If there are no fixed costs and marginal cost is constant at $24, the price elasticity of demand at the profit-maximizing level of output is equal to ......?
P=110-(q/3)

Answers

Answer 1

The price elasticity of demand (P.E.D) is a measure of the responsiveness of quantity demanded to a change in price. It can be calculated using the formula P.E.D = (% Change in Quantity Demanded / % Change in Price). In this case, we will determine the price elasticity of demand at the profit-maximizing level of output for a given demand function and constant marginal cost.

To find the profit-maximizing level of output, we need to equate marginal revenue (MR) with marginal cost (MC). The given demand function P = 110 - (q/3) allows us to calculate MR. By differentiating the demand function with respect to quantity (q), we can obtain the marginal revenue function MR = 110 - (2/3)q.

Given that the marginal cost (MC) is constant at $24, we set MR equal to MC:

110 - (2/3)q = $24

By solving this equation, we find the optimal output level (q*) to be 63 units.

Next, we calculate the price at the profit-maximizing level of output by substituting q = 63 into the demand function:

P = 110 - (63/3) = $89

Finally, we can determine the price elasticity of demand at the profit-maximizing level of output. We use the formula P.E.D = (% Change in Quantity Demanded / % Change in Price). Since the denominator in the formula represents the percentage change in price, which is not changing, the % change in price is 0. Therefore, the price elasticity of demand at the profit-maximizing level of output is:

P.E.D = (% Change in Quantity Demanded / % Change in Price)

    = ((63/89) / (0/89))

    = (63/0)

    = Undefined (or ∞)

The price elasticity of demand at the profit-maximizing level of output is undefined (or infinite) because there is no change in price associated with the profit-maximizing level of output. This suggests that the quantity demanded is perfectly inelastic at this specific output level, meaning that changes in price have no impact on the quantity demanded.

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Related Questions

Question 1 of 3
The bank limits deposits to $200 per day. Ash has $300
to deposit. What should she do?
Select a response.
A Make multiple deposits over a few days
B Not agree to the Terms and Conditions

Answers

According to the information provided, Ash should make several deposits spread out over a few days. Thus option A is correct.

Ash can divide the deposit into two separate transactions because the bank only allows deposits of $200 per day and she has $300 to deposit. She is permitted to deposit $200 on the first day and the final $100 on the second day.

She will be able to successfully complete her deposit and stay inside the bank's deposit cap with this method. The correct response is, "Make several deposits over a few days."

Therefore, option A is appropriate.

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Bestplumbing 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 service Co. started its operation on 1/1, 2018. The balance sheet as of 6/30/2018 is shown in worksheet BSO. The company had the following transactions during July of 2018. 1-Jul Borrowed $45,000 from key bank by signing a 24-month note with a 4% annual interest rate. 1-Jul Received $58,000 cash from new investors and issued $58,000 no-par value common stock to them. 1-Jul Purchase $84,000 of new equipment and paid cash. 1-Jul Pay 500 for July truck rental 3-Jul invoice customer A $900 for service completed customer will pay in 10 days. 5-Jul the board of directors declared a cash divdiend of $11,000, to be paid on 7/31. 7-Jul Paid employee $6,000 for works performed during the first week of July. 10-Jul Performed a job for a new customer-- customer B. Customer will pay $500 in 30 days. 12-Jul Collected $3,500 for service performed on June 26th of 2018. 14-Jul Paid employee $4,800 for works performed during the second week of July. 15-Jul Purchased $50 of supplies on account. Supplies are consumed immediately. 15-Jul Collected $900 for service performed on 7/3. 17-Jul Incurred $430 cost for repairing am equipment. Bestplumbing paid the full amount in cash. 19-Jul Purchased $17,000 of supplies, which will be consumed over the next 12 months.
20-Jul Collected $30,000 cash from service performed on June 28th. 21-Jul Paid employees $5,750 for work performed during the 3rd week of July. 23-Jul Receive advanced $48,000 payment from a government project The payment is for 6 months of work which will be performed from August 1 of 2018 to January 31 of 2019. 25-Jul Completed plumbing work for customer C. The total price is $3,900. The customer paid $1,000 cash and will pay the remaining on august 25. 27-Jul Completed a job for customer D. Customer paid $225 cash. 27-Jul Paid $50 for the supplies purchased on 7/15 28-Jul Pay the employees $6300 for work performed during the 4th week of july. 31-Jul invoice customer E $33,000 for service completed - customer will pay in 20 days. 31-Jul pay the cash dividend which was declared on 7/5. Additional Information: 1 The depreciation expense for the month is estimated to be $2,400. 2 At the end of July, there are $15,550 supplies on hand. 3 For the last 3 days (29,30, 31) of work on July, the employees earned $4,200 of wages, which have not been paid yet. 4 On 2/1/2018, BestPlumbing received advanced payment from the government office for works to be performed from Febrary to July. Per the contract with the government, Bestplumbing can recognize $8,000 of the advanced payment as revenue in July. 5 The bank informs Bestplumbing that the interest on the loan for July is $150. Instructions: 1. Prepare journal entries for each event (show work on worksheet "JE"). Prepare the general ledger accounts (T-accounts) on a piece of paper or on your computer. But you do not need to show your work for this. 2. Prepare adjusting entries (show work on worksheet "ADJ. JE"). 3. Prepare adjusted trial balance (show work on worksheet "ADJ. TB"). 4. Prepare Income Statement, Retained Earnings Statement, Balance Sheet, and Statement of Cash Flows (show work on FSs). 5. Prepare closing entries (show work on "closing JE").
BestPlumbing, Inc. Balance Sheet As of June 30, 2018 ASSETS Current assets cash 28,250 Accounts Receivable 43,500 Supplies 4,375 Total current assets 76,125
PPE Equipment 48,000 Accumulated Depreciation (18,000) Equipment, net 30,000
Total assets 106,125
LIABILITIES Current liabilities Unearned revenue 8,000 Total liabilities 8,000
STOCKHOLDERS' EQUITY Common stock 50,000 Retained earnings 48,125 Total stockholders' Equity 98,125
Total Liabilities and stockholders' equity 106,125

Answers

1. On July 1, 2018, BestPlumbing borrowed $45,000 from Key Bank, issued $58,000 of common stock, and purchase $84,000 of equipment for cash.

2.July 1, paid $500 for truck rental and invoiced customer A $900 for services completed, due in 10 days.

3. On July 5, declared a cash dividend of $11,000.

4. On July 7, paid employees $6,000 for work performed in the first week of July.

5. On July 10, performed a job for customer B, who will pay $500 in 30 days.

6. On July 12, collected $3,500 for services performed on June 26, 2018.

- Journal entries, T-accounts, adjusting entries, adjusted trial balance, income statement, retained earnings statement, balance sheet, statement of cash flows, and closing entries need to be prepared based on the given transactions and information. The complete process involves recording each transaction, adjusting entries for depreciation and supplies, preparing financial statements, and closing the temporary accounts.

1. Depreciation expense for the month is estimated to be $2,400.

2. At the end of July, there are $15,550 supplies on hand.

3. For the last three days (29th, 30th, and 31st) of work in July, employees earned $4,200 in wages, which have not been paid yet.

4. On February 1, 2018, Bes Plumbing received an advanced payment from the government office for work to be performed from February to July. Per the contract, $8,000 of the advanced payment can be recognized as revenue in July.

5. The bank informs BestPlumbing that the interest on the loan for July is $150.

Instructions:

1. Prepare journal entries for each event on the "JE" worksheet.

2. Prepare adjusting entries on the "ADJ. JE" worksheet.

3. Prepare an adjusted trial balance on the "ADJ. TB" worksheet.

4. Prepare the Income Statement, Retained Earnings Statement, Balance Sheet, and Statement of Cash Flows on the respective worksheets.

5. Prepare closing entries on the "Closing JE" worksheet.

Please note that the complete process involves recording each transaction, adjusting entries for depreciation and supplies, preparing financial statements, and closing the temporary accounts based on the provided information.

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Sixx AM Manufacturing has a target debt-equity ratio of 0.56. Its cost of equity is 16 percent, and its cost of debt is 10 percent. If the tax rate is 34 percent, what is the company's WACC? Round to the nearest XX.XX%.

Answers

The Weighted Average Cost of Capital (WACC) is the average rate of return a company needs to earn on its investments to satisfy its investors. It is calculated by weighting the cost of equity and the cost of debt based on the proportion of equity and debt in the company's capital structure.

In this case, Sixx AM Manufacturing has a target debt-equity ratio of 0.56, which means that for every dollar of equity, it has 0.56 dollars of debt.

To calculate the WACC, we need to determine the proportion of equity and debt in the capital structure. Let's assume the total value of the company's capital structure is $100.

Equity proportion = (1 - Debt-equity ratio) = (1 - 0.56) = 0.44

Debt proportion = Debt-equity ratio = 0.56

Next, we calculate the cost of equity and the cost of debt after considering the tax rate:

Cost of equity = 16%

Cost of debt = (1 - Tax rate) * 10% = 0.66 * 10% = 6.6%

Now, we can calculate the WACC using the formula:

WACC = (Equity proportion * Cost of equity) + (Debt proportion * Cost of debt)

WACC = (0.44 * 16%) + (0.56 * 6.6%)

WACC = 7.04% + 3.70%

WACC = 10.74%

Therefore, Sixx AM Manufacturing's weighted average cost of capital (WACC) is 10.74%, rounded to the nearest hundredth. This is the minimum return the company needs to earn on its investments to meet the expectations of its investors given its capital structure and costs of equity and debt.

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Who is down for a Amazon card trade for steam gift card

Answers

Answer:ok, sure,

Explanation:

Answer:

whats the question sir?

Explanation:

Suppose the annual rate of inflation in Brazil (BRL) is 8.50%, and the annual rate of inflation in Argentina (ARS)is 15.91%. If the ARS appreciates relative to the BRL by 4.32% in real terms, then which of the following would be correct? O a. Nominal exchange rate appreciation by 11.44%. O b. Nominal exchange rate depreciation by 2.35%. O c. Nominal exchange rate appreciation by 12.82%. O d. Nominal exchange rate depreciation by 4.18%. O e. None of the options in this question are correct

Answers

the correct answer is option A, "Nominal exchange rate appreciation by 11.44%."

A student is graduating from college in six months but will need a loan in the amount of $3,725 for the last semester. the student may receive either an unsubsidized stafford loan or a plus loan. the terms of each loan are: unsubsidized stafford loan: annual interest rate of 4.65%, compounded monthly, with a balance of $3,901.95, at the time of repayment plus loan: annual interest rate of 5.65%, compounded monthly with payment deferred until graduation which loan will have a lower balance and by how much at the time of repayment?

Answers

A loan will have a lower balance and by much at the time of repayment $142.13.

What is loan?

A loan is any sum of money, a piece of property, or other tangible item that is given to another party with the understanding that it will be paid back, plus interest, at a later date. A loan was the pay with interest.

Calculated the repayment of loan:

Given,

loan in the amount of $3,725

Annual interest rate of 4.65%

compounded monthly, with a balance of $3,901.95

annual interest rate of 5.65%

monthly interest rate is 4.65% ÷ 12

monthly interest rate = 0.3875%.

monthly interest rate is 5.65%  ÷ 12

monthly interest rate = 0.4708%.

balance = principal x (1 + monthly interest rate)^ number of compounding periods

balance = $3,725 x \((1 + 0.003875)^6\)

balance = $3,901.95

balance = principal x (1 + monthly interest rate)^ number of compounding periods

balance =  $3,725 x \((1 + 0.004708)^6\)

balance = $4,044.08

Amount of loan = $4,044.08 - $3,901.95

Amount of loan = $142.13.

As a result, the significance of the loan will have a lower balance in period of repayment is $142.13.

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during times of financial distress, the selfish actions of shareholders may lead to the expropriation of wealth from ___.

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During times of financial distress, the selfish actions of shareholders may lead to the expropriation of wealth from bondholders .

In the times of "financial-distress", the selfish actions of shareholders may lead to the expropriation of wealth from bondholders as well.

The "Bond-holders" are the creditors who have invested in the company's debt, and their interests may not be aligned with those of shareholders.

In times of financial distress, shareholders may prioritize their own interests over those of bondholders, which lead to actions that harm the value of the company's debt, such as defaulting on payments or restructuring the debt in a way that is unfavorable to bondholders.

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Which is the highest need of a human as perceived by Maslow’s hierarchy of needs?
A. belongingness
B. self-actualization
C. safety
D. basic needs

Answers

i think it’s self-actualization

According to Maslow's hierarchy of needs, the highest need of a human is self-actualization.

Self-actualization is the need to reach one's full potential and to become the best version of oneself. It is the need to be creative, to understand oneself, and to understand the world around us. It is the need for self-fulfillment and self-expression.

Self-actualization is the highest level of Maslow's hierarchy of needs because it is only when all the lower-level needs, such as basic needs, safety, belongingness, and esteem, have been met that an individual can truly focus on self-actualization. Without these lower-level needs being met, an individual will not have the resources or emotional stability to focus on self-actualization.

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when loan payments are amortized, the total amount you owe every month remains constant but the amount of interest you own decrease every month. true or false

Answers

It is true that when loan payments are amortized, the total amount you owe every month remains constant but the amount of interest you owe decreases every month.

What happens when loan payments are amortized?

When loan payments are amortized, the total amount you owe every month remains constant but the amount of interest you owe decreases every month. This is because the payments are structured to pay off both principal and interest, with more of the payment going towards interest at the beginning of the loan term and more going towards principal as the loan matures.

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what is typically considered to be the weakest link in emergency incident decision making?

Answers

The weakest link in emergency incident decision making is often communication.

Communication is typically considered to be the weakest link in emergency incident decision making. During a crisis, effective and timely communication is crucial for coordinating response efforts and ensuring that all relevant information is shared among the individuals and organizations involved. However, various factors can impede the flow of communication and compromise decision-making processes.

One key challenge is the sheer complexity of emergency incidents, which often involve multiple agencies, personnel from different disciplines, and varying levels of authority. In such situations, the need for clear and concise communication becomes even more critical, as misunderstandings or misinterpretations can lead to misinformed decisions or delays in response.

Additionally, the high-stress nature of emergency incidents can impact communication effectiveness. Under pressure, individuals may struggle to articulate their thoughts clearly or may misinterpret information received, leading to confusion or miscommunication. Moreover, the presence of conflicting priorities, information overload, and time constraints can further hinder effective communication during emergencies.

To address this weak link, it is crucial to prioritize effective communication strategies and establish clear protocols and channels for sharing information. This includes utilizing standardized communication systems and technologies, conducting regular training and exercises to enhance communication skills, and fostering a culture of open and transparent communication within emergency response teams.

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what effect will a low economic growth have on the country

Answers

Answer:

it can lead to national poverty and economy crisis

Which of the following would most likely negatively affect a person's net worth?

A. A $25,000 salary
B. A $500 savings bond
C. A $500,000 mortgage
D. A $5,000 money market account

Answers

Answer: c

Explanation:

$500,000 mortgage would most likely negatively affect a person's net worth. Thus, option (c)  a $500,000 mortgage is correct.

What is net worth?

Totally unrelated to income is what is meant by the phrase "net worth." Liabilities are subtracted from assets to arrive at the person's own net worth. The wealthy possess possessions including real estate, investments, jewels, memorabilia, cars, and so on. A period of emergencies is covered by the net worth.

A person's personal net worth is significantly impacted by a $500,000 mortgage. The amount of money saved by the individual who wants to spend it is their net worth. The net worth mostly consists of investments and personal savings. Money accumulates to form the net worth.

The mortgages are highly impact on net worth. The net worth are personal liabilities minus to personal asset.

Therefore, option (c)  a $500,000 mortgage is correct.

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The outer edge of a circular running track is 330m long. If it is widened by 7m all around, find the cost of widening it at 8 per square metre.​

Answers

Answer:

Here given that perimeter of circular running track =330m

Let radius=r

As we know that in a circle

\({\boxed{\sf Perimeter=2\pi r}}\)

Substitute the values

\(\qquad \quad{:}\longmapsto\tt 2\times\dfrac {22}{7}×r=330 \)

\(\qquad \quad{:}\longmapsto\tt \dfrac {44}{7}r=330 \)

\(\qquad \quad{:}\longmapsto\tt r=\dfrac {330×7 }{44}\)

\(\qquad \quad{:}\longmapsto\tt r=\dfrac{2310}{44}\)

\(\qquad \quad{:}\longmapsto\tt r=52.5 \)

\(\therefore\sf r=53m (Approx)\)

Again

\({\boxed{\sf Area=\pi r^2 }}\)

Substitute the values

\(\qquad \quad{:}\longmapsto\tt Area=\dfrac{22}{7}×(53)^2 \)

\(\qquad \quad{:}\longmapsto\tt Area=8828.2m^2 \)

\(\therefore\sf Area=8828m^2 (Approx)\)

Now

the radius is increased by 7m

Hence

New radius=(x+7)m=53+7=60m

New Area=

\(\qquad \quad{:}\longmapsto\tt \pi. r^2 \)

\(\qquad \quad{:}\longmapsto\tt \dfrac {22}{7}(60)^2 \)

\(\qquad \quad{:}\longmapsto\tt \dfrac {22}{7}×3600 \)

\(\qquad \quad{:}\longmapsto\tt 11314.28m^2 \)

\(\therefore\sf AREA=11314m^2 (Approx).\)

now

Area of widened Area=New area-Old Area

\(\qquad \quad{:}\longmapsto\tt 11314-8828 \)

\(\qquad \quad{:}\longmapsto\tt 2486m^2 \)

Cost of widening per square=8

Total cost=

\(\qquad \quad{:}\longmapsto\tt 2486×8 \)

\(\qquad \quad{:}\longmapsto\tt 19888\)

\(\therefore\sf Total\:cost\:is\: 19888.\)

Can't understand the attachment?

Here is a latex diagram for your question.

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The outer edge of a circular running track is 330m long. If it is widened by 7m all around, find the

In which market would a producer sell bicycles to consumers?

Answers

In the markets for goods and services, a producer would sell his bike for purchase by customers.

What is the market for goods and services?

Consumers buy consumables on the products and services market, and firms sell their commodities there. The market encompasses physical stores, the Internet, and any other location where consumers can exchange products and services.

The trading of finished goods takes place here. Businesses receive payment from customers in exchange for goods. The consumer gives money to the business in a flow. In contrast to this, enterprises can buy the materials they need on the factor market to make an item.

The rule of supply and demand governs how much is produced and at what price in the market for products and services.

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Explain the importance of team dynamics (plz help)

Answers

Team dynamics in the workplace are important because they impact creativity, productivity and effectiveness. Since group work is integral to organisations, improving group dynamics can lead to better work outcomes, customer satisfaction and an improved bottom line.

What accounts are affected. issued check $644 to pay for an advertisement

Answers

Answer:

Bank and Advertisement accounts

Explanation:

Journal entries

Advertisement       A/c Dr     $644

To Bank               A/c                $644  

(Being advertisement expenses made by cheque)

Bank and Advertisement accounts are affected

Programs to increase the energy supply the United States can generate for itself is considered not only good for the economy, but also good for national security. Why do you think energy production falls under the concerns of national security? (Select all that apply.)

The US has limited oil reserves, so we must negotiate with foreign nations for to constantly replenish our inventory of crude oil.

Foreign nations charge too much for oil.

An over reliance on foreign nations for our oil supply makes us vulnerable to their influence and demands.

In the event of a petroleum crisis resulting as an effect of a war among several Middle East nations, the U.S. must have in place alternate sources of energy to prevent an economic crisis within our borders.

Answers

Energy production falls under the concerns of national security because:

C: An over-reliance on foreign nations for our oil supply makes us vulnerable to their influence and demands.

D: In the event of a petroleum crisis resulting from a war among several Middle East nations, the U.S. must have alternate sources of energy in place to prevent an economic crisis within our borders.

National security encompasses various aspects, including economic stability and independence. When a country heavily relies on foreign nations for its energy supply, particularly oil, it becomes susceptible to geopolitical risks, market volatility, and potential disruptions caused by conflicts or political tensions. This reliance can hinder the nation's ability to respond effectively to energy-related crises or exert its influence in global affairs.

By diversifying and increasing the energy supply that the United States can generate for itself, the country can enhance its energy security. Developing alternative energy sources, reducing dependence on foreign oil, and investing in domestic energy production contribute to a more stable and resilient energy infrastructure. This, in turn, helps protect the nation's economy and reduce vulnerability to external factors.

Therefore, the correct options are C and D.

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During the first quarter of the Super Bowl, Chris keeps track of actual game time vs. time devoted to commercials. Game time amounted to 35 minutes; commercials comprised 14 minutes. What fraction of the total time was the actual game shown? *

Answers

Answer:

5/7

Explanation:

The total time will be the aggregate of commercials and game time

=35 mins + 14 mins

=49 mins

game times as a fraction of total time

=35/49

=5/7

What best describes the relationship between short and long-term goals?​

Answers

Short term goals are what you set in order to eventually achieve a long term goal; They are the little achievements you achieve in the process of the long term goal- They help keep you on track.

When making decisions, managers often must decide between doing what is beneficial for the firm in the short term, and what is beneficial for both the firm and society in the long term. To address this conflict, a firm must

Answers

When making decisions, managers are often faced with a conflict between what is beneficial for the firm in the short-term and what is beneficial for both the firm and society in the long-term.

This conflict arises because the actions that benefit the firm in the short-term may not necessarily align with the interests of society as a whole, which can lead to negative consequences for both the company and society in the long-term.

To address this conflict, a firm must adopt a long-term orientation and consider the broader social and environmental impacts of its decisions. This means looking beyond immediate financial gains and recognizing that actions taken today can have far-reaching implications for the company's reputation, customer loyalty, employee morale, and overall sustainability.

Firms that prioritize social responsibility and sustainable business practices are more likely to build strong relationships with stakeholders, including customers, employees, investors, and regulators. They are also better equipped to weather economic downturns and other disruptions, as they have diversified their risk and invested in building resilient supply chains and communities.

Ultimately, the key to addressing the conflict between short-term gains and long-term benefits is a commitment to corporate social responsibility (CSR) and sustainable business practices. By prioritizing the needs of society and the environment alongside those of shareholders, firms can create value for all stakeholders over the long-term, ensuring their continued success and impact.

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in the video clip from the office when the women were communicating with a client, they were using verbal communication to connect and relate.a. true b. false

Answers

The statement is False. In the video clip from the office when the women were communicating with a client, they were using verbal communication to connect and relate.

The conversation is the financial system's engine for alternatives and its gateway to new assets and opportunities. It connects key players in the financial system, promotes their communication, and informs their regulations. communique refers to connecting human beings as a way to arrange them with a view of using a not-unusual purpose. Economics of conversation is ready to make use of micro and macroeconomic principles to fee correctly join, prepare, and attain certainly defined goals.

Leaders global capitalizes on an extensive local and global community of professionals and companions to inspire thru human-hobby memories and teach via insightful evaluation and studies. In doing so, we pay acute interest to the media choices of various audiences, the neighborhood context, and the specific needs of vulnerable communities.

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Gamma Corporation has a December 31 st year-end. When moving into its new office on November 1st, Gamma paid $21,600 for 18 months of rent. What type of account did Gamma debit on November 1st? What account would Gamma debit in its December 31st adjusting journal entry? What account would Gamma credit in its December 31 st adjusting journal entry? What is the amount of the debit and credit in the December 31 st adjusting journal entry? Question 8 8 pts Gamma Corporation decided in 2021 to dispose of one of its divisions. The sale was completed on October 1, 2021. From 2021 until the date of the sale, the division disposed of reported a loss on operations of $47,547 net of tax. The book value of the division on October 1,2021 , is $444,827. The division sold for $532,608 net of tax. Gamma has calculated income from Continuing Operations to be $850,000. What is the amount of net income Gamma will report on its year-end 2021 income statement?

Answers

The net income Gamma will report on its year-end 2021 income statement is $890,231.

On November 1st, Gamma Corporation would debit the "Prepaid Rent" account for $21,600. In its December 31st adjusting journal entry, Gamma would debit the "Rent Expense" account for an amount representing the portion of rent used during the year (10/12 of the total rent paid), and credit the "Prepaid Rent" account for the remaining prepaid rent (2/12 of the total rent paid). The amount of the debit in the December 31st adjusting journal entry would be the portion of rent expense incurred during the year, and the credit would be the remaining prepaid rent.

For the second question, to calculate the net income Gamma will report on its year-end 2021 income statement, we need to consider the loss on operations of the disposed division, the book value of the division, and the income from continuing operations. The net income would be the income from continuing operations minus the loss on operations of the disposed division, plus the gain from the sale of the division. The net income can be calculated as follows:

Net income = Income from continuing operations - Loss on operations of disposed division + Gain from sale of division

Net income = $850,000 - $47,547 + ($532,608 - $444,827)

The calculated amount will represent the net income Gamma will report on its year-end 2021 income statement.

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An important characteristic of empowerment is that it

signifies a complete transfer of responsibility and accountability from a manager to a subordinate.

is not incorporated readily into modern management styles.

can motivate employees to take a less active role in leadership.

gives managers more time to concentrate on other important concerns.

increases managers' involvement in routine tasks

Answers

An important characteristic of empowerment is that it gives managers more time to concentrate on other important concerns. Therefore option C Is correct.

What is empowerment?

Involving staff members in decision-making at all levels of management and delegating some authority and responsibility to them are both considered forms of empowerment.

The most popular methods of empowerment include participation on boards, stock options, collective bargaining, job enrichment and expansion, quality circles, suggestion schemes, comprehensive quality management, self-managed teams, etc.

The organization will be more responsive to challenges or concerns if it is empowered. Additionally, a worker's productivity rises because he is fully committed to the company and makes judgments that benefit the business as a whole.

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An example of a cost is _____.


revenues

principal and interest on loans

tornadoes

profits

Answers

An example of a cost is profits.

in the base year, what can we say about real gdp and nominal gdp?

Answers

In the base year, we can say that nominal GDP and real GDP are equal, but in subsequent years, real GDP provides a better measure of economic performance by adjusting for inflation.

In the base year, the inflation rate is zero, which means that the nominal GDP and real GDP are equal. This is because the prices of goods and services in the base year are used to calculate both nominal and real GDP. Therefore, in the base year, we can say that nominal GDP and real GDP are equal.

However, in subsequent years, as prices change, there will be a difference between nominal GDP and real GDP. This difference is due to inflation, which causes the prices of goods and services to increase over time.

As a result, nominal GDP will tend to overstate economic growth, while real GDP will provide a more accurate measure of economic performance by adjusting for inflation.

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You live near the beach and want to give snorkeling lessonsYou estimate that after expenses , you can earn $10 per lesson. Each lesson will be one-hour long, and you will offer lessons days a week. Your income goal is $ 15,000 per year. How many lessons do you need to give to achieve this goal? Is this goal realistic?

Answers

Answer:

Thats 700 a week

Explanation:

10 per lesson- 60 mins-weekly

A person who does not have capacity to contract may later contract.
A. accept
B. disaffirm
C. counteroffer
D. enforce​

Answers

Answer:

B.) Disaffirm

Explanation:

I just took it and got it correct

Answer:

B

Explanation: I just took it

is matthew mark luke and john jewish

Answers

Mark and John were jewish but luke was greek

You manage a bond portfolio and believe that market interest rates are going lower over the next several months. to profit from your belief, you should:_____.

Answers

You manage a bond portfolio and believe that market interest rates are going lower over the next several months. to profit from your belief, you should buy more asset to increase portfolio.

The modified period can be computed through the use of calculus which is performed by differentiating the bond's pricing feature from the prevailing price of the destiny cash flows with admire to the bond's yield and then multiplying the result with the aid of 1/P. long-time period bonds lock up an investor's money for a longer length than a short-time period bond.

This leaves more time for interest charge movements and inflation to affect the bond's fee. The fee of a long-term bond is greater sensitivity to a given exchange in hobby quotes than the charge of quick-term protection. The long-term bond provides fixed bills for an extended period of time. therefore, it'll provide those constant bills, whether or not hobby prices decline or upward push. Floating-price bonds are maximum probably to keep a constant marketplace price.

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What did Roosevelt believe that Taft's focus on breaking up trusts would do?

Answers

Taft's emphasis on dismantling trusts, in Roosevelt's opinion, would destroy the system of collaboration and regulation he had set up.

The system of cooperation and regulation that Roosevelt had established with large business, in Roosevelt's opinion, was being destroyed by Taft's focus on dismantling trusts. Roosevelt thought Taft's emphasis on dissolving trusts was misguided.

In fact, Taft filed more antitrust lawsuits during his four years in office than Roosevelt had in his seven and a half. Compared to Roosevelt, Taft was less in favour of having the executive branch of the federal government oversee trust activities.

Theodore Roosevelt cultivated a reputation as a person who broke trust. Political pressure forced him to take action against the trusts. In actuality, TR did not destroy trust. Roosevelt consistently maintained that there was a power greater than that of even the biggest, wealthiest business organization.

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