Takeaways Food Station has a total end-of-year asset of $17.25 million in 2020. Due to movement control order (MCO) they expect to have a reduction of 15% of an annual total asset this year. Due to MCO also they have closed for five weeks. This year also, their first six months of the year inventory was $825,000 and second six months show an increment of 15% from the first six month. The company’s annual cost of goods sold was $24.0 million. Calculate the following questions:
a. Inventory turnover b. Days of supply c. Weeks of supply d. Percentage invested in inventory

Answers

Answer 1

a. Inventory Turnover: 24.84.

b. Days of Supply: 14.71 days. c. Weeks of Supply: 2.1 weeks. d. Percentage Invested in Inventory: 5.59%.

a. Inventory Turnover:

It is calculated as the Cost of Goods Sold (COGS) divided by the Average Inventory.

In this case, COGS is $24.0 million and Average Inventory is ($825,000 + $825,000 × 1.15)/2 = $965,625.

Inventory Turnover = COGS / Average Inventory= $24.0 million / $965,625= 24.84

b. Days of Supply: It is calculated as the inverse of Inventory Turnover multiplied by the number of days in the year. Days of Supply = (365 days × 1) / Inventory Turnover

Days of Supply = 14.71 days

c. Weeks of Supply: The Weeks of Supply can be calculated by dividing the Days of Supply by 7.

Weeks of Supply = Days of Supply / 7= 2.1 weeks

d. Percentage Invested in Inventory:

The percentage Invested in Inventory is calculated as Average Inventory divided by Total Assets multiplied by 100.

Percentage Invested in Inventory = (Average Inventory / Total Assets) × 100

Percentage Invested in Inventory = ($965,625 / $17.25 million) × 100

Percentage Invested in Inventory = 5.59%

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Related Questions

T/F : The specific identification method is able to identify in the ending inventory the actual invoice cost associated with it.

Answers

True, the specified identification technique may locate the related real invoice cost in the ending inventory.

Specific identification is a method of inventory accounting in which specific cost is allocated to individual goods when the products are bought. This is commonly utilized when goods are expensive or when there are just a few units to keep track of.The method of specific identification includes tracing the actual cost of products sold by examining the invoices or receipts associated with the specific products sold. It involves assigning actual cost to each product separately as it is used. The true cost of each inventory item is calculated using this procedure. This method results in a precise calculation of the expense of items sold during the reporting period because it tracks each unit's actual cost sold. The specialized identification approach is appropriate for businesses that market high-end goods and scarce goods.  

This process of inventory accounting can be used in combination with other inventory accounting methods like first in first out (FIFO) and last in first out (LIFO) to provide a more detailed understanding of inventory management.

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Shawn Healy bought 300 shares of Apple Computer common stock at​ $132 a share. Fifteen months​ later, in​ December, Apple was up to​ $147 a share and Shawn was considering selling her​ shares, because she believed​ Apple's price could drop as low as​ $142 within the next several months. What advice would you offer Shawn for locking in the gain and deferring the tax to the following​ year? Explain.
Question content area bottom
Part 1
Which of the following trading strategies are suitable for Shawn to lock in the gain and defer the tax to the following​ year? ​(Select all that​ apply.)
A.
A sale of a​ deep-in-the-money call option.
B. A put hedge.
C. A short sale of the common stock.
D. A sale of an ETF.
E. A long straddle.

Answers

To lock in the gain and defer the tax to the following year, Shawn could consider using the following trading strategies:

A. A sale of a deep-in-the-money call option: This strategy involves selling a call option with a strike price significantly higher than the current market price of the stock. By doing so, Shawn can generate income from the premium received and potentially sell her shares at the higher strike price if the option is exercised. This allows her to lock in the gain while deferring the tax until the option is exercised or expires.

B. A put hedge: This strategy involves purchasing a put option as insurance against a potential decrease in the stock price. If Shawn believes Apple's price could drop to $142, she can purchase a put option with a strike price of $142. If the stock price does decrease, the put option will increase in value, offsetting some of the losses. This strategy helps to protect the gain and defer the tax liability.

C. A short sale of the common stock: This strategy involves borrowing and selling the stock with the expectation of buying it back at a lower price in the future. While it can help lock in gains if the stock price drops, it does not defer the tax liability, as short sales trigger immediate tax consequences.

D. A sale of an ETF: This strategy involves selling shares of an ETF (Exchange-Traded Fund) that holds Apple stock. Similar to selling the common stock directly, it does not offer any specific tax deferral benefits.

E. A long straddle: This strategy involves buying both a call option and a put option with the same strike price and expiration date. It aims to profit from significant price movements in either direction. While it may provide potential gains, it does not directly address the goal of locking in the gain and deferring the tax liability.

In this case, suitable strategies for Shawn to lock in the gain and defer the tax to the following year would be options-related strategies like A. A sale of a deep-in-the-money call option and B. A put hedge. These strategies allow her to manage the risk and potential losses while securing the gains and delaying the tax liability until the options are exercised or expire.

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Discussion - Project Management Institute (PMI) Research the Project Management Institute's website (www.pmi.org). This organization was founded in 1969 and the membership is approaching 500,000 members in nearly 200 countries and has about 280 chapters in more than 90 countries. It has over 30 online communities of practice. Pennsylvania-based PMI is, by far, the leading nonprofit professional association in the area of project management. It establishes standards, sponsors seminars, develops educational programs, has a professional certification program, and publishes Project Management Journal and PM Network. It has an excellent website for project management. Questions: 1. If you were a student interested in pursuing a career in project management how important do you think being CAPM would be? How valuable do you think being a full certified PMP is for your career?
2. Is a PMI chapter in Washington state that you could join? If so, what is the name of the Chapter.

Answers

The importance and value of being CAPM or PMP depend on the specific career goals, industry requirements, and job market in your region. However, both certifications can provide a solid foundation and demonstrate your commitment to the project management profession.

1. If you were a student interested in pursuing a career in project management, being CAPM (Certified Associate in Project Management) would be beneficial for several reasons. The CAPM certification demonstrates your foundational knowledge of project management principles and processes. It can enhance your credibility and marketability, especially when starting your career or transitioning into project management roles. The certification showcases your commitment to professional development and indicates that you possess a fundamental understanding of project management practices as defined by PMI's standards.

While the CAPM certification is valuable, it is important to note that it is an entry-level certification and may not carry the same weight and recognition as the full PMP (Project Management Professional) certification. The PMP certification is widely recognized globally and is considered the gold standard for project management professionals. Achieving PMP certification requires more extensive experience, a deeper understanding of project management concepts, and passing a rigorous exam. Holding a PMP certification can significantly enhance your career prospects, open doors to more senior roles, and potentially lead to higher earning potential.

2. To find out if there is a PMI chapter in Washington state, you can visit the PMI website (www.pmi.org) and explore the "Chapters" section. Since the website content may change over time, it's recommended to conduct your own search on the website for the most up-to-date information.

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In terms of marketing strategy, what positive and negative aspects does the acquisition by Postobon have for Hatsu?

Answers

In terms of marketing strategy, the acquisition by Postobon has positive aspects such as expanded distribution and increased brand credibility for Hatsu. It also brings potential challenges in maintaining brand identity and limited autonomy in marketing strategies.

On the positive side, the acquisition provides Hatsu with access to Postobon's extensive distribution network, which can significantly enhance the reach and availability of Hatsu's products in the market. This expanded distribution can lead to increased sales and brand exposure for Hatsu.

Additionally, Postobon's established brand reputation and market presence can provide Hatsu with greater credibility and trust among consumers.

However, there are also potential negative aspects to consider. Hatsu may face challenges in maintaining its brand identity and differentiation within the larger Postobon portfolio.

Integration processes and cultural differences between the two companies could impact decision-making and marketing strategies. Hatsu's autonomy and flexibility in implementing its unique marketing initiatives may be limited under the umbrella of a larger organization like Postobon.

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Discuss the following topic(s)
1.The outlook of the world’s economy after COVID-19
pandemic
2. how does the world’s economy affect Malaysia’s
economy during the COVID-19 pandemic?

Answers

The COVID-19 pandemic has had a significant impact on the global economy, and its outlook post-pandemic is subject to various factors and uncertainties.

While there are signs of recovery and growth in some sectors and regions, the overall outlook remains uncertain and dependent on factors such as vaccination efforts, government policies, and global economic cooperation. The recovery of the world's economy will likely be gradual and uneven, with some sectors rebounding faster than others. Economic growth and stability will depend on effective containment of the virus, restoration of consumer and business confidence, and robust fiscal and monetary policies. The COVID-19 pandemic has had a profound impact on the world economy, leading to disruptions in global supply chains, reduced trade, and widespread economic downturn. The extent of the impact on Malaysia's economy during the pandemic is influenced by its strong integration into the global economy as an export-oriented country. The decline in global demand and trade restrictions have affected Malaysia's key export sectors such as manufacturing, tourism, and commodities. The country has implemented various measures to mitigate the economic impact, including fiscal stimulus packages and support for affected industries and workers.  

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amburger increases from $5 to $10.

Coefficient: ______ Relationship: ________________

(c) The quantity demanded for contact lenses remains 400 units as the price of Boston Celtics hats increases from $25 to $30.

Coefficient: ______ Relationship: ________________

3. Use the data in the table below to classify the income elasticity type of each of the following products.

Product

Percent change in income

Percent change in quantity demanded

Income elasticity type

Income Elasticity of Demand Coefficient

Clothes

9

12

__________

_________

Spam

−6

6

__________

________

Travel

3

3

__________

__________

Bus

6

−3

__________

_________

Uber

2

1

__________

_________

Answers

For hamburgers, the price elasticity coefficient is -1, indicating an elastic relationship. For Boston Celtics hats, the price elasticity coefficient is 0, indicating a perfectly inelastic relationship.

Coefficient: (c) The coefficient for the price increase of hamburgers is -1. Relationship: The relationship for hamburgers is elastic.

Coefficient: 3. The coefficient for the price increase of Boston Celtics hats is 0. Relationship: The relationship for Boston Celtics hats is perfectly inelastic.

Income elasticity type:

- Clothes: Positive and greater than 1, indicating a luxury good (elastic).

- Spam: Negative, indicating an inferior good (inelastic).

- Travel: Positive and less than 1, indicating a necessity good (inelastic).

- Bus: Negative, indicating an inferior good (inelastic).

- Uber: Positive, indicating a normal good (elastic).

In the first set of data, the coefficient for the price increase of hamburgers is -1, indicating an elastic relationship where a 1% increase in price leads to a 1% decrease in quantity demanded. For Boston Celtics hats, the coefficient is 0, suggesting a perfectly inelastic relationship where the quantity demanded remains constant regardless of price changes.

In the second set of data, the income elasticity type for each product is determined by the percent change in quantity demanded relative to the percent change in income. Clothes have a positive and greater than 1 coefficient, indicating a luxury good. Spam has a negative coefficient, suggesting an inferior good. Travel has a positive but less than 1 coefficient, indicating a necessity good. Both bus and Uber have negative and positive coefficients respectively, highlighting their classification as inferior and normal goods.

The coefficients and relationships observed for the price changes and income elasticity types provide insights into the responsiveness of quantity demanded to price and income changes for different products. These classifications help understand the demand behavior and market dynamics for each product category.

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Adam Smith's economic theory is based on which of the following assumptions?
Select one:
a. Morality is not relevant to economic concerns.
b. People will behave rationally as they pursue their interests.
c. People want to promote each other's interests.
d. Free markets will fix their own ethical problems.

Answers

Adam Smith's economic theory is based on the assumption that people will behave rationally as they pursue their interests. The correct answer is Option (b).

Smith's economic theory, often associated with classical economics and outlined in his seminal work "The Wealth of Nations," emphasizes the concept of self-interest as a driving force in economic behavior. According to Smith, individuals act in their own self-interest, seeking to maximize their own well-being and economic gain. Smith believed that when individuals are free to pursue their self-interest within a market economy, a system of natural economic order emerges.

Smith's theory does not assume that morality is irrelevant to economic concerns (option a). Instead, he recognized that individual self-interest, guided by rational decision-making, could lead to positive economic outcomes. While Smith's theory focuses on self-interest, it does not assume that people actively seek to promote each other's interests (option c). Lastly, Smith did not argue that free markets fix their own ethical problems (option d), but rather believed that the pursuit of self-interest within a free market system can lead to overall societal benefits. Hence option (b) is the correct answer.

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NNN a famous cosmetics firm is formulating a new policy in the company to integrate the principles which are considered in regard to treat employees well for a
return. Which of the following better describe the new policy?
O A. Harmony, productivity and innovation
O B. Treating in human and respectful ways
O C. All of the above
O D. Rewards and composition of teams

Answers

NNN, a well-known cosmetics company, is formulating a new policy that incorporates principles designed to treat employees well in exchange for a return. The new policy can be described as "treating in human and respectful ways." The correct option is B.

The new policy that NNN is formulating in the company is meant to integrate principles for treating employees well in exchange for a return. This return is in the form of better teamwork and greater productivity. Employees will feel valued, appreciated, and respected when treated properly, and this will drive them to work better.The new policy can be described as "treating in human and respectful ways." Employees must be treated with dignity and respect in the workplace. Any unfair or unethical treatment can have a negative effect on employees' morale, motivation, and job satisfaction.  

Harmony, productivity, and innovation, is a set of results that NNN hopes to achieve through the implementation of the new policy. Option C, All of the above, is a broader term that includes harmony, productivity, innovation, and treating employees humanely and respectfully. Option D, Rewards and composition of teams, focuses on the incentives and structure of teams.

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Given this definition and explanation, describe what the supply chain of your organization looks like. How does your understanding of, as well as the physical mapping of your supply chain, help you to gain the knowledge necessary to maximize your customer value and gain a competitive advantage within your industry? PLEASE EXPLAIN USING CUSTOMER SERVICE

Answers

Supply chain management refers to the coordination of all the activities involved in sourcing, procurement, production, logistics, warehousing, and delivery of products or services to customers. Supply chain of an organization consists of all the steps it takes to create a product, from sourcing raw materials to manufacturing, assembly.

Supply chain management is vital to customer service because it ensures that the right products are delivered to the right customers at the right time and at the right price. Effective supply chain management enables an organization to gain a competitive advantage in the industry by minimizing costs, improving the quality of products or services, and enhancing customer satisfaction.

Supply chain mapping is a useful tool that helps organizations to understand their supply chain and identify areas for improvement. By mapping out the physical flow of products, information, and cash through the supply chain, an organization can identify bottlenecks and inefficiencies and take corrective action to optimize the flow.

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a decrease in u.s. exports to japan will cause the supply of yen in the foreign exchange market to and the demand for u.s. dollars to .

Answers

The exchange rate between the two currencies will also be affected.

When U.S. exports to Japan decrease, it would lead to a fall in the demand for yen (a decrease in the supply of yen). The supply of yen in the foreign exchange market will rise when Japan increases its exports to the U.S., causing a rise in demand for U.S. dollars, causing the exchange rate between the two currencies to shift.

What happens to the supply and demand for foreign currency when U.S. exports to Japan fall?

A decrease in U.S. exports to Japan would cause the demand for yen to fall in the foreign exchange market, leading to a fall in the supply of yen as well. Conversely, if U.S. exports to Japan rise, the demand for yen would rise in the foreign exchange market, causing an increase in the supply of yen as well.In other words, a decrease in U.S. exports to Japan will cause the supply of yen in the foreign exchange market to rise while the demand for U.S. dollars to fall. Consequently, the exchange rate between the two currencies will also be affected.

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Explain the pros & cons of LTD using external finance vs.
cash on hand in this venture. Provide four supporting examples.

Answers

Using external finance, such as obtaining a loan or seeking investment, and relying on cash on hand each have their own pros and cons in a venture. Here are four supporting examples:

1. External Finance:

- Pros: Access to additional capital can fuel business growth, allowing for expansion, hiring employees, and investing in new opportunities.

- Cons: Debt or equity financing typically involves interest payments, profit sharing, or giving up ownership stakes, which can affect profitability and decision-making freedom. Additionally, there may be strict repayment terms and potential risks if the business fails to meet financial obligations.

2. Cash on Hand:

- Pros: Using existing cash reserves eliminates the need for debt or equity obligations, reducing financial risks and maintaining full ownership and control over the business. It provides flexibility in decision-making and minimizes reliance on external entities.

- Cons: Cash on hand may be limited, constraining growth opportunities, delaying investments, or requiring slower expansion. There may be missed opportunities for strategic acquisitions or investments due to lack of available capital.

The choice between external finance and cash on hand depends on factors such as the business's financial situation, growth objectives, risk tolerance, and cost of financing. It is essential to carefully evaluate the advantages and drawbacks of each approach to make informed decisions that align with the venture's goals and long-term sustainability.

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The
business is fitness center, GYM
Legal Organization . Identify the legal form of the business and clearly state who owns how much of the company. Explain your reasons for this legal setup. If there is more than one owner, explain who

Answers

Legal Form: The legal form of the business would be a sole proprietorship, as it is the simplest and most common form of business ownership. A sole proprietorship is owned and run by one person, who is personally liable for all debts and obligations of the business.

Reasons: A sole proprietorship is an appropriate legal form for a small fitness centre because it is easy and inexpensive to set up and does not require any special licenses or permits. As the owner of the business, the individual has complete control over all aspects of the business and can make all decisions without the need for consensus from partners or shareholders.

If there is more than one owner, each owner would have an equal share of the business and would be personally liable for the debts and obligations of the business. Decisions would be made through a consensus-based decision-making process, with all owners having an equal say in the direction and management of the business.

If the business is successful and grows, the owners may consider transitioning to a different legal form, such as a partnership or corporation, which would provide additional liability protection and potentially allow for outside investment.

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A major purpose of health and safety legislation is to compensate injured employees fine employers.
a. True
b. False

Answers

b. False.

Health and safety legislation primarily focuses on promoting workplace well-being and preventing accidents, rather than compensating injured employees and fining employers.

Health and safety legislation serves a major purpose of promoting and ensuring the well-being of employees in the workplace, rather than solely focusing on compensating injured employees and fining employers. The primary objective of such legislation is to establish a safe and healthy work environment, prevent accidents and injuries, and safeguard the physical and mental well-being of workers.

These laws outline a range of responsibilities for employers, including conducting risk assessments, implementing preventive measures, providing appropriate training, and maintaining necessary safety standards. By enforcing these regulations, health and safety legislation aims to minimize workplace hazards and protect employees from harm.

While compensation for injured employees and penalties for non-compliant employers may be included in health and safety legislation, they are not the primary focus. Compensation typically comes into play when an employee suffers harm due to a workplace incident despite the preventive measures in place. In such cases, the legislation ensures that injured employees receive fair compensation for medical expenses, lost wages, and other related damages.

However, the main thrust of health and safety legislation is proactive rather than reactive. It aims to prevent accidents and injuries from occurring in the first place, emphasizing the importance of hazard identification, risk mitigation, and the establishment of safety protocols. By prioritizing prevention, these laws aim to create a culture of safety in the workplace, fostering healthier and more productive work environments.

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Common stock: The​ firm's common stock is currently selling for​$59.43 per share. The stock has paid a dividend that has gradually increased for many​ years, rising from ​$2.70 ten years ago to the​$4.00 dividend​ payment, Upper D0​, that the company just recently made. If the company wants to issue new new common​ stock, it will sell them ​$1.50 below the current market price to attract​investors, and the company will pay ​$2.00 per share in flotation costs. a. Calculate the​ after-tax cost of debt.
b. Calculate the cost of preferred stock.
c. Calculate the cost of common stock​ (both retained earnings and new common​ stock).
d. Calculate the WACC for Dillon Labs.

Answers

a. To calculate the after-tax cost of debt, you need to know the pre-tax cost of debt and the company's tax rate. If you have that information, you can use the formula: After-tax cost of debt = Pre-tax cost of debt × (1 - Tax rate).

b. To calculate the cost of preferred stock, you need to know the preferred stock dividend and the market price of the preferred stock. You can use the formula: Cost of preferred stock = Preferred stock dividend / Market price of preferred stock.
c. To calculate the cost of common stock (both retained earnings and new common stock), you need to consider the dividend growth rate, the dividend payment, and the market price of the stock. You can use the Dividend Discount Model (DDM) or the Capital Asset Pricing Model (CAPM) to estimate the cost of equity.
d. To calculate the Weighted Average Cost of Capital (WACC) for Dillon Labs, you need to know the weights of different sources of financing (debt, preferred stock, common stock), as well as their respective costs. You can use the formula: WACC = (Weight of debt × After-tax cost of debt) + (Weight of preferred stock × Cost of preferred stock) + (Weight of common stock × Cost of common stock).

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1. What are the advantages of the new SHRM approach? Explain and defend your answer. 2. Name and explain the elements of HR. 3. In your own words what is the importance of Human Capital? 4. What must HR do to be a true strategic partner of the company? Answer in reference to competence, consequence, governance, learning and leadership. 5. If you were an HR manager, what steps would you take to minimize the outsourcing of jobs in your department? 6. Refer, to "selection and placement" of your readings. In your own words define the Balanced Scorecard method. 7. List and explain the elements of a Workforce Scorecard. 8. Discuss how human capital can be managed like a strategic asset. 9. In your own words what is the pay off of using a balance scorecard
10. Explain the application of the balance scorecard in Human Capital as described in the readings.

Answers

1. The new SHRM approach has a number of advantages. Firstly, it is more aligned with the business strategy of the organization and therefore it can deliver better business results. Secondly, it focuses on the integration of HR with other business functions, which can lead to a more streamlined and efficient organization. Finally, it provides a more comprehensive and integrated approach to HR management, which can lead to improved employee engagement and retention.



2. The elements of HR include recruitment and selection, compensation and benefits, training and development, performance management, and employee relations.

3. Human capital is important because it is the knowledge, skills, and abilities that employees bring to the organization. It is a valuable asset that can help organizations achieve their strategic objectives and compete in the marketplace.

4. To be a true strategic partner of the company, HR must be competent in its core functions, understand the consequences of its actions, have good governance practices, be committed to continuous learning, and exhibit strong leadership skills.

5. To minimize outsourcing of jobs, an HR manager should focus on developing a strong internal talent pipeline through effective recruitment, training, and development programs. They should also work to create a positive and engaging work environment that promotes employee retention.

6. The Balanced Scorecard is a performance management tool that helps organizations align their strategies with their goals and objectives. It includes four perspectives: financial, customer, internal business processes, and learning and growth.

7. The elements of a Workforce Scorecard include workforce planning, talent acquisition, performance management, learning and development, and employee engagement.

8. Human capital can be managed like a strategic asset by aligning HR strategies with business goals, developing a strong internal talent pipeline, creating a culture of continuous learning and development, and measuring the ROI of HR investments.

9. The payoff of using a Balanced Scorecard is that it helps organizations focus on the most important drivers of performance, align their strategies with their goals and objectives, and monitor progress towards achieving those goals.


10. The Balanced Scorecard can be applied in Human Capital by using metrics that measure the effectiveness of HR programs and initiatives in terms of their impact on employee engagement, retention, and performance. These metrics can be used to identify areas for improvement and guide HR strategy and decision-making.

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lean seeks to organize processes to optimum levels with the primary
focuse being to identifyy and eleminate variation based on customer
reqquirment
T
or
F

Answers

The statement "lean seeks to organize processes to optimum levels with the primary focus being to identify and eliminate variation based on customer requirement" is true.

Lean methodology is about increasing efficiency by reducing waste and variation in the production process. The goal of lean is to optimize the value of an organization's operations while minimizing the use of resources. Processes are streamlined to achieve optimal levels of productivity and eliminate waste, making the organization more agile, efficient, and responsive to changing customer demands.

Lean seeks to organize processes to optimum levels with the primary focus being to identify and eliminate variation based on customer requirement is an accurate statement. Therefore, the statement is True.

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uChampion Vaccine (uCV) Pharma Transactions for the month of May, 2022 are given below. May-01 Purchased 2000 vaccine dozes for $2 each on credit from Safety Pharma (SP), terms 3/10, n/30, DDP buyer’s warehouse. May-05 Sold 1900 dozes to Modern Hospital (MH) for $2.50 each on account, terms 2/15, n/30, DDP buyer’s warehouse. Paid freight cost of $260. May-08 Modern Hospital returned 200 dozes. The dozes were not defective and were returned to stock. May-09 Paid the supplier Safety Pharma (SP) the amount owed for the 1 May purchase. May-13 Received payment from Modern Hospital (MH) for the amount due on 5 May sale. Required: Using Perpetual Inventory System. Prepare the general journal entries to record the above transactions. Narrations are not required. Ignore GST.

Answers

The general journal entries to record the transactions for uChampion Vaccine (uCV) Pharma in May 2022, using the perpetual inventory system, are as follows:

May 1:

Accounts Payable (SP) 4,000

Inventory 4,000

May 5:

Accounts Receivable (MH) 4,750

Sales Revenue 4,750

Cost of Goods Sold 3,800

Inventory 3,800

Freight Expense 260

Accounts Payable (SP) 210

May8:

Inventory 400

Cost of Goods Sold 400

My 9:

Accounts Payable (SP) 3,800

Cash 3,800

May 13:

Cash 4,750

Accounts Receivable (MH) 4,750

On May 1, uCV Pharma purchased 2,000 vaccine doses from Safety Pharma (SP) on credit. The cost is calculated as 2,000 doses x $2 per dose = $4,000. The entry increases the inventory and accounts payable.On May 5, uCV Pharma sold 1,900 doses to Modern Hospital (MH) on account at $2.50 per dose. The revenue is calculated as 1,900 doses x $2.50 per dose = $4,750. The cost of goods sold is calculated as 1,900 doses x $2 per dose = $3,800. The entry increases accounts receivable, sales revenue, and decreases inventory and cost of goods sold. Additionally, the freight cost of $260 is recorded as an expense, and the payable to Safety Pharma is reduced by $210 (2% discount).

On May 8, Modern Hospital returned 200 doses that were not defective and were returned to stock. The entry reduces inventory and cost of goods sold.On May 9, the amount owed to Safety Pharma for the purchase on May 1 is paid. The entry reduces accounts payable and cash.On May 13, the payment is received from Modern Hospital for the sale made on May 5. The entry increases cash and reduces accounts receivable. Please note that the narrative descriptions are not required for the general journal entries.

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Locate 2 transactions in recent financial news to illustrate and explain the roles of financialintermediaries, and banks, in particular these transactions. Furthermore, explain how thesetransactions would occur without a financial intermediary.

Answers

1. Transaction: Company A obtains a loan from Bank B to finance a new project. 2. Transaction: Individual C invests in a mutual fund managed by Investment Firm D.

1. In the first transaction, Bank B plays the role of a financial intermediary. It receives deposits from various individuals and businesses and then lends those funds to Company A. The bank assesses the creditworthiness of Company A, determines the terms of the loan, and provides the necessary funds. Without the bank acting as a financial intermediary, Company A would need to directly seek out individual lenders who are willing to provide the required funds. This process would be time-consuming and may involve higher transaction costs for both the borrower and the lender.

2. In the second transaction, Investment Firm D acts as a financial intermediary by managing the mutual fund. Individual C invests in the mutual fund, which pools the funds from multiple investors. The investment firm then uses those funds to invest in a diversified portfolio of stocks, bonds, or other securities. Without the financial intermediary, Individual C would need to individually research, select, and manage their own portfolio of securities. This would require a significant amount of time, knowledge, and resources, making it less accessible for many individual investors.

Financial intermediaries, such as banks and investment firms, play crucial roles in facilitating transactions between borrowers and lenders or investors. They provide a range of services, including the pooling and allocation of funds, risk assessment, and efficient transaction facilitation. Without financial intermediaries, the process of obtaining funding or investing would be more complex, time-consuming, and costly for both parties involved.

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A firm chooses its capital input k and labor input l to minimize its production cost rk + wl subject to the constraint that at least ĝ units of output must be produced. (a) Write down the optimization problem when output q depends on the inputs as follows: q = kalp, where 1 > a > 0,1 > B> 0. What is the feasible set for this problem? (b) The feasible set is unbounded and therefore not compact. Can you modify the feasible set so that the conditions for Weierstrass theorem hold? (c) What are the first-order necessary conditions for this problem? Find the unique point k(r, w, ĝ),1(r, w, ĝ) solving the problem. (d) The full optimization problem of the firm also involves choos- ing the optimal output target ĝ at output prices p. Explain in words, how you would solve for this optimum.

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The optimal combination of inputs that maximizes the producer's output at these prices is L = 4 and K = 15.

The firm's constraint (cost) equation can be written as:

C = wL + rK

Substituting the given values of C, w, and r, we get:

300 = 5L + 10K

The optimization (output maximization) problem can be written as:

max q = 2L⁰⁵ + K

subject to 300 = 5L + 10K

The first-order condition for this problem can be found by taking the partial derivatives of the objective function with respect to L and K, and setting them equal to zero:

∂q/∂L = 2(0.5)L^(-0.5) = 0

∂q/∂K = 1 = 0

Solving the first-order condition for L and K, we get:

L = 4

K = 15

Substituting these values back into the constraint equation, we get:

300 = 5(4) + 10(15)

300 = 20 + 150

300 = 170

Therefore, the optimal combination of inputs that maximizes the producer's output at these prices is L = 4 and K = 15.

The optimal L is 4, and the optimal K is 15.

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A necessary ingredient for career success is self-awareness and understanding. Each of us has strengths and development areas both in skills and in behavior. In this assignment you will conduct academic research to develop insights on how personality, behavior and career success are connected. You will then reflect on your personality type to identify and analyze the characteristics that will help you succeed according to your research, as well as the characteristics that may hold you back. For this assignment you will:
Perform a Big-Five and Myers-Briggs personality tests as well as any relevant Self-Assessment in Connect.
Read the article: "Could Your Personality Derail Your Career?, Chamorro-Premuzic, Tomas. Harvard Business Review, September-October 2017. Identify and analyze your ‘dark side personality traits’.
Solicit (truthful!) input from friends & family on their perceptions of your personality. Analyze the similarities and differences between your perceptions and those you have interviewed.
Analysis of the interrelationship between your self-analysis and the academic research on workplace/career success

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Self-analysis and academic research on workplace success help individuals understand how their personality traits impact their career. By leveraging strengths, managing negative traits, and aligning behavior with research, individuals can increase their chances of success.

Performing personality tests, such as the Big-Five and Myers-Briggs, and reading the article "Could Your Personality Derail Your Career?" provide valuable insights into the interrelationship between personality, behavior, and career success.

By analyzing my own personality traits, including the 'dark side' traits identified in the article, and comparing them with feedback from friends and family, I can gain a better understanding of my strengths and areas for development.

This self-analysis, combined with academic research, helps me identify the characteristics that will contribute to my career success. For instance, if I possess traits like conscientiousness, openness to experience, and agreeableness, research suggests that these traits can lead to higher job performance and satisfaction.

On the other hand, understanding my 'dark side' traits, such as impulsivity or perfectionism, can help me mitigate their negative impact on my career.

Soliciting feedback from friends and family provides a valuable external perspective and highlights any discrepancies between my self-perception and how others perceive me.

Analyzing these similarities and differences can offer insights into blind spots or areas where I may have overestimated or underestimated certain aspects of my personality.

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Some decisions must be made when selecting projects. In project consulting, it seems many clients want to have it all. However, we point out to client companies that a project can be Good, Fast, or Cheap, and the client needs to pick two of those for priority. A project can be Good and Fast, but it will not be Cheap. A project can be Good and Cheap, but it will not be Fast. A project can be Fast and Cheap, but it will not be Good. Class - what struggles have you encountered in your project environment(s) about prioritization, and what was done to resolve the conflict?

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While selecting projects, certain decisions have to be made. In project consulting, many clients want to have it all, and it seems that they are unwilling to prioritize among the projects. However, client companies are made aware that a project can be Good, Fast, or Cheap, and the client has to choose two of those for priority.

In my project environment, I have encountered various struggles with prioritization. There were situations where it was tough to select two priorities because all three were needed. As the project lead, I had to communicate effectively with stakeholders to come up with an agreement on priorities.

Also, I ensured that the stakeholders were well-informed and knew the trade-offs and consequences of their decisions. Another struggle was that even after the stakeholders agreed on the priority, some team members still focused on all three, leading to quality issues.

I had to resolve the conflict by revisiting the priority to ensure everyone was on the same page. It was important to remind the team members that prioritization was important, and they had to abide by it. Additionally, regular communication helped me track the progress of the project and identify issues early on, making it easier to resolve them.

The key takeaway from the above discussion is that selecting projects is a vital step in project management. Prioritization is important because it sets the tone for the entire project. Therefore, stakeholders have to agree on priorities and ensure everyone is aware of the trade-offs and consequences of their decisions.

Regular communication and tracking progress of the project help to identify issues early on.

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reens, Inc. is an MNC located in the U.S. The firm would like to estimate its weighted average cost of capital (WACC). On average, bonds issued by Greens yield 9 percent. Currently, Treasury security rates are 3 percent. Furthermore, Greens' stock has a beta of 1.5, and the return on the S&P500 stock index is expected to be 10 percent. Greens' target capital structure is 30 percent debt and 70 percent equity. If Greens is in the 35 percent tax bracket, what is its weighted average cost of capital? Tip: Use CAPM to calculate cost of equity. Please show all your calculations

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Greens' WACC is 9.15%. WACC or Weighted Average Cost of Capital is the cost of capital of the company. It considers the proportion of equity and debt the company uses to finance its operations.

The formula for calculating WACC is WACC = E/V x Re + D/V x Rd x (1 - Tc).Here,E is the equity portion of the capitalD is the debt portion of the capitalV is the total value of the capitalTc is the tax rateThe first step in calculating the WACC is calculating the cost of equity. CAPM or Capital Asset Pricing Model is used for calculating the cost of equity. The formula for calculating the cost of equity is Re = Rf + beta x (Rm - Rf).

Here, Rf is the risk-free rate, beta is the company's beta, Rm is the return on the market. The values given in the question are as follows:Debt = 30%Equity = 70%Bond yield = 9%Treasury securities rate = 3%Beta = 1.5Expected return on S&P500 = 10%Tax rate = 35%Now, we can calculate the cost of equity using the CAPM formula.Re = Rf + beta x (Rm - Rf) = 3% + 1.5 x (10% - 3%) = 13.5%

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Suppose that legalizing the use of heroin would decrease its price by 79 percent. If the price elasticity of demand for heroin is -2.50, what would be the percentage increase in the quantity of heroin demanded from legalizing heroin? ___ percent. (Enter a numeric response using a real number rounded to two decimal places.) Suppose instead that the price elasticity of demand for heroin is -0.43. What would be the percentage increase in the quantity of heroin demanded from legalizing heroin? ___ percent (enter your response rounded to two decimal places).
The higher the absolute value of the price elasticity of demand for heroin, the ___ the increase in heroin use that would result from legalization.

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The percentage increase in the quantity of heroin demanded from legalizing heroin would be 33.97%.

To calculate the percentage increase in the quantity of heroin demanded from legalizing heroin, we can use the formula:Percentage Increase = (Percentage Decrease in Price) x (Price Elasticity of Demand). For the first scenario with a price elasticity of demand of -2.50 and a price decrease of 79 percent:

Percentage Increase = (-79%) x (-2.50) = 197.50%.
Therefore, the percentage increase in the quantity of heroin demanded from legalizing heroin would be 197.50%.For the second scenario with a price elasticity of demand of -0.43 and a price decrease of 79 percent:
Percentage Increase = (-79%) x (-0.43) = 33.97%.
Therefore, the percentage increase in the quantity of heroin demanded from legalizing heroin would be 33.97%.The higher the absolute value of the price elasticity of demand for heroin, the larger the increase in heroin use that would result from legalization.

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You may either write a cover letter for any role in
hospitality. By using this week's materials and skills
learnt, write an effective cover letter marketing your
talent and skills for this role. Remember there would
be many applicants for the role, so what makes you
stand out?

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I'm writing to [Company Name] to say how much I'd want the [Role] position there. I am certain that my talents and qualifications make me a standout candidate for this position.

I have a strong love for the hospitality sector and a track record of consistently providing exceptional guest experiences.

I have the most recent information and best practises in the sector because I have researched the materials and just completed training. In addition, my expertise in a variety of hospitality professions has honed my capacity to thrive in a hectic and customer-focused workplace.

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If a project costs $23,559, and has the cash flows outlined in the table below, what is this project's payback period in years (use two decimal places in your response)? Year 1 9,904 Year 2 4,227 Year 3 4,659 Year 4 7,541 Year 5 12,949

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To calculate the payback period of a project, we need to determine the time it takes for the project's cumulative cash flows to equal or exceed the initial investment cost.

Here are the cumulative cash flows for the project:
Year 1: $9,904
Year 2: $9,904 + $4,227 = $14,131
Year 3: $14,131 + $4,659 = $18,790
Year 4: $18,790 + $7,541 = $26,331
Year 5: $26,331 + $12,949 = $39,280
From the cumulative cash flows, we can see that the project's payback period occurs between Year 4 and Year 5. To determine the exact payback period, we calculate the fraction of the final year's cash flow needed to reach the initial investment:
Fraction = (Initial investment - Cumulative cash flow at the end of Year 4) / Cash flow in Year 5
Fraction = ($23,559 - $26,331) / $12,949
Fraction ≈ -0.2145
Since the fraction is negative, we can interpolate to find the payback period:
Payback period = Year 4 + (Fraction × (1 year/ Cash flow in Year 5))
Payback period ≈ Year 4 + (-0.2145 × (1 year / $12,949))
Payback period ≈ Year 4 - 0.0166 ≈ 4.98 years
Therefore, the payback period for this project is approximately 4.98 years.

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Al Bakara company report the following results for its calendar year December 31,2021 Cash sales 200,000 Credit sales 180,000 Account receivable 22.000 (debil) Account payable 46,000 (red) Allowances for doubtful accounts 2,000 (debit) The company estimates bad debts to be 2%of annual total sale Required: 1- Prepare the adjusting entry to record the estimated bad debt. Answer in the following format [Note: This is just an example and is not related to the question Jan 1 Dr. Cash 120 Cr. Owner capital.

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The adjusting entry records the estimated bad debt expense and increases the allowance for doubtful accounts by $7,600.

Dec 31 Dr. Bad Debt Expense 7,600

Cr. Allowance for Doubtful Accounts 7,600

To record the estimated bad debt, we need to calculate 2% of the annual total sales. The annual total sales can be calculated by summing up the cash sales and credit sales.

Cash sales: $200,000

Credit sales: $180,000

Annual total sales = Cash sales + Credit sales = $200,000 + $180,000 = $380,000

Next, we need to calculate the estimated bad debt by multiplying the annual total sales by the estimated bad debt percentage (2%):

Estimated bad debt = Annual total sales * Estimated bad debt percentage = $380,000 * 2% = $7,600

Now, we can prepare the adjusting entry to record the estimated bad debt:

Bad Debt Expense (debit) for $7,600, representing the estimated bad debt expense for the year.

Allowance for Doubtful Accounts (credit) for $7,600, representing the increase in the allowance to cover potential bad debts.

The adjusting entry records the estimated bad debt expense and increases the allowance for doubtful accounts by $7,600. This adjustment reflects the company's recognition of the likelihood that a portion of the accounts receivable may not be collected in the future. By making this adjustment, the company is adhering to the matching principle by recognizing the expense in the same period as the related revenue.

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The formulas for some measures of association can result in coefficients with either positive or negative signs.Under which of the following circumstances can those signs be meaningfully interpreted?

A)whenever the data are expressed as frequencies
B)when the data are measured at the nominal level
C)when the data are measured at the ordinal level
D)whenever the data have a modal category
E)whenever the data are expressed as percentages

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The answer to this question is C, that is, when the data are measured at the ordinal level.

The correct option is C.

Measures of association are statistical measures that measure the strength of the association between two variables. The values can range from -1.0 to 1.0. When a value is positive, the two variables are positively associated, and when a value is negative, the two variables are negatively associated.The data may be expressed as frequencies, percentages, or measured at the nominal, ordinal, or interval level. The formulas for some measures of association can result in coefficients with either positive or negative signs, but it is not always possible to interpret them meaningfully.

When the data are measured at the ordinal level, the signs of the coefficients can be meaningfully interpreted. In ordinal data, variables have a natural order, and the rank of the variables has a meaningful interpretation. Spearman's rank correlation coefficient, Gamma, and Kendall's tau-b coefficient are examples of measures of association that can be used with ordinal data and produce coefficients with a meaningful interpretation.

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How did the war in Vietnam affect American politics and society? And how did the actions of the Nixon administration, at home and in foreign policy, affect public attitudes toward government and public institutions?

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The Vietnam War had a profound impact on American politics and society. The war was highly unpopular, and it led to a great deal of social unrest and political division.

The war also had a significant impact on the way that Americans viewed their government and public institutions. The war began in 1954, when the United States intervened in a civil war in Vietnam. The United States supported the South Vietnamese government, which was fighting against a communist insurgency supported by North Vietnam. The war dragged on for nearly two decades, and it claimed the lives of over 58,000 American soldiers. The war was highly unpopular in the United States. Many Americans believed that the war was a mistake, and they opposed the government's decision to send troops to Vietnam.

Many Americans came to believe that the government was not trustworthy, and they lost faith in the ability of public institutions to solve problems. The war also led to a decline in patriotism and a rise in cynicism.

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Question 3 and 4 are related to the case study of Afiq Bhd. Afiq Bhd excercised the stock market flotation in the next year after the meetings. The company developed unitary board and hired a number of non-executive directors (NEDs) to comply with the new listing rules by the stock market regulartory body, Bursa Malaysia. A number of issues occurred around this period, with NEDs being dissatisfied with Afiq Bhd's culture and management style. Afiq family members found difficult to convert into managing a public business with a unitary board. Encik Aziq Afiq stated that operating the company while it was privately owned by Afiq family was substantially different. Bursa Malaysia, reequires the listed company's board of directors (BOD) to fulfill the Continuing Professional Development (CPD). The CPD is the practise of tracking and documenting the skills, information and experience that company directors develop at work, both formally and informally. According to the human resources manager, the CPD is an excellent program to align all the BOD towards the company culture and management's practises. Required: (m/ (c) Explain how does the CPD able to resolve the issue faced by the non-executive director towards the company.

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Continuous Professional Development (CPD) is the practice of following and documenting the abilities, knowledge, and experience that company directors acquire at work, both formally and informally. As a result, the Human Resources Manager of Afiq Bhd, in this scenario, stated that CPD is an excellent program to align all the BOD towards the company's culture and management practices. This can solve the problem that Non-executive Directors are facing with the firm.

The Non-executive Directors of Afiq Bhd are dissatisfied with the company's culture and management style. One of the reasons for this may be that there is a lack of knowledge and experience among the BOD. Since Afiq Bhd has only just converted to a public company with a unitary board, the Board of Directors may not be fully informed about the company's new policies. As a result, the non-executive directors' dissatisfaction with Afiq Bhd's culture and management style has increased.To solve this issue, Afiq Bhd hired a number of non-executive directors (NEDs) and developed a unitary board, and as a publicly-traded company, they have to follow new regulations imposed by Bursa Malaysia, which includes the CPD.

The Human Resources Manager of Afiq Bhd believes that the CPD program is a good approach to overcome the Non-executive Directors' concerns by aligning all the Board of Directors with the company's culture and management practices.CPD can help resolve the issue because it focuses on professional development, allowing the Board of Directors to acquire new knowledge, abilities, and insights, which will aid in enhancing the firm's culture and management practices. In other words, CPD aids in the professional development of the Board of Directors, enabling them to make informed decisions based on their knowledge and experience. Additionally, CPD allows the Board of Directors to be updated with the latest policies and regulations, which will enhance the company's compliance. As a result, Non-executive Directors' concerns with Afiq Bhd's culture and management style can be resolved through CPD programs.

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Exercise 11-14A (Algo) Effect of cash dividends on financial statements LO 11-6 On May 1, Year 1, Love Corporation declared a $71,900 cash dividend to be paid on May 31 to shareholders of record on Ma

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Requirements: Prepare journal entries for Love to record the declaration and payment of dividends for Year 1. (Round answers to 0 decimal places, e.g. 125. If no entry is required, select "No entry" for the account titles and enter 0 for the amounts.

Credit account titles are automatically indented when the amount is entered. Do not indent manually.)DateAccount Titles and Explanation Debit Credit May 1May 15May 31(b) Post the transactions to the T-accounts, and prepare a retained earnings statement for Year 1, assuming retained earnings on January 1 was $436,800. (Round answers to 0 decimal places, e.g. 125. Credit account titles are automatically indented when the amount is entered. Do not indent manually.) Love Corporation Retained Earnings Statement For Year Ended December 31, Year 1Beginning retained earnings $ Add: Net income for the year Total $Less: Dividends for the year Ending retained earnings $ (a)

Declaration Date: Date Account Titles and Explanation Debit Credit May 1No entry (b) Record date: Date Account Titles and Explanation Debit Credit May 15No entry (c) Payment date: Date Account Titles and Explanation Debit CreditMay 31Dividends payable Cash Now, let's analyze the effect of cash dividends on financial stastement and shareholders. Cash dividends reduce the company's assets by the amount of the dividend. This happens when a company pays a dividend in cash to its shareholders. amount of the dividend received.

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