specialization often occurred rather than generalization as farms became more commercialized, in order to gain the higher expected returns.
Specialization refers to the practice of focusing on producing a particular type of goods or services rather than trying to produce a wide range of goods and services.
This could be an effective strategy for farms operating in more commercialized settings. This allows us to focus our resources and efforts on specific areas of production to increase efficiency and improve the quality of our goods and services.
This can lead to higher expected returns as farms that specialize in a particular region can take advantage of economies of scale and potentially charge higher prices for their goods and services.
Read more about investments at:
brainly.com/question/15061613
#SPJ4
Which measure of prices includes all of the final goods and services in a nation's
output?
The GDP deflator measure of prices includes all of the final goods and services in a nation's output.
The implicit price deflator and GDP price deflator are other names for the GDP deflator. It will make it easier to gauge how much the pricing of various commodities and services produced inside an economy have changed. This is also used by economists to compare the real level of economic activity in one economy from one year to the next.
The quantity of goods created in an economy with the use of labor, equipment, and raw materials that are available for sale in the market to customers and contribute to the creation of profit is known as output.
The main quantitative indicator of economic activity is the gross domestic product. It is a measurement of the total market value of all finished goods and services produced within a nation's borders in a given year.
To know more prices, visit:
https://brainly.com/question/19091385
#SPJ9
A company purchased $10,000 of merchandise on June 15 with terms of 3/10, n/45, and FOB shipping point. The freight charge, $500, was added to the invoice amount. On June 20, it returned $800 of that merchandise. On June 24, it paid the balance owed for the merchandise taking any discount it is entitled to. The cash paid on June 24 equals:
Answer:
the cash paid as on June 24 is $9,424
Explanation:
The computation of the cash paid as on June 24 is as follows:
= Merchandise cost + Freight charge - Purchase returns - Discount Eligible at 3%
= $10,000 + $500 - $800 - [($10,000 - $800) × 0.03]
= $10,000 + $500 - $800 - $276
= $9,424
Hence, the cash paid as on June 24 is $9,424
Develop a plan in which Ethan can finish his degree without debt
Answer:
Ethan can finish his degree without debt if he works part time after his studies and earns at least $9,000 which is his university fee.
Explanation:
Ethan is developing strategies to finance his studies. He do not wishes to secure loan to pay his fee. He can work part time and earn some amount which he should save in order to pay off his fee. He can earn more money by selling some goods that he can make on his own. Some art and craft things that are admired by people can bring him money.
Dale is a guitar teacher and Terrence is a tile layer. If Dale teaches Terrence's daughter to play the guitar in
exchange for Terrence tiling Dale's kitchen floor,
a. only Dale is made better off by trade.
O b. both Dale and Terrence are made better off by trade.
c. neither Dale nor Terrence are made better off by trade.
O d. only Terrence is made better off by trade.
If Dale teaches Terrence's daughter to play the guitar in exchange for Terrence tiling Dale's kitchen floor Option B. both Dale and Terrence are made better off by trade.
In this scenario, Dale is a guitar teacher and Terrence is a tile layer. Dale teaches Terrence's daughter how to play the guitar in return for Terrence tiling Dale's kitchen floor. It is a classic example of trade and bartering. Dale, the guitar teacher, would have had to pay for tile installation if he hadn't bartered with Terrence, the tile layer. Terrence, on the other hand, would have had to pay for guitar lessons if he hadn't traded with Dale.
Both Dale and Terrence, therefore, benefit from the trade, and they are both better off as a result. Because Dale receives tile installation in exchange for teaching guitar lessons, and Terrence receives guitar lessons in exchange for tile installation, both benefit.
In conclusion, the answer is (b) both Dale and Terrence are made better off by trade. When both parties are better off after a trade, it is known as a mutually beneficial trade. Trade, in general, promotes mutual gains by allowing people to concentrate on what they do best and exchange their output with others for goods and services that they desire. Therefore, the correct option is B.
Know more about Trade here:
https://brainly.com/question/24431310
#SPJ8
The units of an item available for sale during the year were as follows: Jan. 1 Inventory 50 units at $100 Mar. 10 Purchase 70 units at $110 Aug. 30 Purchase 30 units at $118 Dec. 12 Purchase 50 units at $120 There are 80 units of the item in the physical inventory at December 31. The periodic inventory system is used. Determine the ending inventory cost and the cost of goods sold by three methods. Round interim calculations to one decimal and final answers to the nearest whole dollar.
The ending inventory cost and the cost of goods sold using FIFO, LIFO, and Weighted-Average Cost methods are as follows:
FIFO LIFO Weighted-Average
Ending inventory $9,540 $8,300 $8,896
Cost of goods sold $12,700 $13,940 $13,344
Data and Calculations:
Date Description Units Unit Cost Total Cost
Jan. 1 Inventory 50 $100 $5,000
Mar. 10 Purchase 70 $110 7,700
Aug. 30 Purchase 30 $118 3,540
Dec. 12 Purchase 50 $120 6,000
Total 200 $22,240
Dec. 31 Ending inventory 80
Number of units sold 120 (200 - 80)
Average cost per unit = $111.20 ($22,240/200) under the periodic system
FIFO:
Ending inventory = $9,540 (30 x $118 + 50 x $120)
Cost of goods sold = $12,700 ($22,240 - $9,540)
LIFO:
Ending inventory = $8,300 (50 x $100 + 30 x $110)
Cost of goods sold = $13,940 ($22,240 - $8,300)
Weighted-Average Cost:
Ending inventory = $8,896 (80 x $111.20)
Cost of goods sold = $13,344 (120 x $111.20)
Learn more: https://brainly.com/question/14586660
Identify one supply or demand shifting factor that the community could have some control over or do something about
One supply or demand shifting factor that the community could have some control over is consumer preferences and behaviors.
1. Consumer Education: The community can actively engage in educating consumers about the benefits of certain products or services. By providing information on the positive impacts of choosing certain goods or services, consumers may shift their preferences towards those options, influencing the demand.
2. Marketing and Advertising: Local businesses and organizations can collaborate to promote goods and services that align with the values and preferences of the community. Effective marketing strategies can influence consumer demand and encourage them to choose specific products, thereby shifting the demand curve.
3. Support for Local Producers: Community members can actively support local producers and businesses by purchasing their goods and services. By creating a demand for locally sourced products, the community can influence supply chain dynamics and encourage businesses to cater to their preferences.
4. Sustainable Practices: Promoting sustainable practices within the community can also have an impact on supply and demand. By advocating for eco-friendly products and services, such as renewable energy or ethically sourced goods, the community can create a shift in consumer demand, influencing businesses to adjust their supply accordingly.
5. Collaboration with Local Authorities: The community can collaborate with local authorities to enact policies that align with their preferences. For example, advocating for stricter environmental regulations or supporting initiatives that promote fair trade can influence both supply and demand factors.
By actively engaging in these steps, the community can exert some control over consumer preferences and behaviors, thereby shifting the supply and demand dynamics in their favor.
For more such questions on demand, click on:
https://brainly.com/question/18550230
#SPJ8
What do you think the curves would look like in the next 100 years?
Answer:The last 100 years have seen a massive fourfold increase in the population, due to medical advances, lower mortality rates, and an increase in agricultural productivity made possible by the Green Revolution.
Marco, Jaclyn, and Carrie formed Daxing Partnership (a calendar-year-end entity) by contributing cash 10 years ago. Each partner owns an equal interest in the partnership and has an outside basis in his/her partnership interest of $104,000. On January 1 of the current year, Marco sells his partnership interest to Ryan for a cash payment of $137,000. The partnership has the following assets and no liabilities as of the sale date:
Tax Basis FMV
Cash $ 18,000 $ 18,000
Accounts receivable 0 12,000
Inventory 69,000 81,000
Equipment 180,000 225,000
Stock investment 45,000 75,000
Totals $ 312,000 $ 411,000
The equipment was purchased for $240,000, and the partnership has taken $60,000 of depreciation. The stock was purchased seven years ago.
4.
value:
1.00 points
Required information
a. What are the hot assets [§751(a)] for this sale? (Select all that apply.)
Accounts receivable
Inventory
Stock investment
Potential depreciation recapture in the equipment
References
eBook & Resources
Difficulty: 2 MediumLearning Objective: 21-01 Determine the tax consequences to the buyer and seller of the disposition of a partnership interest, including the amount and character of gain or loss recognized.
5.
value:
1.00 points
Required information
b. What is Marco’s gain or loss on the sale of his partnership interest?
References
eBook & Resources
ProblemDifficulty: 2 MediumLearning Objective: 21-01 Determine the tax consequences to the buyer and seller of the disposition of a partnership interest, including the amount and character of gain or loss recognized.
Check my work
6.
value:
1.00 points
Required information
c. What is the character of Marco’s gain or loss?
$23,000 ordinary income and $10,000 capital gain
$10,000 ordinary income and $23,000 capital gain
$33,000 ordinary income
$33,000 capital gain
None of these
References
eBook & Resources
Difficulty: 2 MediumLearning Objective: 21-01 Determine the tax consequences to the buyer and seller of the disposition of a partnership interest, including the amount and character of gain or loss recognized.
Check my work
7.
value:
1.00 points
Required information
d. What are Ryan’s inside and outside bases in the partnership on the date of the sale?
Answer:
I have no idea
Explanation:
I apologize
a) The hot assets according to [§751(a)] for this sale are:
a. Accounts receivableb. Inventoryd. Potential depreciation recapture in the equipment.b) Marco’s gain or loss on the sale of his partnership interest is $33,000 ($137,000 - $104,000).
c) The character of Marco’s gain or loss is d. $33,000 capital gain.
d) Ryan’s inside and outside bases in the partnership on the date of the sale are $137,000 ($411,000/3).
What are hot assets in a partnership?Hot assets refer to these assets: "unrealized receivables" and "inventory items," which generate ordinary business income when sold.
The hot assets also include, in this instance, the "unrealized depreciation recapture" in the equipment of the partnership.
Data and Calculations:Tax Basis FMV
Cash $ 18,000 $ 18,000
Accounts receivable 0 12,000
Inventory 69,000 81,000
Equipment 180,000 225,000
Stock investment 45,000 75,000
Totals $ 312,000 $ 411,000
Question Completion:The equipment was purchased for $240,000, and the partnership has taken $60,000 of depreciation. The stock was purchased seven years ago.
a. What are the hot assets [§751(a)] for this sale? (Select all that apply.)
a. Accounts receivable
b. Inventory
c. Stock investment
d. Potential depreciation recapture in the equipment
b. What is Marco’s gain or loss on the sale of his partnership interest?
c. What is the character of Marco’s gain or loss?
a. $23,000 ordinary income and $10,000 capital gain
b. $10,000 ordinary income and $23,000 capital gain
c. $33,000 ordinary income
d. $33,000 capital gain
e. None of these
d. What are Ryan’s inside and outside bases in the partnership on the date of the sale?
The hot assets according to [§751(a)] for this sale are Accounts receivable, Inventory, and the potential depreciation recapture in the equipment because they generate ordinary business income when sold.
Learn more about partnership interest at https://brainly.com/question/23287300
Select the type of job best demonstrated in each example. Penelope is hired as a Software Developer by a company that pays her the same amount every week, no matter how many hours she works Royal is a Database Architect who works twenty hours per week. Abdul works for a software publisher that provides health insurance and a retirement savings account. Lisa is hired as a Computer and Information Research Scientist by an employer who requires that she have a master's degree.
Answer:
-a salaried job
-a part-time job
-a job with benefits
-an advanced job
Explanation:
salaried job
part-time job
job with benefits
an advanced job
Information regarding job:Since Penelope is hired as a Software Developer by a company where he gets the similar amount each week so it is a salaried job. Royal works twenty hours per week so it is a part time job. Abdul works also gets health insurance and a retirement savings account so it is a job with benefits. Lise have the master degree this represent the advance job.learn more about the job here: https://brainly.com/question/5142381?referrer=searchResults
Principles of Investment
Assignment Active
Monetary Policy and Investments
Juan is always researching different investment options.
A few weeks ago he noticed some nice homes for sale in
his neighborhood. The listed prices were below market
value. Today on the news he heard that the Federal
Reserve lowered interest rates for banks and that banks
have lowered interest rates for home mortgages in turn.
As a result, there has been a huge boom in the number of
people purchasing homes.
What is most likely to happen as a result of the
change in interest rates?
O Housing prices will go up and down due to
changing fiscal policy.
O The market will experience more demand and the
price of houses will go up.
O The price of houses will go down in response to the
decreased demand.
O The prices for homes in that area will be stable due
to the new monetary policy.
4
As a result of the decrease in interest rates, Option B. The market will experience more demand, and the price of houses will go up.
The demand for houses will go up and housing prices will increase, causing individuals who were on the fence about buying a house to act swiftly before prices rise too much. As a result, housing sales are expected to surge. Lower interest rates, on the other hand, are often linked to increased borrowing and spending in the economy. Because borrowing money is now less expensive, more people are more willing to do so and the money supply in circulation rises.
The decrease in interest rates could cause more individuals to be more willing to purchase a home due to lower interest rates and more affordable mortgage payments. Lowering interest rates for banks and home mortgages, as well as lowering the cost of borrowing, encourages more people to buy houses, resulting in a greater demand for homes and, in turn, driving up the prices of homes.
As a result, option B is correct: the market will experience more demand, and the price of houses will go up. Therefore, the correct option is B.
The question was incomplete, Find the full content below:
Juan is always researching different investment options. A few weeks ago he noticed some nice homes for sale in his neighborhood. The listed prices were below market value. Today on the news he heard that the Federal Reserve lowered interest rates for banks and that banks have lowered interest rates for home mortgages in turn. As a result, there has been a huge boom in the number of people purchasing homes. What is most likely to happen as a result of the change in interest rates?
A. Housing prices will go up and down due to changing fiscal policy.
B. The market will experience more demand and the price of houses will go up.
C. The price of houses will go down in response to the decreased demand.
D. The prices for homes in that area will be stable due to the new monetary policy.
Know more about Interest rates here:
https://brainly.com/question/29415701
#SPJ8
The internet service provider industry in the country of Megalopolis is an industry characterized by the presence of strong network effects, high brand loyalty, high economies of scale, and proprietary technology among incumbent firms. In the internet service provider industry, do you believe the threat of new entrants is low or high? Why?
The threat from new competitors is probably minimal. An organisation like AT&T, Verizon, Comcast, or Spectrum is an example of an Internet Service Provider (ISP), which offers businesses, families, and even mobile users access to the Internet.
ISPs give their consumers access to the Internet through a variety of methods, including copper cable, satellite, and fibre optics. a business that offers its clients access to the Internet.
Most ISPs are too tiny to obtain access directly from the network access point (NAP), therefore they typically purchase bits of bandwidth from bigger ISPs.
Either a modem connection or a direct connection, which gives far faster rates, can be used to access the Internet.
Online services, albeit they occasionally also offer Internet access, are different from Internet service providers. Online services give users access to special databases, online forums, and content that isn't available elsewhere.
To know more about ISP:
brainly.com/question/19561587
#SPJ4
Taking over a project with several problems. What is the first step in tackling the problems?
Answer:
Define the problem
Get all types of answers
Implement the most appropriate method to solve the problem
Discuss and highlight the main features of a Bill of Lading, types of Bill of Lading, and the purpose, usefulness and limitation of such bills in global trade and commerce.
A bill of lading (/ˈleɪdɪŋ/) (sometimes abbreviated as B/L or BOL) is a document issued by a carrier (or their agent) to acknowledge receipt of cargo for shipment. Although the term historically related only to carriage by sea, a bill of lading may today be used for any type of carriage of goods.[1] Bills of lading are one of three crucial documents used in international trade to ensure that exporters receive payment and importers receive the merchandise.[2] The other two documents are a policy of insurance and an invoice.[3] Whereas a bill of lading is negotiable, both a policy and an invoice are assignable. In international trade outside the United States, bills of lading are distinct from waybills in that the latter are not transferable and do not confer title. Nevertheless, the UK Carriage of Goods by Sea Act 1992 grants "all rights of suit under the contract of carriage" to the lawful holder of a bill of lading, or to the consignee under a sea waybill or a ship's delivery order.

Bill of lading
A bill of lading must be transferable,[4][5] and serves three main functions:
it is a conclusive receipt,[6] i.e. an acknowledgement that the goods have been loaded;[7] and
it contains or evidences[8] the terms of the contract of carriage; and
it serves as a document of title to the goods,[9] subject to the nemo dat rule.
Typical export transaction use Incoterms terms such as CIF, FOB or FAS, requiring the exporter/shipper to deliver the goods to the ship, whether onboard or alongside. Nevertheless, the loading itself will usually be done by the carrier himself or by a third party stevedore.
During 2022, its first year of operations as a delivery service, Flounder Corp. entered into the following transactions.
1. Issued shares of common stock to investors in exchange for $137,000 in cash.
2. Borrowed $55,000 by issuing bonds.
3. Purchased delivery trucks for $63,000 cash.
4. Received $18,000 from customers for services performed.
5. Purchased supplies for $6,600 on account.
6. Paid rent of $5,900.
7. Performed services on account for $10,700.
8. Paid salaries of $26,700.
9. Paid a dividend of $11,500 to shareholders.
Using the following tabular analysis, show the effect of each transaction on the accounting equation. Put explanations for changes to Stockholders’ Equity in the far right column. (If a transaction causes a decrease in Assets, Liabilities or Stockholders' Equity, place a negative sign (or parentheses) in front of the amount entered for the particular Asset, Liability or Equity item that was reduced, see Illustration 3-4 for example.)
Answer:
Flounder Corp.
The Effect of Each Transaction on the Accounting Equation:
1. Issued shares of common stock to investors in exchange for $137,000 in cash.
Assets (Cash +$137,000) = Liabilities + Equity (Common Stock +$137,000))
2. Borrowed $55,000 by issuing bonds.
Assets (Cash +$55,000) = Liabilities (Bonds Payable +$55,000) + Equity
3. Purchased delivery trucks for $63,000 cash.
Assets (Cash -$63,000; Trucks +$63,000) = Liabilities + Equity
4. Received $18,000 from customers for services performed.
Assets (Cash +$18,000) = Liabilities + Equity (Retained Earnings +$18,000)
5. Purchased supplies for $6,600 on account.
Assets (Supplies +$6,600) = Liabilities (Accounts Payable +$6,600) + Equity
6. Paid rent of $5,900.
Assets (Cash -$5,900) = Liabilities + Equity (Retained Earnings -$5,900)
7. Performed services on account for $10,700.
Assets (Accounts Receivable +$10,700) = Liabilities + Equity (Retained Earnings +$10,700)
8. Paid salaries of $26,700.
Assets (Cash -$26,700) = Liabilities + Equity (Retained Earnings -$26,700)
9. Paid a dividend of $11,500 to shareholders.
Assets (Cash -$11,500) = Liabilities + Equity (Retained Earnings -$11,500)
Explanation:
The accounting equation states that Assets = Liabilities + Equity. This equation is the basis of the double system of recording accounting transaction. It shows that assets are funded by either liabilities or equity or a combination of the two. With this equation, every transaction is recorded twice on either side of the equation or on one side, as the case may be. The equation is always in balance because transactions are entered twice.
What is meant by the concept entrepreneur?
Answer: An entrepreneur is someone who has an idea and who works to create a product or service that people will buy, as well as an organization to support that effort.
Explanation: An entrepreneur takes on most of the risk and initiative for their new business, and is often seen as a visionary or innovator.
Beverly Mills has decided to lease a hybrid car to save on gasoline expenses and to do her part to help keep the environment clean. The car she selected is available from only one dealer in the local area, but that dealer has several leasing options to accom-modate a variety of driving patterns. All the leases are for 3 years and require no money at the time of signing the lease. The first option has a monthly cost of $330, a total mileage allowance of 36,000 miles (an average of 12,000 miles per year), and a cost of $0.35 per mile for any miles over 36,000. The following table summarizes each of the three lease
options:
(See photos below)
Beverly Mills has three leasing options to choose from. Each of these options differs in terms of the monthly cost, the total mileage allowance, and the cost for any miles over the set mileage allowance. Depending on her driving patterns, Beverly Mills can select the option that suits her the best.
Beverly Mills decided to lease a hybrid car to save on gasoline expenses and to do her part to help keep the environment clean. The car she selected is available from only one dealer in the local area, but that dealer has several leasing options to accommodate a variety of driving patterns.All the leases are for 3 years and require no money at the time of signing the lease.
The three lease options available to Beverly Mills are as follows:
Option 1:Monthly cost: $330Total mileage allowance: 36,000 miles (an average of 12,000 miles per year)Cost for any miles over 36,000: $0.35 per mile
Option 2:Monthly cost: $460Total mileage allowance: 45,000 miles (an average of 15,000 miles per year)Cost for any miles over 45,000: $0.45 per mile
Option 3:Monthly cost: $540Total mileage allowance: 60,000 miles (an average of 20,000 miles per year)Cost for any miles over 60,000: $0.55 per mile
Therefore, Beverly Mills has three leasing options to choose from. Each of these options differs in terms of the monthly cost, the total mileage allowance, and the cost for any miles over the set mileage allowance. Depending on her driving patterns, Beverly Mills can select the option that suits her the best.
For more such questions on allowance
https://brainly.com/question/14191260
#SPJ8
Why should you start saving for retirement early?
A. The longer you save, the less you will pay in taxes.
B. The longer you save, the more likely it is your investments will lose
value.
O C. The longer you save, the less your money will be worth due to
inflation.
D. The longer you save, the more money your investments will earn.
Start saving for retirement early. The longer you save, the more money your investments will earn.
Why should you save early for retirement?
The biggest advantage of retirement investment is probably compound interest. Even though there is no specific rate of return that is guaranteed, starting your retirement savings sooner in your work will result in more money with a lower capital investment than if you wait until later in your career. Compound interest is the process through which an amount of money increases greatly as a result of interest that keeps adding to itself over time.
You will have $1050 at the end of the year if you invest $1,000 in an account that grows at a rate of 5% annually, for instance. You'll receive a 5% return on $1050 the next year, which after two years will equal $1102.50.
Here is an illustration of how consistently building a retirement portfolio at a young age may look.
find more about compound interest from the link below:-
https://brainly.com/question/28020457
#SPJ13
Discuss 2 ways in which an entrepreneurship will use information to understand risk and uncertainty and deciding whether or not to exploit a business opportunity
The two ways in which an entrepreneurship will use information to understand risk and uncertainty and deciding whether or not to exploit a business opportunity -
1. Recognize that risk is opportunity - From the very beginning of a new company idea, danger and opportunity are inextricably interwoven. By contrasting their own objectives with potential points of entrance into the market, entrepreneurs might draw this conclusion.
For instance, a businessperson who pays careful attention to customer sentiment will have a better sense of how to avoid making expensive mistakes.
2. Reverse risk - Risk selection is an alternative approach to think about risk management. On a far more fundamental level, market research will assist in helping a corporation decide where and how to take risk.
It might be challenging to accept that sometimes making sacrifices is the only way to achieve new heights, particularly after a firm has succeeded successfully.
Which definition of entrepreneurship is the best?Planning, establishing, and operating a new business with the intention of making money while taking on financial risk is the essence of entrepreneurship.
Is entrepreneurship essential?Entrepreneurs have a key role in the economy's growth. They intend to promote industry innovation, expand market prospects, and foster community progress.
To know more about Entrepreneurship visit:
https://brainly.com/question/31008165
#SPJ1
If government regulations are enforced to reduce corruption, then: the demand for investment will fall. businesses would lower their investment . the demand for loanable funds will shift left. the demand for loanable funds will shift right.
If government regulations are enforced to reduce corruption, then: c. the demand for loanable funds will shift left.
What is government regulations?Government laws that are successfully put into practise to combat corruption enhance the business climate and boost economic confidence.
As a result, companies are likely to become more dependable and trustworthy, which will reduce the demand for loanable cash. Businesses might not need as much outside funding if there is less corruption to decrease the risks brought on by corrupt practises or to get around obstacles to doing business.
Therefore the correct option is C.
Learn more about government regulations here:https://brainly.com/question/17084491
#SPJ1
alternatives to commercial insurance
Explanation:
Labor and Economic Opportunity.
Bureaus & Agencies.
Workers' Disability Compensation Agency.
Insurance Requirements.
Group Funds - An Alternative to Commercial Insurance.
Airports Company of South Africa (ACSA) owns and operates principal airports in South Africa. How can ACSA improve the safety and security issue at the major airports in which in operates at?
ACSA improve the safety and security issue at the major airports in which in operates at through the following:
Improvement of screening Lanes.Employment of more rained personnel.Installing pre-security checkpoints.What is Safety?This is defined as a condition in which an individual is protected from harm or any type of danger.
The use of trained personnel and cameras are vital in ensuring that the security in airports are improved so as to prevent accidents and death.
Read more about Safety here https://brainly.com/question/7449721
#SPJ1
Refer to the portions of the 2018 and 2019 balance sheets provided below. Calculate the change in net working capital during the year 2019. 2018 2019 2018 2019 Cash $360 $710 Notes Payable $510 $550 Accts. Receivable $1,190 $1,070 Accounts Payable $720 $830 Inventory $840 $930 Long Term Debt $1,180 $1,090
Answer:
$1,330
Explanation:
Change in net working capital during the year 2019 is computed as
= Current assets - Current liabilities
Current assets 2019 = Cash $710 + Accounts receivables $1,070 + Inventory $930
Current assets = $2,710
Current liabilities 2019 = Notes payable $550 + Accounts payable $830
Current liabilities = $1,380
Therefore,
Change in net working capital during the year 2019
= $2,710 - $1,330
= $1,330
A transportation app developer knows that the commute times for a specific route follow an approximately normal distribution with a mean of 30 minutes and a standard deviation of 6 minutes. Using the norm.dist() function in excel, the developer has calculated the following probabilities for specific commute times. Probability Calculations P (Commute < 16.04) = 0.01 P (Commute < 20) = 0.048 P (Commute < 20.13) = 0.05 P (Commute < 25) = 0.202 P (Commute < 35) = 0.798 P (Commute < 39.87) = 0.95 P (Commute < 40) = 0.952 P (Commute < 43.96) = 0.99 9. What is the probability that a commute is between 25 and 40 minutes? 10. Name the two values (don’t round), equidistant from the mean of 30 minutes, such that 90% of all commute times are between these values?
9. Probability (between 25 and 40 minutes) = 0.75.
10. Two values are 18.3 minutes (lower value), and 41.7 minutes (upper value)
For the probability that a commute is between 25 and 40 minutes, calculate the difference between the cumulative probabilities of the upper and lower bounds.
P(25 < Commute < 40) = P(Commute < 40) - P(Commute < 25)
Using the given probability values:
P(25 < Commute < 40) = 0.952 - 0.202
P(25 < Commute < 40) = 0.75
Therefore, the probability that a commute is between 25 and 40 minutes is 0.75.
10. To find the two values equidistant from the mean of 30 minutes such that 90% of all commute times are between these values, calculate the corresponding z-scores.
Since the data follows an approximately normal distribution, use the z-score formula:
z = (x - μ) / σ
Where:
z is the z-score
x is the value
μ is the mean
σ is the standard deviation
To find the z-scores corresponding to the cumulative probabilities, use the norm.inv() function in Excel.
The z-score for the lower value, which corresponds to the 5th percentile (0.05 cumulative probability), is given by:
z1 = norm.inv(0.05, 0, 1)
The z-score for the upper value, which corresponds to the 95th percentile (0.95 cumulative probability), is given by:
z2 = norm.inv(0.95, 0, 1)
Now, find the corresponding commute times by rearranging the z-score formula:
x = z * σ + μ
Using the given mean (μ = 30) and standard deviation (σ = 6):
For the lower value:
x1 = z1 * σ + μ
For the upper value:
x2 = z2 * σ + μ
Calculating the values:
For the lower value:
x1 = norm.inv(0.05, 30, 6) ≈ 18.3 minutes
For the upper value:
x2 = norm.inv(0.95, 30, 6) ≈ 41.7 minutes
Therefore, the two values (without rounding) equidistant from the mean such that 90% of all commute times are between them are 18.3 minutes & 41.7 minutes
Learn more about Probability here:
https://brainly.com/question/32117953
#SPJ1
Which feature is a point of differentiation between products and services
Answer:
Products are tangible, offered by the companies to the customers in exchange for money.
Services are the intangible economic product that is provided by a person on the other person’s demand. It is an activity carried out for someone else.
Explanation:
How does an employee know how much their paycheck is going to be?
pls help me
Answer:
There supposed to be given that info when applying for the job or in meeting! hope it helped :))
The three fitness apps that Under Armour acquired are industry leading apps, with large user bases, in the fast-growing market of fitness tracking software and services. These apps would be classified as _______ in the market growth/market share matrix.
The apps stated above will be marked as Stars on Under Armours Market Growth/Market Share matrix.
What do STARS mean on the Market Share/Market Growth/BCG Growth-Share Matrix?The two keywords which define stars on the matrix are:
High Growth and Large Market Portion.Any product that is projected as fast-growing and which comprises a huge portion of the market is referred to as "Stars" on the growth matrix.
Other categories of the growth matrix are:
Cash CowsDogs (Pets)Question MarksPlease see the link below for more about Market Growth Matrix:
https://brainly.com/question/24515909
suppose that country a is experiencing high inflation relative to country b, which is enjoying steady growth with a stable price level. which of the following would occur in the foreign exchange market?
Foreign exchange marketplace (foreign exchange, or FX, marketplace), group for the change of one u . s. a .'s forex with that of any other united states of America.
Forex markets are virtually made of many exceptional markets because the trade between individual currencies—say, the euro and the U.S. dollar—each constitutes a market.
A marketplace in which one currency is exchanged for another forex; for instance, in the marketplace for Euros, the Euro is being offered and sold and is being paid for using any other foreign money, along with the yen.
The foreign exchange (foreign exchange) marketplace is the most important and most liquid asset market on the earth, trading 24/7 around the world. there's sincerely no valuable area for the forex market - it's far a dispensed electronic marketplace with nodes in financial corporations, critical banks, and brokerage houses.
Learn more about the Foreign exchange market https://brainly.com/question/15966638
#SPJ4
PLEASE HELP! URGENT!
What is the maturity date of a 186-day note dated July 22ND ?
Answer:
November 24, 2008
Explanation:
if this is helpful... give me brainliest (pls) when possible
Which challenge leads to development of incorrect features and functionalities in IS?
A.
end user resistance
B.
quality issues
C.
lack of documentation
D.
project completion constraints
Answer:D
Explanation:
the 3 hour per week that 100 million volunteers donate every year in the US is equal to how many full time worker
a. 1 million
b. 7.5 million
c. 100 million
d. 750 million
The equivalent number of full-time workers based on the 3 hours per week volunteered by 100 million volunteers in the US is approximately 144,230 full-time workers. Option C is the correct answer.
To calculate the equivalent number of full-time workers based on the 3 hours per week that 100 million volunteers donate every year in the US, we need to determine the total number of hours volunteered and divide it by the number of hours worked by a full-time worker in a year.
Let's assume a full-time worker works an average of 40 hours per week, and there are 52 weeks in a year.
Total hours volunteered per year:
3 hours per week * 100 million volunteers = 300 million hours
Total hours worked by a full-time worker per year:
40 hours per week * 52 weeks = 2,080 hours
Equivalent number of full-time workers:
300 million hours / 2,080 hours = approximately 144,230 full-time workers
Option C is the correct answer.
For such more question on equivalent:
https://brainly.com/question/29754038
#SPJ8