Write a paper comparing and contrasting Receiver Operating Characteristic (ROC) curves and Lift Charts. Use example visualizations to illustrate and enhance your argument. Be sure to treat example visualizations as APA figures and cite their source.

Answers

Answer 1

Receiver Operating Characteristic (ROC) curves and Lift Charts are two popular visualizations used for evaluating the performance of binary classification models.

These models are used to predict whether an observation belongs to one of two possible classes. An example of a binary classification problem is whether an email is spam or not spam.
Receiver Operating Characteristic (ROC) Curves
Receiver Operating Characteristic (ROC) curves are a popular tool for visualizing the performance of binary classification models. ROC curves are useful for evaluating the performance of models that generate continuous predicted probabilities for binary classification problems.
ROC curves are created by plotting the true positive rate (TPR) against the false positive rate (FPR) for different threshold values. The TPR is the proportion of actual positives that are correctly classified by the model, and the FPR is the proportion of actual negatives that are incorrectly classified as positives.
Lift Charts
Lift Charts are another popular tool for visualizing the performance of binary classification models. Lift Charts are useful for evaluating the performance of models that generate binary predictions for binary classification problems.
Lift Charts are created by plotting the lift value against the proportion of the population targeted. The lift value is the ratio of the response rate for the targeted population to the response rate for the general population.
Comparison
ROC curves and Lift Charts are both useful tools for evaluating the performance of binary classification models, but they have some key differences. ROC curves are useful for evaluating the performance of models that generate continuous predicted probabilities, while Lift Charts are useful for evaluating the performance of models that generate binary predictions.
ROC curves are useful for comparing models with different threshold values, while Lift Charts are useful for determining the optimal threshold value for a given model. ROC curves are also more sensitive to changes in the FPR than Lift Charts, while Lift Charts are more sensitive to changes in the proportion of the population targeted.
Conclusion
In conclusion, ROC curves and Lift Charts are both useful tools for evaluating the performance of binary classification models, but they have some key differences. ROC curves are useful for evaluating the performance of models that generate continuous predicted probabilities, while Lift Charts are useful for evaluating the performance of models that generate binary predictions. ROC curves are useful for comparing models with different threshold values, while Lift Charts are useful for determining the optimal threshold value for a given model.

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Related Questions

Exhibit 15-6
On January 1, 2016, 50 executives were given a performance-based share option plan that would award them with a maximum of 300 shares of $10 par common stock for $20 a share. On the grant date, the fair value of an option was $16.50. The number of options that will vest depends on the size of the annual average increase in sales over the next three years according to the following table:
Annual Average Increase in Sales No. of Shares
Greater than 5% 50
Greater than 10% 150
Greater than 15% 300
On the grant date, the company estimates the annual average sales increase will be 14%.

Refer to Exhibit 15-6. The estimated total compensation cost will be
$247,500

$27,500

$123,750

$55,000

Answers

In the given statement, The estimated total compensation cost will be $55,000. correct answer is $55,000.

The estimated total compensation cost for the share option plan that awards 50 executives a maximum of 300 shares of $10 par common stock for $20 a share, on the grant date, with a fair value of an option of $16.50 and where the number of options that will vest depends on the size of the annual average increase in sales over the next three years according to the table, and where the company estimates the annual average sales increase will be 14%, is $55,000.Explanation:Given,50 executives were given a performance-based share option plan that would award them with a maximum of 300 shares of $10 par common stock for $20 a share. The fair value of an option was $16.50.The number of options that will vest depends on the size of the annual average increase in sales over the next three years according to the following table: Annual Average Increase in Sales No. of Shares Greater than 5%50Greater than 10%150Greater than 15%300On the grant date, the company estimates the annual average sales increase will be 14%.Now, the expense recognition is made over the vesting period. The total estimated compensation cost is calculated by multiplying the total fair value of the options granted with the percentage of options expected to vest. So, the calculation of total compensation cost will be as follows: The fair value of an option = $16.50The total number of options = 50 × 300 = 15,000The annual average increase in sales is 14% which is less than 15%. Therefore, only 50% of the total shares will vest. Hence, the total shares that will vest are = 15,000 × 50% = 7,500.Total fair value of the options granted = $16.50 × 7,500 = $123,750.Now, the estimated total compensation cost will be = $123,750 × 44/36 = $55,000 (rounded to nearest thousand).Therefore, the estimated total compensation cost is $55,000. Answer: $55,000.

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CASE STUDY
Diandra Jones is a single mother of two children, Ann and Simon, who attend secondary school. Her mother, 67-year-old Kathleen, who was a housewife her entire life recently joined Diandra’s household when she was diagnosed with Parkinson’s disease. Diandra has been working 20 years as a lawyer in the Civil Law Department of the Ministry of Justice (MOJ) and sometimes uses the MOJ laptop at home to complete work assignments.
Miss Jones owns a sports utility vehicle (SUV) as well as a house in a middle-class community which is furnished with several appliances and items of furniture. At the back of the property is an unoccupied self-contained studio apartment. This community is below sea level and is prone to flooding. In consultation with her colleague at work she decided to rent the studio to generate additional income. She also plans to carpool with a neighbour to reduce petrol and toll costs and to use the SUV as a rental vehicle.
A. Distinguish between civil law and criminal law. Provide TWO (2) examples of each.
B. Identify THREE (3) major loss exposures facing Diandra with respect to each of the following:
i. Property loss
ii. Liability loss
C. With respect to the property loss exposure at B., indicate an appropriate personal risk management technique that can be used to treat same.

Answers

A. Civil law and criminal law are two branches of legal systems that deal with different types of offenses and disputes.

Civil law:

Contract disputes: When two parties have a disagreement over the terms or performance of a contract, such as a breach of contract or failure to fulfill obligations.

Personal injury claims: Cases where individuals seek compensation for injuries or harm caused by another person's negligence, such as car accidents or medical malpractice.

Criminal law:

Theft: The act of unlawfully taking someone else's property without their consent, such as robbery or burglary.

Assault: Intentionally causing physical harm or fear of harm to another person, which can range from simple assault to aggravated assault.

B. Major loss exposures facing Diandra:

i. Property loss:

Flooding: As the community is below sea level and prone to flooding, Diandra's property is at risk of damage or destruction due to water damage.

Fire: Any accidental fire, such as an electrical malfunction or cooking mishap, could cause significant damage to the house, furniture, and appliances.

ii. Liability loss:

Personal injury liability: If someone, such as a guest or tenant, gets injured on Diandra's property due to negligence or unsafe conditions, she could be held legally responsible.

Automobile liability: Diandra's decision to rent out her SUV and use it as a rental vehicle increases her exposure to potential accidents, and she may be held liable for damages or injuries caused by the vehicle.

C. Personal risk management technique for property loss exposure:

To mitigate the risk of property loss from flooding, Diandra can consider purchasing flood insurance. Flood insurance provides coverage for damages caused by floods, including structural damage, repairs, and replacement of belongings. By obtaining flood insurance, Diandra can transfer the financial risk associated with flooding to the insurance company.

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explain what it is meant by the taylor principle. discuss
advantages and disadvantages of the Taylor Rule

Answers

The Taylor principle is a concept that is used in monetary policy. It is named after the economist John Taylor, who developed it.

The Taylor principle holds that central banks should increase their policy interest rates by more than the increase in the inflation rate. The rationale behind the Taylor principle is that it helps to anchor inflation expectations and prevent a spiral of rising inflation.

Advantages of the Taylor Rule

1. Transparency: The Taylor Rule provides a clear and straightforward guide for central banks to set interest rates. This transparency can enhance public trust in monetary policy and make it easier for people to understand what the central bank is doing.

2. Flexibility: The Taylor Rule is flexible enough to be adapted to different economic conditions. The rule can be adjusted to take into account changes in inflation expectations, economic growth, and other factors that affect the economy.

3. Stability: The Taylor Rule helps to promote macroeconomic stability by anchoring inflation expectations. This can help to prevent excessive inflation or deflation, and reduce the likelihood of economic instability.

Disadvantages of the Taylor Rule

1. Simplistic: The Taylor Rule is a simplified version of monetary policy that does not take into account all of the complex factors that influence the economy.

2. Over-reliance on models: The Taylor Rule is based on a mathematical model that assumes that the economy behaves in a certain way. If the economy behaves differently than the model predicts, the Taylor Rule may not be effective.

3. Timing issues: The Taylor Rule may not be able to respond quickly enough to changes in the economy. For example, if inflation suddenly spikes, the Taylor Rule may take too long to respond, leading to higher inflation.

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Apple Holdings Pty Ltd was formed eight years ago by Jonathan and Sonya, who were the initial shareholders and directors. Jonathan and Sonya had for many years been involved in property development. Seven years ago, Apple Holdings purchased two properties in an area where there was extensive real estate development. For six years the properties were used as orchards and the properties were improved for that purpose.
Owing to unforeseen circumstances, the orchards proved to be unprofitable and there was talk of plans for a zoning change in the near future. This would mean the properties could only be disposed of in 100 hectare lots instead of 25 hectare lots. Apple Holdings therefore arranged to subdivide the land up into 25 hectare lots and sold the whole property to one purchaser. The Commissioner assessed Apple Holdings on the gross receipts.
Required: Apple Holdings is concerned about the Commissioner’s assessment and seeks your advice on whether, and how, the amount received could be characterised as assessable income. In your response, you should consider whether the sale is an isolated transaction, a realisation of an asset, an extraordinary transaction – and the relevance of profit motive. You must support your analysis with reference to relevant cases.​​​​​​​

Answers

Apple Holdings Pty Ltd could indeed consider the amount received from the sale of the property as assessable income. This is so since the property was held as a revenue asset and not as a capital asset. Furthermore, the company could not predict the unprofitable status of the orchards due to unforeseen circumstances.

This proves that the sale of the property was due to extraordinary circumstances and not due to the disposal of a capital asset. The sale of the property was not a realization of a capital asset, rather a realization of a revenue asset.Since the properties were used for orchard purposes, they were considered revenue assets as opposed to capital assets.

If Apple Holdings had held the properties as capital assets, the profits from the sale would be considered as capital receipts and not as assessable income. However, the relevant law considers the intention of the taxpayer while purchasing the property as opposed to its actual use. Thus, if the taxpayer had the intention of selling the property as opposed to holding it as a capital asset, the proceeds from the sale would be considered as income and not as capital receipts.

The relevant cases supporting this analysis are Sun Newspapers Pty Ltd v FCT (1938) and Harmer v FCT (1991). Sun Newspapers was held as a case where the taxpayer, a newspaper company, sold off its business to a competitor. The sale was held as a sale of a revenue asset and the proceeds were considered as assessable income. In Harmer v FCT, the taxpayer, a former Olympic athlete, sold his gold medal to a pawnshop. The sale was held as a sale of a revenue asset and the proceeds were considered as assessable income.

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Moving to another question will save this response Question 12 sp A company entered into the following transactions Match each transaction with the appropriate journal in which it should be recorded Purchased merchandise from Able Co. for $2,000 terms 2/10, n/30. Invoice dated August 1. A. General Journal Paid cash to incite Telephone Co. for monthly telephone bill $250. Check No. 758 B. Cash receipts journal C Cash payments journal Sold merchandise on credit to Delta Corp. for $3,000, terms, 2/10, n/30, Invoice No. 246, Cost of Goods Sold is $1,740. D. Purchases journal ✓ Received cash payment in full from Delta Corp for August 5 sale E Sales Journal

Answers

Each transaction is appropriately matched with the journal in which it should be recorded based on the nature of the transaction.

A. Purchases journal

B. Cash payments journal

C. Sales journal

D. Cash receipts journal

A. The transaction involves the purchase of merchandise from Able Co. for $2,000 with terms of 2/10, n/30. Since this transaction represents the acquisition of inventory, it is recorded in the Purchases journal.

B. The transaction states that cash was paid to incite Telephone Co. for the monthly telephone bill of $250. As it involves a cash payment, it is recorded in the Cash payments journal.

C. The transaction involves the sale of merchandise on credit to Delta Corp. for $3,000. This revenue transaction is recorded in the Sales journal.

D. The transaction indicates the receipt of cash payment in full from Delta Corp for the August 5 sale. Since it involves cash receipts, it is recorded in the Cash receipts journal.

Each transaction is appropriately matched with the journal in which it should be recorded based on the nature of the transaction. The Purchases journal is used for recording purchases of merchandise, the Cash payments journal is used for cash disbursements, the Sales journal is used for recording sales on credit, and the Cash receipts journal is used for recording cash receipts. Categorizing transactions into the correct journals ensures accurate and organized recording of financial transactions, aiding in the preparation of financial statements and analysis of the company's performance.

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are the possible different ways that polymer chains can be more efficient packed to form semi-crystalline structure. [multiple answers

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The possible different ways that polymer chains can be more efficiently packed to form semi-crystalline structures are: Spherulite formation, orientation, and crystalline perfection.

Spherulite formation refers to the spherical structures that are visible under a microscope. The nucleation and growth of spherulites can have a significant impact on the final morphology of a polymer. Orientation refers to the alignment of polymer chains in a particular direction. This can be achieved through processes such as extrusion or stretching. Finally, crystalline perfection refers to the extent to which the polymer chains are ordered and aligned within the crystal lattice.

In conclusion, these different factors can have a significant impact on the properties of semi-crystalline polymers and can be controlled through various processing techniques to achieve the desired properties.

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Victoria Anderson could not believe how much money her company was paying for outside consultants to help finish an important operating system conversion project. The consulting company’s proposal said it would provide experienced professionals who had completed similar conversions in the past, and that the job would be finished in six months or less with four consultants working full time. Nine months later her company was still paying high consulting fees, and half of the original consultants on the project had been replaced with new people. One new consultant had graduated from college only two months before and had extremely poor communication skills. Victoria’s internal staff complained that they were wasting time training some of these "experienced professionals". Victoria talked to her company’s purchasing manager about the contract, fees, and special clauses that might be relevant to the problems they were having.
Victoria was dismayed at how difficult it was to interpret the contract. It was very long and obviously written by someone with a legal background. When she asked what her company could do because the consulting firm was not following its proposal, the purchasing manager stated that the proposal was not part of the official contract. Victoria’s company was paying for time and materials, not specific deliverables. There was no clause stating the minimum experience level required for the consultants, nor were there penalty clauses for not completing the work on time. There was a termination clause, however meaning that the company could terminate the contract. Victoria wondered why her company had signed such a poor contract and whether there was a better way to procure services from outside the company.
Victoria decided to appoint an internal project manager that was part of the organisation’s IT Strategy Group to liaise with all appropriate stakeholders and take actions to ensure the project was still viable and achievable.
List and describe five (5) skills that would be required by the IT project manager to complete the tasks allocated to them in the project scenario presented above.

Answers

The IT project manager in the given scenario would require the following five skills to successfully complete the tasks allocated to them:

1. **Contract Management**: The project manager should possess strong contract management skills to understand and interpret complex contracts, identify clauses and provisions relevant to the project, and effectively negotiate and manage contractual relationships with external consultants. This skill is crucial in addressing issues and enforcing contract terms when consultants are not meeting expectations.

2. **Communication and Stakeholder Management**: Effective communication skills are essential for the project manager to liaise with various stakeholders, including internal staff, purchasing managers, and external consultants. They should be able to clearly convey project requirements, address concerns, and ensure alignment among all parties involved. Strong stakeholder management skills will enable the project manager to mitigate issues and keep everyone informed and engaged.

3. **Project Management**: The project manager should have solid project management skills to oversee the operating system conversion project successfully. This includes defining project scope, developing a realistic timeline, managing resources, monitoring progress, identifying risks, and implementing effective project control mechanisms. They should be proficient in project management methodologies and tools to ensure the project's viability and achievement.

4. **Leadership and Team Management**: Leadership skills are crucial for the project manager to provide guidance, motivate the project team, and drive performance. They should possess the ability to build a cohesive team, assign tasks effectively, delegate responsibilities, and foster a collaborative and productive work environment. Strong leadership and team management skills will help address training issues and ensure the project progresses smoothly.

5. **Problem Solving and Decision Making**: The project manager should be skilled in problem-solving and decision-making techniques to address challenges that arise during the project. They should be able to analyze complex situations, identify root causes of issues, and develop appropriate strategies to overcome obstacles. Sound decision-making skills are essential in evaluating alternative courses of action, assessing risks, and making informed choices to keep the project on track.

By leveraging these skills, the IT project manager can effectively navigate the challenges presented in the scenario, ensure project viability, and drive successful project completion.

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Mansour Machines had cash flow from operations of $5,070, cash flows from investments of $(1,244), capital expenditures of $1,244, cash flows from financing of $(3,537), including $1,500 of dividends paid, and net income of $2,314. Mansour's free cash flow is: Multiple Choice. a. $2,326. b. $1,533. c.$2,756. d. $3,826

Answers

Mansour Machines' free cash flow will be approximately $3,826. Option D. is correct.

To calculate the free cash flow, we need to subtract the capital expenditures from the cash flow from operations.

Given information;

Cash flow from operations = $5,070

Capital expenditures = $1,244

Free Cash Flow = Cash Flow from Operations-Capital Expenditures

Free Cash Flow = $5,070 - $1,244

Free Cash Flow = $3,826

Therefore, Mansour Machines' free cash flow is $3,826.

Free cash flow represents the amount of cash a company generates from its operations after accounting for capital expenditures.  In this case, Mansour Machines generated $5,070 from its operations, and after deducting the capital expenditures of $1,244, the remaining free cash flow is $3,826.

Hence, D. is the correct option.

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Someone said: "Chinese traditional agriculture was very
efficient", do you agree? Why?

Answers

It is important to note that the efficiency of Chinese traditional agriculture can vary depending on the specific time period, region, and farming practices being considered. However, in general, Chinese traditional agriculture can be considered relatively efficient due to several factors.

One key aspect of Chinese traditional agriculture that contributed to its perceived efficiency was the utilization of intensive farming techniques. China's long history of agricultural development led to the refinement of methods such as crop rotation, terrace farming, and water management systems like irrigation and canals. These techniques allowed for increased crop yields and maximized land productivity.

Additionally, traditional agricultural practices in China often involved close integration of livestock, crops, and fisheries. This integrated approach promoted sustainable land and resource management, where waste from one component could be used as inputs for another, creating a more efficient and balanced agricultural system.

Furthermore, China's vast population and limited arable land necessitated efficient use of available resources. Farmers had to make the most of their land holdings, employing labor-intensive methods and adopting innovative techniques to ensure food security and economic sustainability.

While it is important to recognize the historical efficiency of Chinese traditional agriculture, it is also crucial to acknowledge that modern agricultural advancements and technological innovations have further enhanced productivity and efficiency in the sector.

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QUESTION 19 From the following questionnaire identify the Type, Wording problem(s), re-write the correct version of Question and Options Do you think using social media for promotion of brands was not unhelpful, or helpful? a. Yes b. No

Answers

The type of problem in the given questionnaire is a double-negative wording problem. The question is confusing and can lead to misinterpretation by respondents.

Type: The type of question is a bipolar question as it presents two opposing options: "not unhelpful" and "helpful."

Wording problem(s): The original question is somewhat awkwardly phrased and may confuse respondents due to the use of a double negative. While it is not a serious wording problem, it can still lead to some ambiguity.

To address the wording problem and clarify the question, it is necessary to rewrite it in a more straightforward and understandable manner. Here's a corrected version of the question and options:

Question: Do you think using social media for brand promotion is helpful or unhelpful?

Options:

a. Helpful

b. Unhelpful

To conclude, the wording problem in the question is the use of a double negative ("not unhelpful") which makes it difficult for respondents to understand the intended meaning. Double-negatives can create confusion and ambiguity, resulting in inaccurate responses. In this case, the question is asking about the effectiveness of using social media for brand promotion but is phrased in a convoluted way.

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Problem 3-9 Market Value Ratios (LG3-5) You are considering an investment in Roxie's Bed & Breakfast Corp. During the last year, the firm's income statement listed an addition to retained earnings of $10.80 million and common stock dividends of $3.20 million. Roxie's year-end balance sheet shows common stockholders' equity of $46.0 million with 20 million shares of common stock outstanding. The common stock's market price per share was $8.90. What is Roxie's Bed & Breakfast's book value per share? (Round your answer to 2 decimal places.)

Answers

Based on the given data, Roxie's Bed & Breakfast's book value per share is $2.30.

In this particular situation, there are 20 million outstanding shares and $46.0 million in common shareholder ownership.

You must divide the common shareholders' equity by the total number of outstanding shares to determine Roxie's Bed & Breakfast's book value per share.

Book Value per Share = Common Stockholders' Equity / Number of Shares Outstanding

Book Value per Share = $46,000,000 / 20,000,000

Book Value per Share = $2.30

Therefore, Roxie's Bed & Breakfast's book value per share is $2.30.

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Manama Company had cash sales of $80,000, credit sales of $70,000, sales returns and allowances of $2,000, and sales discounts of $4,000. Manama's net sales for this period equal O $156,000 $80,000 $144,000 $152,000

Answers

Manama Company's net sales for this period equal $144,000.
To calculate Manama Company's net sales, we need to subtract sales returns and allowances as well as sales discounts from the total sales.

Given:

Cash sales: $80,000

Credit sales: $70,000

Sales returns and allowances: $2,000

Sales discounts: $4,000

Net sales = (Cash sales + Credit sales) - (Sales returns and allowances + Sales discounts)

Net sales = ($80,000 + $70,000) - ($2,000 + $4,000)

Net sales = $150,000 - $6,000

Net sales = $144,000

Therefore, Manama Company's net sales for this period equal $144,000.

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I need the simple interest and compounded monthly with formulas:
When would an ordinary annuity consisting of quarterly payments of $500 at 6% compounded quarterly be worth more than a principal of $5,000 invested at 4% simple interest?
When would an ordinary annuity consisting of monthly payments of $200 at 5% compounded monthly be worth more than a principal of $10,000 invested at 7.5% compounded monthly?
Please proper both explanation and do not copy from Chegg. Otherwise I have to report the answer.

Answers

A typical annuity with monthly payments of $200 and a future value of 5% compounded monthly is worth more than $10,000 invested with a 7.5% compounded monthly principle.

Simple Interest

Formula:  I = Prt

where, I is the simple interest, P is the principal amount, r is the rate of interest per annum and t is the time period in years.

a) For an ordinary annuity consisting of quarterly payments of $500 at 6% compounded quarterly be worth more than a principal of $5,000 invested at 4% simple interest?

Let us assume the value of "n" (number of periods) is 4 and "t" (time period) is 1 year.So, Principal = $5000Rate of Interest = 4% = 0.04Time period = 1 yea

rSimple Interest = P * R * T= $5000 * 0.04 * 1= $200

Let the future value of an ordinary annuity be FV. Quarterly Compounding Interest rate = 6% / 4 = 1.5% per quarter. In a year, there are 4 quarters. So, the value of "n" will be 4. Quarterly payments = $500 Using formula, FV = P[(1 + i)n - 1]/ i  FV = $500[(1 + 0.015)4 - 1]/0.015 FV = $2095.61

The Future Value of the annuity is greater than the Principal. Hence, an ordinary annuity consisting of quarterly payments of $500 at 6% compounded quarterly will be worth more than a principal of $5,000 invested at 4% simple interest

.b) When would an ordinary annuity consisting of monthly payments of $200 at 5% compounded monthly be worth more than a principal of $10,000 invested at 7.5% compounded monthly?

Let us assume the value of "n" (number of periods) is 12 and "t" (time period) is 1 year.

So, Principal = $10,000

Rate of Interest = 7.5% = 0.075

Time period = 1 year

Compounding Period = 12 monthsThe formula to calculate Future Value of a lump sum investment is:

FV = P (1 + r/n)nt  where P is the principal, r is the annual interest rate, n is the number of times the interest is compounded per year, t is the number of years. Here, P = $10000, r = 7.5%/12 = 0.00625, n = 12, t = 1 year FV = $10000(1 + 0.00625)12

(1) FV = $10,806.53

The Future Value of the principal invested is $10,806.53. Let the future value of an ordinary annuity be FV. Compounding Period = 12 months

Annual interest rate = 5%/12 = 0.004167

Number of periods = 12 per year. Payments = $200.

Using formula, FV = PMT[((1 + i)n - 1)/i)]   +   PV(1 + i)n  FV = $200[((1 + 0.004167)12 - 1)/0.004167)]   +   $0(1 + 0.004167)12 FV = $25,360.17

Future value of an ordinary annuity consisting of monthly payments of $200 at 5% compounded monthly is worth more than a principal of $10,000 invested at 7.5% compounded monthly.

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An Indian company has signed a contract with a Mexican company to import footwear. It is the first time these companies are doing business together. Identify the insurance coverage the Indian company required. Explain import credit insurance and product liability insurance.

Answers

The Indian company required import credit insurance and product liability insurance for their business deal with the Mexican company.

Import credit insurance provides coverage to the Indian company against the risk of non-payment or default by the Mexican company for the imported footwear.

It helps protect the Indian company's financial interests by compensating for any losses incurred due to non-payment, insolvency, or political events that may prevent the Mexican company from fulfilling its payment obligations.

This insurance coverage ensures that the Indian company can recover the value of the goods and mitigate the financial impact of any potential payment issues.

Product liability insurance, on the other hand, safeguards the Indian company against any legal liabilities arising from the footwear products they import from Mexico. It covers the costs associated with legal defense, settlements, or judgments if the imported footwear causes harm or injury to consumers.

This insurance coverage is essential to protect the Indian company from potential legal claims, financial losses, and damage to their reputation due to product defects or accidents.

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The plant manager's salary is an example of a:
a. Unit-level activity
b. Batch-level activity
c. Product-level activity
d. Organization-sustaining activity

Answers

The plant manager's salary is an example of a Organization-sustaining activity. The correct option is d.

In activity-based costing (ABC), activities are categorized into different levels based on the unit of analysis and the resources consumed. These activity levels help in allocating costs to products or services more accurately.

a. Unit-level activities are those that are directly tied to individual units of a product or service. These activities vary with the number of units produced or services rendered. Examples include machine setup, material handling, and direct labor. The plant manager's salary is not directly tied to individual units; rather, it encompasses broader responsibilities and is not influenced by the number of units produced.

b. Batch-level activities are incurred for each batch of products or services produced. Examples include machine setup for a specific batch, quality inspections, and batch scheduling. The plant manager's salary is not specifically related to the production of a particular batch but rather covers overall management activities.

c. Product-level activities are related to specific products or product lines. These activities are incurred to support a specific product or product group. Examples include product design, engineering support, and product-specific advertising. The plant manager's salary is not directly linked to a specific product but covers management activities that encompass the entire plant's operations.

d. Organization-sustaining activities are incurred to support the overall functioning of the organization as a whole. These activities are not directly related to any specific product, batch, or unit but are necessary for the organization's existence. Examples include executive salaries, accounting, legal services, and facility maintenance. The plant manager's salary falls under this category as it is an expense necessary to sustain the organization's management structure and operations.

Therefore, the plant manager's salary is an example of an organization-sustaining activity as it supports the overall functioning of the organization rather than being directly tied to specific units, batches, or products.

Therefore the correct answer is d.

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Producer surplus is the amount sellers receive from the sale of a good minus the minimum amount they are willing to accept for supplying the good.

a) True

b) False

Answers

The given statement "Producer surplus is the amount sellers receive from the sale of a good minus the minimum amount they are willing to accept for supplying the good" is True.

Explanation:In economics, the producer surplus refers to the amount that the producers earn by selling their product at a price above the minimum price they are willing to sell it for. It is calculated by taking the difference between the actual price received by the seller and the minimum amount they were willing to accept to produce the good.Producer surplus occurs when the market price of the good is higher than the equilibrium price. It is the difference between the actual price received by the seller and the lowest price they were willing to sell the good for. Producer surplus represents the profit earned by the producer over and above the minimum amount required to cover the cost of production. It is an important measure of the economic welfare of producers.

Producer surplus is the difference between the actual price received by the seller and the minimum amount they were willing to accept to produce the good. It is calculated as the area above the supply curve and below the actual market price. It represents the profit earned by the producer over and above the minimum amount required to cover the cost of production.Producer surplus is an important measure of the economic welfare of producers. It reflects the profitability of the production process and the efficiency of the allocation of resources. A high producer surplus indicates that the producers are able to earn a substantial profit from their production activities, which in turn encourages them to invest more in their business.

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Problem 19-06 Using Weighted Average Delay [LO1] A mail-order firm processes 4,300 checks per month. Of these, 60 percent are for $33 and 40 percent are for $65. The $33 checks are delayed two days on average; the $65 checks are delayed three days on average. Assume 30 days in a month. e. How much should the firm be willing to pay to reduce the weighted average float to 1.5 days? (Do not round intermediate calculations.)
Maximum payment ___

Answers

To calculate the weighted average float, we need to consider the number of checks, their respective values, and the average delay for each value.

Let's start by calculating the total number of $33 checks and $65 checks:

Number of $33 checks = 60% of 4,300 = 0.6 * 4,300 = 2,580

Number of $65 checks = 40% of 4,300 = 0.4 * 4,300 = 1,720

Next, we calculate the weighted average float:

Weighted average float = (Number of $33 checks * Delay for $33 checks + Number of $65 checks * Delay for $65 checks) / Total number of checks

Weighted average float = (2,580 * 2 + 1,720 * 3) / 4,300

Weighted average float = (5,160 + 5,160) / 4,300

Weighted average float = 10,320 / 4,300

Weighted average float ≈ 2.40 days

To reduce the weighted average float to 1.5 days, the firm needs to reduce the float by 0.9 days (2.40 - 1.5).

Now, to determine how much the firm should be willing to pay to achieve this reduction, we need to calculate the cost of reducing the float by 0.9 days for each type of check:

Cost for $33 checks = 0.9 days * 2,580 checks = 2,322

Cost for $65 checks = 0.9 days * 1,720 checks = 1,548

Finally, we add up the costs for both types of checks:

Total cost = Cost for $33 checks + Cost for $65 checks

Total cost = 2,322 + 1,548

Total cost = 3,870

Therefore, the firm should be willing to pay $3,870 to reduce the weighted average float to 1.5 days.

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refers to how a person is layered or ranked in society according to how many valued resources he or she possesses.

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The term that refers to how a person is layered or ranked in society according to how many valued resources he or she possesses is social stratification.

Social stratification is a concept used in sociology to describe the hierarchical arrangement of individuals or groups in a society based on various factors such as wealth, power, and social status. It involves categorizing people into different social classes or levels based on their access to resources and opportunities. Those with more valued resources, such as wealth, education, and occupational prestige, are typically placed higher in the social hierarchy, while those with fewer resources occupy lower positions. This ranking system influences individuals' social standing, opportunities, and life chances within society. Social stratification can result in inequalities and differences in social privileges, reinforcing patterns of advantage and disadvantage. Understanding social stratification helps us examine and analyze the distribution of resources and power in society and its impact on individuals and social groups.

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Read the following text and answer the question that follows: Purchasing policies are typically a part of a company's overall operations handbook. It will describe the purpose for the policy, restrictions placed on employees, responsibility of purchasing department employees and other specific procedures or processes. Many purchasing policies will include information on how to use a purchase order for the acquisition of goods or services. Employees are often responsible for filling out the purchase order, obtaining management authorization and turning the document into the purchasing department. Companies can use a purchasing policy to improve the quality of goods and services in the company while lowering the cost of acquisition. Purchasing managers will often negotiate deals with vendors or running a bid process that allows vendors to compete for a project offered to them by the company.
Evaluate relevant policies defining the buyer-seller relationships in the purchasing process.

Answers

When evaluating relevant policies that define the buyer-seller relationships in the purchasing process, it is necessary to recognize the organization's approach to the sourcing and procurement process.

Buyer-seller relationships play a significant role in the purchasing process, and companies must be clear in their purchasing policies to ensure the maintenance of mutually beneficial relationships among these parties.When creating policies to define buyer-seller relationships, some of the areas that may be covered include but not limited to the following:Selection and qualification criteria: The policy should spell out the criteria for selecting suppliers, including factors such as capacity, technical skills, reputation, financial strength, and quality standards.Price determination: The policy should spell out the mechanisms for determining the price of the goods or services procured, including cost-based pricing, market-based pricing, and profit margins, among others.Contract terms: This is where the policy spells out the contractual terms and conditions governing the buyer-seller relationship. These may include clauses on payment terms, delivery schedules, warranties, indemnification, confidentiality, and intellectual property rights.Risk allocation: Here, the policy defines how risks are allocated between the buyer and seller. Risks could include quality risks, delivery risks, financial risks, among others.Dispute resolution: The policy should define the mechanisms for resolving disputes between the buyer and seller. These could include mediation, arbitration, litigation, among others.It is essential to ensure that purchasing for the purchasing process, including the maintenance of mutually beneficial relationships with suppliers and other stakeholders. In conclusion, purchasing policies should promote transparency, accountability, and ethical standards in the buyer-seller relationship.

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Refinancing question (Please show your calculation in an excel template and upload this template to Canvas): Suppose you purchased a town house in Natiek two year and 8 months ago at a price of $320,000. Your down payment was $32,000 and you borrowed the rest through a 30-year mortgage at 4.8% annual rate. Now you find out the interest rate has gone down to 3.2% (annual). If the total refinancing fee is $3800, should you refinance your mortgage or not if you don't plan to sell your house in the next 6 years.

Answers

Given information: Suppose you purchased a townhouse in two years and 8 months ago at a price of $320,000. Your down payment was $32,000 and you borrowed the rest through a 30-year mortgage at a 4.8% annual rate. Now you find out the interest rate has gone down to 3.2% (annual).

If the total refinancing fee is $3800, should you refinance your mortgage or not if you don't plan to sell your house in the next 6 years. Solution: Original mortgage amount = $320,000 - $32,000 = $288,000Number of months = 30 years × 12 months/year = 360 months Number of months passed = 2 years × 12 months/year + 8 months = 32 months Explanation: Given, Return of risky asset, E(rp) = 0.17Standard deviation of risky asset, σp = 0.21.

Return of risk-free asset, rf = 0.05The slope of the capital allocation line can be calculated by the formula: Slope of the capital allocation line = E(rp)−rf/σp2On substituting the given values Number of remaining months = 360 - 32 = 328 months Monthly payment at 4.8% rate=  Monthly payment at 3.2% Total savings over 6 years = $265.27/month × 12 months/year × 6 years = $19,117.92Cost of refinancing = $3,800Net savings = $19,117.92 - $3,800 = $15,317.92As the net savings of refinancing your mortgage over the next 6 years is positive, it would be a good idea to refinance your mortgage.

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Graphically variable costs over all levels of production would be a ___ line
straight horizontal
straight vertical
upward sloping straight line
none of above

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Graphically, variable costs over all levels of production would be represented by an upward sloping straight line.

Variable costs are costs that change in direct proportion to the level of production. As production increases, variable costs also increase, and as production decreases, variable costs decrease. This relationship is graphically represented by an upward sloping straight line.

The slope of the line indicates the rate at which variable costs increase or decrease with changes in production. A steeper slope suggests a higher rate of increase in variable costs, while a shallower slope indicates a lower rate of increase.

In contrast, a horizontal straight line would represent fixed costs, which do not change with variations in production. A vertical straight line would not be applicable in this context.

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on for Capital Budgeting problem (use cash flow function of TI calculator)

$1,500,000 Capital Outlay today
$400,000 After tax revenue stream each year (at end of each year)
20 is the number of years.
10% is the cost of capital
$_________________ NPV

%_________________IRR

Years______________Payback

Answers

The Capital Budgeting problem results in a NPV of $1,500,000, an IRR of 17.18%, and a Payback period of 3 years, indicating the project's potential profitability and financial viability.

In the given Capital Budgeting problem, we have a capital outlay of $1,500,000 invested today and an after-tax revenue stream of $400,000 received at the end of each year for a period of 20 years. The cost of capital is 10%.

Using the cash flow function of a financial calculator, we can determine the Net Present Value (NPV), Internal Rate of Return (IRR), and Payback period.

The NPV represents the sum of the present values of all cash flows. By calculating the NPV using the provided cash flows and the cost of capital, we find that the NPV is $1,500,000.

The IRR is the discount rate at which the NPV of the cash flows becomes zero. By applying the cash flow function, we find that the IRR is approximately 17.18%.

The Payback period is the time it takes for the initial investment to be recovered. In this case, the Payback period is 3 years.

Therefore, based on the given capital outlay, revenue stream, and cost of capital, the project yields a positive NPV of $1,500,000, indicating its potential profitability. The IRR of approximately 17.18% implies that the project's returns exceed the cost of capital. Finally, the Payback period of 3 years suggests that the initial investment is recovered within that timeframe. These findings suggest that the project is financially viable and may be a favorable investment opportunity.

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Daria owns a portfolio consisting of stock X and stock Y. the portfolio has an expected return of 11% . stock X has an expected return of 7.9% whole stock Y has an expected return of 12.6% what is the portfolio weight of stock Y?

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To determine the portfolio weight of stock Y, we need to calculate the proportion of stock Y's value in the overall portfolio. Given that the portfolio has an expected return of 11%,.

The portfolio weight of a particular asset is calculated by dividing the value of that asset by the total value of the portfolio. In this case, we need to find the weight of stock Y in the portfolio.

Let's assume the portfolio value is $1, as the value itself is not given in the question. Since the expected return of the portfolio is 11%, we can calculate the expected return contribution of each stock by multiplying its expected return with its portfolio weight.

Let's denote the portfolio weight of stock X as wX and the portfolio weight of stock Y as wY. We can set up the following equation based on the expected return of the portfolio:

(7.9% * wX) + (12.6% * wY) = 11%

To solve for wY, we need to substitute the portfolio weight of stock X. Since the sum of the portfolio weights must equal 1, we can express wX as 1 - wY:

(7.9% * (1 - wY)) + (12.6% * wY) = 11%

Simplifying the equation, we have:

7.9% - 7.9%wY + 12.6%wY = 11%

Rearranging the terms, we get:

4.7%wY = 3.1%

Now, we can solve for wY by dividing both sides of the equation by 4.7%:

wY = 3.1% / 4.7% ≈ 0.6596

Therefore, the portfolio weight of stock Y is approximately 0.6596, or about 65.96%.

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Teddy’s gross income is $110,000 and her disposable income is
$90,000. Her savings ratio is 5%. What is the minimum emergency
fund should she maintain?
Points: 1
A. $20,500
B. $26,125
C. $42,750
D. $21,37

Answers

Based on Teddy's income and savings ratio, the minimum emergency fund she should maintain is estimated to be $42,750.

To determine the minimum emergency fund Teddy should maintain, we need to calculate 3-6 months of her essential expenses. The formula is:

Emergency Fund = Essential Expenses * Number of Months

First, we need to find Teddy's essential expenses. Since we don't have that information, we can estimate it based on her disposable income. Assuming Teddy's essential expenses are approximately 70-80% of her disposable income, we can calculate:

Essential Expenses = 70% * $90,000 (Disposable Income) = $63,000

Next, we can calculate the minimum emergency fund:

Minimum Emergency Fund = Essential Expenses * Number of Months

Assuming a 3-6 months' emergency fund, we can calculate:

Minimum Emergency Fund = $63,000 * 3 (minimum number of months) = $189,000

Based on the given options, the closest value to the minimum emergency fund is:

C. $42,750

However, it's worth noting that $42,750 is not sufficient for a 3-6 months' emergency fund given Teddy's income. It's recommended to save a higher amount to cover essential expenses for a longer duration in case of unexpected financial setbacks.

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what are the differences in accounting across countries exist in
several areas . why these cause problems in accounting . provide
example

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Differences in accounting across countries exist in several areas, such as financial reporting standards, measurement and valuation methods, disclosure requirements, and tax regulations.

Varying accounting standards across countries make it difficult for multinational companies to prepare consolidated financial statements that accurately reflect the financial position and performance of the entire organization. For example, different countries may have different rules regarding revenue recognition, asset valuation, or expense classification, leading to discrepancies in financial reporting.

Inconsistent accounting practices also hamper the comparability of financial information between companies operating in different jurisdictions. Investors and stakeholders rely on financial statements to make informed decisions, and when accounting standards differ, it becomes challenging to assess and compare the financial performance and health of companies in different countries.

Furthermore, these differences can create opportunities for manipulation and earnings management, as companies may take advantage of varying accounting rules to present their financial statements in a favorable light or minimize tax liabilities.

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Based on what you've read and seen, what are the key concepts
that HR managers should keep in mind for successfully managing
during a crisis? Please explain.

Answers

HR managers should focus on clear communication, empathy, flexibility, proactive planning, and employee well-being during a crisis.

HR managers should keep in mind key concepts for successfully managing during a crisis. These concepts include effective communication, empathy, flexibility, and proactive planning. Clear and transparent communication helps keep employees informed and supported. Empathy allows HR managers to understand and address individual concerns and needs.

Flexibility is essential for adapting to changing circumstances and implementing necessary adjustments. Proactive planning helps anticipate challenges and develop contingency plans. HR managers should prioritize employee well-being initiatives, such as mental health support and work-life balance programs. By embracing these concepts, HR managers can navigate crises effectively, fostering resilience and maintaining employee engagement and productivity.

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The complete question is:

Based on what you've read and seen, what are the key concepts that HR managers should keep in mind for successfully managing during a crisis? Please explain.

A comparative country analysis
Involves both country and industrial levels of application of Porter’s Diamond model and relevant theories to understand competitive advantage for the two countries in their specific industries.

Answers

A comparative country analysis using Porter's Diamond model and relevant theories can provide insights into the competitive advantage of two countries in their specific industries. The Diamond model is a framework that analyzes the factors that contribute to a nation's competitive advantage. It consists of four interconnected determinants: factor conditions, demand conditions, related and supporting industries, and firm strategy, structure, and rivalry. Let's consider an example of two countries, Country A and Country B, in their respective industries.

1. Factor Conditions:

This determinant examines the availability and quality of production inputs within a country. Factors such as skilled labor, infrastructure, natural resources, and technological capabilities impact competitive advantage. For example, if Country A has a highly skilled workforce and advanced technology infrastructure in the automotive industry, it may enjoy a competitive advantage over Country B, which has a less developed labor force and outdated technology in the same industry.

2. Demand Conditions:

The nature and characteristics of domestic demand influence a country's competitive advantage. Countries with sophisticated and demanding customers often foster innovation and drive companies to produce high-quality products. If Country B has a large and sophisticated consumer market with high demand for sustainable and eco-friendly products in the textile industry, local firms may be motivated to develop innovative, environmentally friendly textiles, giving them a competitive edge over Country A.

3. Related and Supporting Industries:

The presence of strong and competitive supporting industries within a country can enhance its competitive advantage in specific sectors. For instance, if Country A has a well-developed network of suppliers, specialized service providers, and research institutions supporting the pharmaceutical industry, it can create a favorable environment for innovation and cost-effective production. This can result in a competitive advantage over Country B, where the supporting industries are less developed in the same sector.

4. Firm Strategy, Structure, and Rivalry:

The strategies and structures adopted by firms in a particular industry, as well as the intensity of domestic competition, play a crucial role in determining competitive advantage. If Country B has a culture of entrepreneurship, strong business networks, and effective industry clusters in the software development industry, it can foster innovation, collaboration, and healthy competition. This can lead to a competitive advantage over Country A, where the industry lacks such dynamics.

By analyzing these determinants at both the country and industrial levels, a comparative analysis can reveal the competitive advantages and disadvantages of Country A and Country B in their respective industries. It provides insights into how each country's unique combination of factors influences their ability to compete effectively, innovate, and create value in their industries.

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Which of the following would NOT represent a split interest technique for charitable giving? Select one: a. Pooled Income Funds b. Private Foundations c. Charitable Gift Annuities d. Charitable remainder Uni-trusts e. Charitable Income Trusts

Answers

The option (b) Private Foundations would NOT represent a split interest technique for charitable giving.

Split-interest techniques involve the division of property interests between two or more parties, such as a charity and a non-charitable beneficiary. The charity receives one part of the interest while the non-charitable beneficiary receives the other part.

Pooled Income Funds, Charitable Gift Annuities, Charitable remainder Uni-trusts, and Charitable Income Trusts are all examples of split-interest techniques in which the donor retains an interest in the donated property while also providing a gift to a charitable organization.

However, private foundations are not considered a split-interest technique for charitable giving because they do not divide the interest in the donated property between the donor and the charity. Rather, they are a separate legal entity that is entirely controlled by the donor or the donor's family.

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which type of contract (fixed or variable) might be most suitable for someone who wants a minimum amount of risk exposure?

Answers

If someone wants to have minimum risk exposure, then it is most suitable for him to have a fixed type of contract.

A fixed contract, also known as a fixed-rate contract, is an agreement in which the terms and conditions remain constant throughout the duration of the contract. This means that the price, interest rate, or other key variables specified in the contract do not change, regardless of market fluctuations or other external factors.

By choosing a fixed contract, individuals can mitigate their exposure to market volatility and uncertainties. This is particularly beneficial when there is a desire for stability and predictability, as the fixed terms provide a clear understanding of the costs and obligations involved.

For example, in the context of financial contracts, a fixed-rate loan would have a consistent interest rate over the repayment period. This ensures that the borrower knows exactly how much they need to pay each month, allowing for better budgeting and minimizing the risk of unexpected increases in interest rates.

Similarly, in certain commodity contracts or supply agreements, a fixed-price contract would establish a set price for a specified quantity of goods or services. This can protect against price fluctuations, providing stability for both buyers and sellers.

It's important to note that while fixed contracts offer stability and reduce risk exposure, they may not always provide the potential benefits associated with variable contracts. Variable contracts, such as adjustable-rate loans or contracts with price index adjustments, can offer opportunities for lower costs or increased returns if market conditions are favorable.

Ultimately, the choice between a fixed or variable contract depends on individual preferences, risk tolerance, and the specific circumstances of the situation.

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The Hughes Tools Company started business on October 1, 2015. Its fiscal year runs through to September 30 the following year.

The following transactions occurred in the fiscal year that started on October 1, 2015, and ended on September 30, 2016.

1. On October 1, 2015, Jill Hughes invested $175,000 to start the business. Hughes is the only owner. She was issued 10,000 common shares.

2. On October 1, Hughes Tools borrowed $225,000 from a venture capitalist (a lender who specializes in startup companies).

3. On October 1, the company rented a building. The rental agreement was a two-year contract requiring quarterly rental payments (every three months) of $15,000, payable in advance. The first payment was made on October 1, 2015 (covering the period from October 1 to December 31). Thereafter, payments were due on December 31, March 31, June 30, and September 30 for each three-month period that followed. All the rental payments were made as specified in the agreement.

4. On October 1, the company purchased equipment costing $220,000 for cash.

5. Initial inventory was purchased for $90,000 cash.

6. Additional purchases of inventory during the year totalled $570,000, all on account.

7. Sales during the year totalled $800,000, of which $720,000 was on account.

8. Collections from customers on account totalled $650,000.

9. Payments to suppliers on account totalled $510,000.

10. The cost of the inventory that was sold during the year was $560,000.

11. Selling and administrative expenses totalled $86,500 for the year. Of this amount, $4,000 was unpaid at year end.

12. Interest on the loan from the venture capitalist was paid at year end (September 30, 2016). The interest rate on the loan is 10%. In addition, $25,000 of the loan principal was repaid at that time.

13. The equipment was depreciated based on an estimated useful life of 10 years and a residual value of $20,000.

14. The company declared and paid a dividend of $7,000.

a. Prepare journal entries for each of the transactions and adjustments listed in the problem.

b. Prepare the necessary T accounts and post the journal entries to them.

c. Prepare an adjusted trial balance.

d. Prepare the closing entries and post them to the T accounts.

Answers

a) Journal Entries for Transactions:1. Jill Hughes invested $175,000 to start the business.Accounts Involved: Cash (Dr) $175,000 Common Stock (Cr) $175,0002. Hughes Tools borrowed $225,000 from a venture capitalist.

Accounts Involved: Cash (Dr) $225,000 Loan Payable (Cr) $225,0003. The company rented a building for two years.Accounts Involved: Rent Expense (Dr) $45,000 Prepaid Rent (Cr) $45,0004. The company purchased equipment costing $220,000 for cash.Accounts Involved: Equipment (Dr) $220,000 Cash (Cr) $220,0005.

Additional purchases of inventory during the year totalled $570,000, all on account.Accounts Involved: Inventory (Dr) $570,000 Accounts Payable (Cr) $570,0007. Sales during the year totalled $800,000, of which $720,000 was on account.Accounts Involved: Accounts Receivable (Dr) $720,000 Sales (Cr) $720,0008. Collections from customers on account totalled $650,000.Accounts Involved: Cash (Dr) $650,000

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