities and hindering their economic growth.

Additionally, trade barriers can lead to a cascading effect, where the impact is felt throughout global supply chains, affecting not only low-income countries but also other countries in the trading network. Thus, it is incorrect to assume that trade barriers in high-income countries have no unintended consequences for low-income countries, regardless of their trade composition, option D is correct.

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The complete question is:

Which of the following is False?

A) The analysis of agriculture, textiles, and clothing in the EU, the United States, and Japan supports the proposition that older sectors of the economy are most protected, particularly in cases where the nation has lost a substantial part of its comparative advantage.

B) Even when tariffs are relatively low, the cost per job saved tends to be high.

C) Commercial policy is grossly inefficient at achieving the objective of job preservation.

D) Trade barriers in high-income countries do not cause unintended consequences in low-income countries because most of their trade is with other industrialized countries.

Which of the following is an example of a cash inflow from an operating activity?
a. Collection of an account receivable from a credit sale.
b. Collection of cash relating to a note receivable.
c. Sale of property, plant, and equipment.
d. None of the above.

Answers

Collection of an account receivable from a credit sale is an example of a cash inflow from an operating activity. Option A is the correct answer.

For every company organization, cash is the most valuable and liquid asset. Businesses reveal the closing amount of cash on their balance sheet for an accounting period, and good cash management may help an organization succeed. Option A is the correct answer.

The amount of money owed to a business for products or services provided or utilized but not yet paid for by clients is known as accounts receivable (AR). Due to the fact that receiving cash results from the sale of the company's products, which is an operating activity for any company, the collection of accounts receivables will have an impact on the organization's cash flow from operating activities and increase its cash balance.

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In the 1980s, Japanese manufacturers were able to offer products that were perceived to be superior in quality to US-made products. The Japanese products did not cost more than US products. How were the Japanese able to compete on cost, including ocean shipping?

Answers

Japanese manufacturers in the 1980s implemented Total Quality Management practices such as Kaizen, JIT, and Total Quality Control, enabling them to offer high-quality products at competitive prices through waste reduction, continuous improvement, and efficient shipping practices.

In the 1980s, Japanese manufacturers were able to offer products that were perceived to be superior in quality to US-made products. The Japanese products did not cost more than the US products. The Japanese were able to compete on the cost by implementing Total Quality Management(TQM). They emphasized waste reduction and continuous improvement. This resulted in high-quality products, reduced costs, and increased efficiency.

Japanese manufacturers also implemented a variety of practices that were alien to Western manufacturers. These included: Kaizen - This was a continuous improvement process that enabled employees to improve their work by eliminating waste and reducing errors. This practice led to the development of lean manufacturing systems. Just-in-time (JIT) - This was a logistics management system that allowed manufacturers to produce goods based on customer demand rather than inventory levels. This eliminated the need for large inventory levels and reduced costs.

Total Quality Control - This was a quality control process that focused on the entire manufacturing process, from raw materials to finished products. It allowed manufacturers to identify quality issues at an early stage, which reduced the cost of rework and scrap. By implementing these practices, the Japanese were able to reduce costs and improve the quality of their products. They were also able to compete on the cost by implementing efficient ocean shipping practices. This allowed them to ship goods at a lower cost than their US counterparts.

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Section B: Problem Solving- Show all workings (60 points) Problem 1 (Allocate Transaction Price, Upfront Fees) Blue PC sells tablet PCs combined with Internet service, which permits the tablet to connect to the Internet anywhere and set up a Wi-Fi hot spot. It offers two bundles with the following terms: 1. Tablet Bundle A sells a tablet with 4 years of Internet service. The price for the tablet and a 4- year Internet connection service contract is $600. The standalone selling price of the tablet is $300 (the cost to Blue PC is $225). Blue PC sells the Internet access service independently for an upfront payment of $420. On January 2, 2020, Blue PC signed 100 contracts, receiving a total of $60,000 in cash. 2. Tablet Bundle B includes the tablet and Internet service plus a service plan for the tablet PC (for any repairs or upgrades to the tablet or the Internet connections) during the 4-year contract period. That product bundle sells for $750. Blue PC provides the 4-year tablet service plan as a separate product with a standalone selling price of $200. Blue PC signed 400 contracts for Tablet Bundle B on July 1, 2020, receiving a total of $300,000 in cash. Instructions (a) Prepare any journal entries to record the revenue arrangement for Tablet Bundle A on January 2, 2020, and December 31, 2020. (12 Points) (b) Prepare any journal entries to record the revenue arrangement for Tablet Bundle B on July 1, 2020, and December 31, 2020. (15 Points) (c) Repeat the requirements for part (a), assuming that Blue PC has no reliable data with which to estimate the standalone selling price for the Internet service. (8 Points)

Answers

a)Revenue for Tablet Bundle A is $11,475 to be recognized in 2021, 2022, and 2023 ($38.25 x 100 contracts) x 1 year = $3,825 to be recognized in 2020. b) Revenue for Tablet Bundle B is $137,500 to be recognized in 2021, 2022, and 2023 [($750 - $200) x 400 contracts] / 4 = $34,375 to be recognized in 2020. c) Total revenue to be recognized in 2020: $726.86.

(a) On January 2, 2020, Blue PC signed 100 contracts for Tablet Bundle A, receiving $60,000 in cash. To record the revenue arrangement, Blue PC needs to allocate the transaction price between the tablet and the internet service. The standalone selling price of the tablet is $300, and since there is reliable data to estimate the standalone selling price of internet service ($420), the amount allocated to the internet service is $300 ($600 - $300). The journal entry to record the revenue arrangement on January 2, 2020, is as follows:

Cash $60,000 Unearned revenue $60,000

To record the receipt of cash for 100 contracts signed for Tablet Bundle A.

On December 31, 2020, when the internet service will be provided, Blue PC should recognize revenue for the internet service. The journal entry to record this is as follows:

Unearned revenue $30,000 Service revenue $30,000

To record the revenue recognition for the 4-year internet service included in Tablet Bundle A for one year.

(b) On July 1, 2020, Blue PC signed 400 contracts for Tablet Bundle B, receiving $300,000 in cash. To record the revenue arrangement, Blue PC needs to allocate the transaction price between the tablet, internet service, and tablet service plan. The standalone selling price of the tablet is $300 ($225 cost), the internet service is $420, and the tablet service plan is $200. Therefore, the amount allocated to the tablet, internet service, and tablet service plan is $252 ($750 * $300/$920), $372 ($750 * $420/$920), and $126 ($750 * $200/$920), respectively. The journal entry to record the revenue arrangement on July 1, 2020, is as follows:

Cash $300,000 Unearned revenue $300,000

To record the receipt of cash for 400 contracts signed for Tablet Bundle B.

On December 31, 2020, when the internet service will be provided, Blue PC should recognize revenue for the tablet, internet service, and tablet service plan for six months. The journal entry to record this is as follows:

Unearned revenue $75,600 Service revenue $37,800 Tablet revenue $50,400 Deferred revenue $126,000

To record the revenue recognition for the 4-year tablet service plan, internet service, and tablet for six months in Tablet Bundle B.

(c) Assuming that Blue PC has no reliable data with which to estimate the standalone selling price for the Internet service, the company can estimate it using the residual method, where the selling price for the tablet is subtracted from the total selling price of the bundle to arrive at the implied price of the internet service. The implied price of the internet service in Tablet Bundle A is $300 ($600-$300), and in Tablet Bundle B, it is $400 ($750-$300). The journal entries for revenue recognition on January 2, 2020, and July 1, 2020, will remain the same as in parts (a) and (b), but the amounts allocated to the internet service will be different ($300 for Tablet Bundle A and $400 for Tablet Bundle B).

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Carla Inc., a greeting card company, had the following statements prepared as of December 31, 2020. Cash CARLA INC. COMPARATIVE BALANCE SHEET AS OF DECEMBER 31, 2020 AND 2019 12/31/20 $5,900 62.000 35

Answers

The above text is a partial balance sheet of Carla Inc., a greeting card company, as of December 31, 2020 and 2019. It shows the amount of cash and other assets that the company had at the end of each year. The text is formatted as a table with three columns: the name of the asset, the amount in 2020, and the amount in 2019. The text is written in a professional tone and uses standard accounting terms and symbols. The text is medium in length and consists of one paragraph.

About Balance Sheet

Balance sheet or statement of financial position is part of an entity's financial statements produced in an accounting period that shows the financial position of an entity at the end of that period.

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Which of the following is often called a compensation
control?
a. Independent Verification
b. Transaction Authorization
c. Supervision
d. Accounting Records

Answers

The correct answer is c. Supervision is often called compensation control.

Compensation control is a common name for supervision. The purpose of compensation controls is to guarantee that employee pay is reasonable, equitable, and consistent with the goals and policies of the organization. Monitoring an employee's performance, activities, and compliance with compensation-related policies and procedures are all part of supervision.

Independent review or reconciliation is a control that entails examining and confirming the completeness and accuracy of financial and non-financial information.

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Which of the following entities was NOT a part of the Beatles new company, Apple Corps Ltd?A) Apple RecordsB) Apple TVC) Apple RetailD) Apple Electronics

Answers

Apple TV was not a part of the Beatles' company, Apple Corps Ltd. The correct option is B.

Apple Corps Ltd. was a multimedia corporation founded by the Beatles in 1968. The company was established as a vehicle to manage the Beatles' business affairs and encompassed various ventures, primarily focused on music and entertainment. The primary entity associated with Apple Corps Ltd. was Apple Records (option A).

Apple Records was the Beatles' record label, responsible for releasing their music as well as the work of other artists. It was an integral part of Apple Corps Ltd. and played a significant role in the company's operations.

Apple Retail (option C) and Apple Electronics (option D) were not part of Apple Corps Ltd. Apple Retail refers to the chain of Apple retail stores that began opening in 2001, long after the formation of Apple Corps Ltd. Similarly, Apple Electronics refers to the technology company Apple Inc., which was established in 1976, several years after Apple Corps Ltd. was formed.

Apple TV (option B) specifically refers to the digital media player and streaming device developed by Apple Inc. It was introduced in 2007, again well after the establishment of Apple Corps Ltd. Therefore, Apple TV was not a part of the Beatles' company, Apple Corps Ltd.

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In the context of stock investment, what does this statement,
"buy the rumors, sell the fact", mean?

Answers

"Buy the rumors, sell the fact" means buying stocks based on rumors or speculation and selling them once the news is confirmed.

The statement "buy the rumors, sell the fact" is a phrase commonly used in stock investment. It suggests a strategy where investors buy stocks based on rumors or speculation and then sell them once the actual facts or news are confirmed or released.The idea behind this strategy is that rumors or speculations often create anticipation and excitement in the market, leading to increased buying interest and potentially driving up the stock price.However, once the actual facts or news are revealed, the market's reaction may not meet the initial expectations, leading to a decline in the stock price. Therefore, investors following this strategy aim to take advantage of the market's reaction to rumors and news by buying before the news is confirmed and selling once the news becomes public.It is important to note that this strategy carries risks and requires careful analysis and consideration of the reliability and potential impact of the rumors or news on the stock's value.

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Under PL 86-272, which of the following does not qualify as a "mere solicitation or orders":
a. Use of hotels and homes for sales-related meetings;
b. Use of space at the salesperson's home solely for the salesperson's convenience;
c. Participation in a trade show or shows for not more than 14 days during the corporation’s tax year for federal income tax purposes.
d. Picking up or replacing damaged or returned property

Answers

Under PL 86-272, the following option does not qualify as a "mere solicitation of orders": c. Participation in a trade show or shows for not more than 14 days during the corporation’s tax year for federal income tax purposes.

Participating in a trade show or shows for more than a limited duration, even if it is within the tax year, goes beyond the scope of a "mere solicitation of orders" and may create nexus for state income tax purposes.

While the exact determination of whether participation in a trade show creates nexus for state income tax purposes can vary depending on the specific facts and laws of the state in question, it is generally considered to go beyond the scope of a "mere solicitation of orders" and may create nexus, thereby subjecting the business to potential state income tax obligations. It is advisable for businesses to consult with tax professionals or legal advisors to determine the specific implications of participating in trade shows in different jurisdictions.

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T/F: the discount period is the time between the invoice date and a specified date on which the payment amount owed can be (increased/reduced) because of early payment.

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True. The discount period refers to the timeframe between the invoice date and a specified date on which the payment amount owed can be reduced because of early payment. During the discount period, a seller may offer a discount to incentivize the buyer to make the payment earlier than the standard payment terms.

The discount is typically expressed as a percentage of the invoice amount. For example, a common discount term may be "2/10, net 30," which means that the buyer can deduct 2% from the invoice amount if they make the payment within 10 days. Otherwise, the full amount is due within 30 days. By offering discounts, sellers encourage prompt payment, which can improve their cash flow and reduce the risk of late or non-payment. Buyers, in turn, benefit from the opportunity to reduce their payment obligation by taking advantage of the discount. The discount period provides an incentive for buyers to settle their accounts earlier, ultimately benefiting both parties involved in the transaction.

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true or false
3. On FOB term basis, seller prepares the goods at the stipulated time, meanwhile, seller also contracts for insurance cover against the risk of loss of or damage to the goods during the carriage. ( )

Answers

The given statement is False.What is FOB?FOB refers to free on board. It means a contractual agreement between a buyer and a seller that defines at what point of transportation the risks and responsibilities for the shipped products transfer from the seller to the buyer. In simple terms, FOB is a shipment term that means the seller is responsible for the goods until they are placed on the shipping vessel.The FOB term does not imply that the seller contracts for insurance coverage against the risk of loss of or damage to the goods during the carriage. The buyer or the seller may acquire insurance cover separately.The seller is responsible for preparing the goods at the agreed-upon time on an FOB term. The seller is also responsible for delivering the goods to the port or vessel that the buyer specifies. Therefore, the statement mentioned above is false because the seller does not contract for insurance cover against the risk of loss of or damage to the goods during the carriage.

3: purchased merchandise inventory on account from wholesalers, . terms /15, n/eom, fob shipping point.

Answers

The deal entailed buying stock of goods from wholesalers with terms of "net 15, end of month" (n/eom) and "free on board (FOB) shipping point."

"Net 15" refers to a deadline of 15 days for making payment on purchased items. If the purchase is made within a month, the phrase "end of month" indicates that the payment is due at the end of that month. The FOB shipping point denotes that once the items are transported, ownership and responsibility for them pass to the buyer. Net 15: "Net 15" is a payment term used in business transactions that specifies the number of days a buyer has to make payment for purchased goods or services. In this case, it means the payment is due within 15 days from the date of the purchase.End of month: "End of month" is another payment term used to indicate the due date for payment. If a purchase is made within a month and the payment is required "end of month," it means the payment is due on the last day of that month

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Mary Willis is the advertising manager for Bargain Shoe Store. She is currently working on a major promotional campaign. Her ideas include the installation of a new lighting system and increased display space that will add $24,000 in fixed costs to the $270,000 currently spent. In addition, Mary is proposing that a 5% price decrease ($40 to $38) will produce a 20% increase in sales volume (20,000 to 24,000). Variable costs will remain at $24 per pair of shoes. Management is impressed with Mary's ideas but concerned about the effects that these changes will have on the break-even point and the margin of safety. Compute break-even point and margin of safety ratio, and prepare a CVP income statement before and after changes in business environment.

Answers

Before computing the break-even point and margin of safety ratio, let's first calculate the new variable cost of the shoes using the information provided. Variable cost per pair of shoes = $24Fixed cost = $270,000 + $24,000 = $294,000New selling price per pair of shoes = $38The contribution margin per pair of shoes can now be computed as follows:

Contribution margin = Selling price per pair of shoes - Variable cost per pair of shoes Contribution margin = $38 - $24Contribution margin = $14Now, let's compute the break-even point:

BEP = Fixed cost / Contribution marginBEP = $294,000 / $14BEP ≈ 21,000 pairs of shoes Next, let's compute the margin of safety ratio:Margin of safety ratio = (Current sales - BEP) / Current sales margin of safety ratio = (20,000 - 21,000) / 20,000Margin of safety ratio = -0.05 or -5%This negative result suggests that the store is not making any profits, as it is operating below its break-even point. Therefore, the store should be wary of the effects of the changes on the margin of safety ratio.

Preparing the CVP income statement, before the changes, will give: Sales revenue = 20,000 × $40 = $800,000Variable costs = 20,000 × $24 = $480,000Contribution margin = $320,000Fixed costs = $270,000Net income before taxes = $50,000After the changes, the CVP income statement will be: Sales revenue = 24,000 × $38 = $912,000Variable costs = 24,000 × $24 = $576,000Contribution margin = $336,000Fixed costs = $294,000Net income before taxes = $42,000

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