In a FOI system, the onhand inventory level
a. jumps to the target level each time a replacement order is received.
b. rarely, if ever, makes it as high as the target level.
c. can jump higher than the target leve

Answers

Answer 1

The correct option is Option a. - the on-hand inventory level jumps to the target level each time a replacement order is received. Option c is also possible in certain situations. In a FOI (Fixed Order Interval) system, the on-hand inventory level refers to the quantity of goods or products that a company has in stock at any given time.

The target level, on the other hand, is the ideal inventory level that the company wants to maintain to meet customer demand without carrying excess inventory.
When a replacement order is received in a FOI system, the on-hand inventory level jumps to the target level. This is because the replacement order is triggered when the on-hand inventory level drops below the reorder point. The reorder point is set at a level that ensures that the inventory is replenished before it reaches a critically low level.
Therefore, option a is correct - the on-hand inventory level jumps to the target level each time a replacement order is received. This ensures that the company has enough inventory to meet customer demand until the next replacement order is received.
Option b is not entirely accurate because the on-hand inventory level may sometimes make it as high as the target level, depending on how closely the reorder point is set to the target level. However, the main aim of a FOI system is to maintain inventory levels that are as lean as possible to reduce carrying costs.
Option c is also possible in certain situations. For example, if a company experiences a sudden increase in demand or receives a larger-than-usual replacement order, the on-hand inventory level may jump higher than the target level. However, this should be a temporary situation, and the company should adjust the reorder point to maintain the target inventory level.

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Answer 2

Answer: c. The onhand inventory level can jump higher than the target level in a FOI (Fixed-Order Interval) system.

In a FOI system, inventory is ordered at fixed time intervals, regardless of the current inventory level. Therefore, if the current inventory level is higher than the target level, the system will not place an order, resulting in the inventory level increasing above the target level. On the other hand, if the current inventory level is lower than the target level, the system will place an order to bring the inventory level up to the target level. As a result, the onhand inventory level in a FOI system can jump higher than the target level, depending on the order quantity and lead time.

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Related Questions

Read the following descriptions. Decide who demonstrates good habits and attitudes.


Michael likes his job. He decides to take a few finance classes so that he becomes better at his job. This will also help in case he wants to transfer to a new position in the same company.

Bryan thinks he has the best job. He thinks he is already doing the best he can and doesn't do anything to improve his skills.

Answers

Answer:

Michael demonstrates good habits and attitude

Explanation:

Michael likes his job and takes the initiative to do better so he can get a new position,however Bryan is very cocky and doesn't try to get better.

What expansionary fiscal tools can be used to promote employment and economic growth when price levels are not a concern?

Answers

Expansionary fiscal tools can be used to promote employment and economic growth when price levels are not a concern including increasing government spending, decreasing taxes, or increasing government transfers.

What is the purpose of expansionary fiscal tools?

The purpose of expansionary fiscal tools is to augment growth to a healthy economic level, which is significantly required during the contractionary phase of the business cycle.

In this phase, the government has the desire to decline the standard of unemployment, enhance consumer demand, and circumvent a recession. If a recession has already taken place, then it searches to end the downturn and prevent a recession.

According to the context of this question, each expansionary fiscal tool has its own terms and condition which is imposed on the basis of certain criteria. For this, enhancing the spending of the government, reducing the taxation rates, increasing the transfer made by the government, etc. are the major ones.

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Frank is an employee of guitar makers, llc. guitar's employee manual states that workers, such as frank, will be dismissed only for good cause. with respect to the employment-at-will doctrine, this is

Answers

Answer: An exception based on contract theory.

Explanation:

Contract theory is an agreement reached by two parties over a set of deal to be entered, these negotiation met guides what the agreement is all about, violators of the agreement would attract extra bodies(Law makers) to come into their decision. At Ilc, if the guitar producers only release their workers based on good cause, it's seen as a contract theory, based on what both parties agreed.

The CDC for hospitals and healthcare facilities to improve

The CDC for hospitals and healthcare facilities to improve

Answers

The CDC makes investments in infrastructure and healthcare systems to make them secure settings for patient care.

What are the Centers for Disease Control and Prevention?

The Centers for Disease Control and Prevention (CDC) is a government organization that carries out and supports health promotion, prevention, and preparedness operations in the United States. The Department of Health and Human Services oversees the CDC, which was founded in 1946.

Access resources and advice to help healthcare facilities plan, function efficiently, and handle surges.

Thus, CDC helps in improving the plans and functions efficiently to handle surges.

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Which factors can affect a stock's price check all that apply Brainly?.

Answers

Market performance, the company’s financial health and the economy can affect a stock's price.

Stock prices may increase if it appears that the economy will grow. Investors may purchase more stocks with the belief that future gains and greater stock prices are on the horizon. Investors may start selling or cut their buying if the economic picture is unsure.

The stock prices of businesses in the same sector frequently move in lockstep with one another. This is due to the fact that businesses within the same industry are typically impacted similarly by market conditions.

However, if two businesses are vying for the same market, occasionally bad news for one will boost the stock price of the other. A company's market capitalization and, by extension, its market value are impacted by changes in share prices. A company's market value increases with higher share prices, and vice versa.

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Correct question:

Which factors can affect a stock's price? Check all that apply.

market performance

the company's financial health

the quantity products produced

location of the company

the economy

Language is the most complex challenge global marketers face.

True
False

Answers

Answer: False

Explanation:

This next part requires a little outside effort: obtain a pencil and a mirror and place the pencil upright about 10 cm in front of the mirror. Place your head so you can see the image of the pencil in the mirror. Then move your head from side to side. Where does the image appear to be located

Answers

When you move your head from side to side while looking at the image of the pencil in the mirror, the image appears to be located on the opposite side of the mirror.

When you perform the described experiment with a pencil and a mirror, placing the pencil upright about 10 cm in front of the mirror, and observe the image while moving your head from side to side, you will notice that the image appears to be located behind the mirror.

The mirror creates a reflection of the pencil, forming a virtual image. As you move your head from side to side, the image appears to move in the opposite direction, giving the illusion that it is located behind the mirror.

This phenomenon is due to the way light rays interact with the mirror's surface, resulting in the formation of a virtual image that is perceived as if it were located on the other side of the mirror.

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Marginal cost is
a) on average, what each unit of output costs to produce or obtain. b) the only thing necessary to consider for making rational decisions. c) the cost of obtaining or producing one more unit of something.

Answers

Marginal cost is the cost of obtaining or producing one more unit of something. Marginal cost is calculated by taking the difference between the total cost of production at two levels of output.

The statement "Marginal cost is the cost of obtaining or producing one more unit of something" is true. The marginal cost is the change in the cost of production due to a change in the production rate of a good or service. It is one of the most significant cost considerations for a producer when deciding whether or not to increase output.Below are other key points to keep in mind:Marginal cost refers to the change in the cost of production due to a change in production volume. For example, the total cost of producing 100 units is $10,000, while the total cost of producing 101 units is $10,200. Marginal cost is calculated by subtracting the total cost of producing 100 units from the total cost of producing 101 units ($10,200 - $10,000 = $200). Marginal cost is $200. In this scenario, it costs $200 to produce an additional unit.

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why must an employer implement an exposure control plan? a. to reduce their malpractice insurance premiums b. to ensure that the employer does not receive penalties for not doing so c. to ensure proper employee protection measures d. to make sure all employees are trained on hipaa guidelines

Answers

The reason  an employer implement an exposure control plan is:  c. to ensure proper employee protection measures .

What is exposure control plan?

Employers develop an exposure control strategy to safeguard workers from potential workplace exposures to dangers like chemicals, infectious materials, or bloodborne infections.

Employers can uphold their moral and legal duties to create a secure workplace for their workers avoid workplace accidents or illnesses, and guarantee adherence to occupational health and safety laws by developing an exposure management strategy.

Therefore the correct option is C.

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Countries rely on each other for good and services, this is called economic
A
balance of trade
B
interdependence
с
international trade
D
quota

Answers

Answer:

B. interdependence

Explanation:

Trade can be defined as a process which typically involves the buying and selling of goods and services between a producer and the customers (consumers) at a specific period of time.

Economic integration can be defined as a strategic trade arrangement between countries to eliminate or mitigate trade barriers, as well as coordinate fiscal and monetary policy among its members.

There are different types of market or trade bloc used in economic integration and these includes;

I. Customs union

II. Free trade area

III. Common market

IV. Political union

VI. Economic union

A free trade area (zone) can be defined as an economic area wherein goods are exported or imported from one country to another without being subjected to normal trade laws such as quotas, bureaucratic requirements and tariffs of the country. Thus, a free trade area (zone) stimulates or enhances foreign trade, investment and globalization.

Hence, when countries rely on each other for good and services, this is called economic interdependence.

Economic interdependence can be defined as a situation in which two or more individuals, organizations or countries depend on one another through the exchange of goods and services, in order to meet their demands or needs.

Fuzhou Spa is considering adding one of two services, seaweed body wraps or hot stone massages. The seaweed body wrap will result in additional revenues of $500 and costs of $100. The hot stone massages will result in additional revenues of $500 and costs of $300. The relevant (s)pieces of information in this decision is (are) Select one:
a. all the information is relevant
b. none of the information is relevant
c. the additional costs
d. the additional revenues

Answers

The relevant pieces of information in this decision are the additional costs and the additional revenues. In this case, Fuzhou Spa is considering adding either seaweed body wraps or hot stone massages as new services.

For the seaweed body wrap service, it will result in additional revenues of $500 and additional costs of $100. On the other hand, the hot stone massage service will also result in additional revenues of $500, but with higher costs of $300.

To make an informed decision, it is crucial to consider both the additional costs and the additional revenues. By comparing these two factors, Fuzhou Spa can determine which service will be more profitable.

In this scenario, the additional revenues for both services are the same at $500. However, the additional costs differ. The seaweed body wrap has lower costs of $100, while the hot stone massage has higher costs of $300.

Based on this information, Fuzhou Spa can calculate the profit for each service by subtracting the additional costs from the additional revenues.

For the seaweed body wrap: $500 (revenues) - $100 (costs) = $400 profit.
For the hot stone massage: $500 (revenues) - $300 (costs) = $200 profit.

From this analysis, it is clear that the seaweed body wrap service would be more profitable, as it generates a higher profit of $400 compared to the hot stone massage's profit of $200.

Therefore, in this decision, the additional costs and the additional revenues are the relevant pieces of information.

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During the listing presentation, it would be appropriate for broker Ted to present the statutory written statement regarding brokerage services. Ted should also caution the sellers that until they definitely decide to list with him, they should not reveal information that may later hurt their negotiation position with a buyer because Ted might later be required to reveal that information should he be dealing with a buyer-client. What else should Ted discuss with the sellers during the listing presentation

Answers

Answer: a. The listing agreement they will use

b) Ted's office policy regarding intermediary brokerage

c) Ted's office policy regarding commission splits with "other" brokers

Explanation:

Apart from the fact that the statutory written statement regarding the brokerage services will be presented, it is appropriate for Ted to discuss the following with the sellers.

• The listing agreement they will use

• Ted's office policy regarding intermediary brokerage

• Ted's office policy regarding commission splits with "other" brokers.

These are needed to ensure that both the sellers and the buyer understands each other's stand and the agreement that are in place to ensure a smooth transaction.

Click this link to view O*NET’s Skills section for Postal Service Mail Carriers. Note that common skills are listed toward the top and less common skills are listed toward the bottom. According to O*NET, which common skills are needed by Postal Service Mail Carriers? Select two options.
active listening
critical thinking
repairing
instructing
equipment maintenance

Answers

Answer:

AB

Explanation:

got it right

a project will produce an operating cash flow of $7,300 a year for three years. the initial investment for fixed assets will be $11,600, which will be depreciated straight-line to zero over the asset's 4-year life. ignore bonus depreciation. the project will require an initial $500 in net working capital plus an additional $500 every year with all net working capital levels restored to their original levels when the project ends. the fixed assets can be sold for an estimated $2,500 at the end of the project, the combined tax rate is 23 percent, and the required rate of return is 12 percent. what is the net present value of the project?

Answers

The net present value of the project is $9,224, which is positive and indicates that the project is acceptable as it generates a return greater than the required rate of return.

To calculate the net present value (NPV) of the project, we need to determine the initial investment, operating cash flows, terminal cash flow, and the required rate of return.

The initial investment is the sum of the fixed asset investment and net working capital investment, which is:

Initial investment = Fixed asset investment + Net working capital investment

Initial investment = $11,600 + $500 = $12,100

The operating cash flows for the three years are given as $7,300, so the total cash flows over the life of the project are:

Total cash flows = Operating cash flows × Number of years

Total cash flows = $7,300 × 3 = $21,900

To calculate the terminal cash flow, we need to find the after-tax salvage value of the fixed assets. The book value of the fixed assets at the end of the project is zero, so the entire $2,500 sale proceeds will be a taxable gain. The tax on the gain will be:

Tax on gain = Tax rate × (Sale price - Book value)

Tax on gain = 0.23 × ($2,500 - $0) = $575

The after-tax salvage value is the sale price minus the tax on the gain:

After-tax salvage value = Sale price - Tax on gain

After-tax salvage value = $2,500 - $575 = $1,925

The total cash inflow at the end of the project is the sum of the after-tax salvage value and the recovery of net working capital, which is:

Total terminal cash flow = After-tax salvage value + Recovery of net working capital

Total terminal cash flow = $1,925 + $500 = $2,425

Now we can calculate the NPV of the project using the formula:

NPV = -Initial investment + PV of cash flows

where PV is the present value of the cash flows.

We can use a financial calculator or spreadsheet software to calculate the NPV. Using a financial calculator, the NPV is:

NPV = -$12,100 + $7,027 + $6,135 + $5,363 + $2,799

NPV = $9,224

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brett's bicycle shop has decided to export products to finland without using a letter of credit. one way the shop can insure against payment default would be to purchase blank insurance. multiple choice question. time draft export credit drawee sight draft

Answers

Without a letter of credit, Brett's Bicycle Shop has decided to ship goods to Finland. The acquisition of export credit insurance would be one option for the shop to protect itself against payment default.

What is insurance for export credit?

A product or service exporter is shielded from the risk of non-payment by a foreign buyer by export credit insurance (ECI). In other words, by providing the exporter with a conditional assurance that payment would be made if the overseas buyer is unable to pay, ECI greatly lowers the payment risks involved with conducting business internationally.

Simply put, exporters can safeguard their international receivables against a range of hazards that could lead to non-payment by international clients.

ECI typically covers commercial risks that could lead to non-payment, such as buyer insolvency, bankruptcy, or prolonged defaults, or slow payments, as well as some political risks, such as war, terrorism, riots, and revolution. ECI also covers expropriation, changes to import or export regulations, and currency inconvertibility.

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taxation, borrowing and spending money for the general welfare, and passing laws are examples of what type of powers?

Answers

In order for the government to be able to carry out its duties, Tax system is the ability of the sovereign to impose obligations or costs on people, property, or property rights.

What is meant by taxation?Taxation is the process through which a government or other body demands that individuals and businesses pay a tax to that authority. The cost is compulsory and, unlike other payments, is not connected to any particular services that have been or will be rendered. A tax is a compulsory payment or charge that local, state, and federal governments levy on citizens and corporations to fund essential public goods, services, and operations.Taxes on every aspect of production or manufacture, taxes on legal activities, general and selective sales taxes, value-added taxes (VAT), and customs or import charges are a few examples. A sizable amount of consumer spending is subject to general sales taxes, which are levies.

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Your classmate is telling you how they plan to become financially secure.

Which of the following factors can help him do so?


saving money

both saving and investing money

investing money

neither saving nor investing money

it is not just the answer "Saving money" i already took the test and that answer was wrong

Answers

Answer:

both saving and I vesting

Four students are at an extracurricular activity fair at their high school and are trying to decide which clubs to join. Some information about the students is listed in this chart:

Answers

Answer:

Hello your question is incomplete below is the missing part of your question

A 2-column table with 4 rows. Column 1 is labeled Student with entries Eleanor, Russel, Giada, Joe. Column 2 is labeled Hobbies with entries is already in B P A but is looking for a similar club to join as well; enjoys being treasurer for school band and drama club, and wants to join a club to help him learn more about these skills; builds remote-control cars and robots as a hobby; wants to be a stay-at-home dad and be involved in the homeowners association for his future.

Which describes which CTSO each student should join?

Answer :   option A).

Explanation:

It is necessary that each student should join a CTSO based on his/her interests which means that Eleanor should join NYFEA (National Young Farmer Educational Association) , Russell should join FEA(Future Educators Association) , Giada should join TSA(Transportation Security Administration) while Joe should join HOSA(Health Occupations Students of America) secondly this various CTSO's will help the students develop better in their various areas of study and skills.

Legal authorization by a brand owner to allow another company to "rent" its brand name for a fee is called

Answers

Answer:

The appropriate answer is "License agreement".

Explanation:

A written agreement only between various firms where a property owner allows perhaps another entity throughout accordance with a certain set of requirements called a license agreement.In so far as it has jurisdiction, the consequence including its license is to terminate or ease the ruling of conflict. It should be the presumption that perhaps the license should be a province of security.

Determine what Paul will have to pay on an annual bases for his $449,000 home if his insurance company is charging him $0. 41 per $100 of value in his home. A. $153. 41 b. $220. 76 c. $1,840. 90 d. $2,649. 10 Please select the best answer from the choices provided A B C D.

Answers

The amount that Paul will have to pay on an annual bases is c. $1,840. 90.

Using this formula

Annual bases payment=Home insurance amount × Insurance charges

Where:

Home insurance amount=$449,000

Insurance charge=$0.41/$100

Let plug in the formula

Annual bases payment=$449,000×$0.41/$100

Annual bases payment=$449,000×0.0041

Annual bases payment=$1,840.90

Inconclusion the amount that Paul will have to pay on an annual bases is c. $1,840. 90.

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According to the "Negotiating Family Relationships" website you visited, if you and your siblings receive your allowance according to the amount of chores completed, your family is practicing the ___________ Model of Human relationships a. Equality Matching b. Authority Ranking c. Market Pricing d. Communal Sharing Please select the best answer from the choices provided A B C D.

Answers

The type of human relationship which a family practises if it gives allowances based on the amount of chores completed is known as:

C. Market pricing

What is Market Pricing?

This refers to the type of strategy which is based off on the valuation which is given based on the competitive strategy and the value of the product is evaluated in relation to others.

With this in mind, we can see that based on the given description of the family and the allowances received which  is based on the amount of chores completed, this is known as market pricing model of human relationships.

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Wyalusing Industries has manufactured prefabricated houses for over 20 years. The houses are constructed in sections to be assembled on customers’ lots. Wyalusing expanded into the precut housing market when it acquired Fairmont Company, one of its suppliers. In this market, various types of lumber are precut into the appropriate lengths, banded into packages, and shipped to customers’ lots for assembly. Wyalusing designated the Fairmont Division as an investment center. Wyalusing uses return on investment (ROI) as a performance measure with investment defined as average productive assets. Management bonuses are based in part on ROI. All investments are expected to earn a minimum return of 16 percent before income taxes. Fairmont’s ROI has ranged from 29. 2 to 32. 4 percent since it was acquired. Fairmont had an investment opportunity in 20x1 that had an estimated ROI of 28 percent. Fairmont’s management decided against the investment because it believed the investment would decrease the division’s overall ROI. The 20x1 income statement for Fairmont Division follows. The division’s productive assets were $23,100,000 at the end of 20x1, a 5 percent increase over the balance at the beginning of the year.


Fairmont Division Income Statement For the Year Ended December 31, 20x1 (in thousands) Sales revenue 22,500 Cost of goods sold 13,900 Gross margin 8,600 Operating Expenses: Administrative 1,800 Selling 4,300 6,100 Income from operations before income taxes 2,500.


Required:

1. Calculate the following perofrmance measures for 20x1 for the Fairmont Division.


a. Return on Investment (ROI)

b. Residual Income


2. Would the management of Fairmont Division have been more likely to accept the investment opportunity it had in 20X1 if residual income were used as a performance measure instead of ROI? Explain your answer

Answers

1. The performance measures for 20x1 for the Fairmont Division are as follows:

a. Return on Investent (ROI) is 11.09%.

b. Residual Income is ($1,108,000).

What is a performance measure?

A performance measure is a technique that measures outcomes or results, enabling management, lenders, and investors to gauge the effectiveness and efficiency of their investments.

A performance measure may be applied to the following resources:

Human resourcesEmployee timeFundingInvestments.

Data and Calculations:

Required minimum return = 16% before taxes

Ending productive assets = $23,100,000

Beginning productive assets = $22,000,000 ($23,100,000/1.05)

Average productive assets = $22,550,000 ($23,100,000 + $22,000,000)/2

Return on Investment = Income from operations before income taxes/Average productive assets x 100

= $2,500/$22,550 x 100

= 11.09%

Residual Income = Income before taxes - Cost of Capital or (Average productive assets x Minimum Required Returns)

= $2,500,000- ($22,550,000 x 16%)

= $2,500,000 - $3,608,000

= ($1,108,000)

Thus, while the Return on Investment (ROI) is 11.09%, the Residual Income is ($1,108,000).

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What types of planning can be done to improve a nation’s economy?
A nation can undergo ____ planning or ___ planning in order to improve its economy.

Answers

Answer:

A nation can undergo long-term planning or constructive planning in order to improve its economy. Long-term planning involves setting goals and implementing policies that will have an impact over a period of several years. This type of planning may involve investments in education, infrastructure, and research and development, among other areas. Constructive planning involves implementing policies that encourage economic growth and development, such as reducing barriers to trade, promoting entrepreneurship and innovation, and investing in key industries. These types of planning can help a nation to create jobs, increase productivity, and improve living standards for its citizens. THANK YOU

You estimate your annual revenue to be 50,000 + 20,000y, where y is the number of years in business. What is your estimated revenue in 5 years?

Answers

Answer:

D.) 150,000

Explanation:

Multiply 20,000 by 5 =100,00 then add 50,000

rebecca wants to borrow $5,000 for 4 years. she will repay the debt, plus the finance charges in one lump sum at the end of the 4-year period. if the lender charges her 7% simple interest, how much will rebecca pay in finance charges?

Answers

Rebecca will pay $1,400 in finance charges for borrowing $5,000 over a 4-year period with a 7% simple interest rate.

To calculate the finance charges, we can use the formula: Finance Charges = Principal x Interest Rate x Time. In this case, the principal is $5,000, the interest rate is 7% (or 0.07), and the time is 4 years.

Plugging the values into the formula, we have: Finance Charges = $5,000 x 0.07 x 4 = $1,400.

Therefore, Rebecca will pay $1,400 in finance charges over the 4-year period. This amount represents the cost of borrowing the $5,000 from the lender. It is important to note that simple interest is calculated based on the initial principal amount and does not compound over time, so the finance charges remain constant throughout the 4-year period.

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Discuss how scarcity of economic resources
leads to tradeoffs

Answers

Scarcity of economic resources requires individuals and societies to make tradeoffs by choosing between alternative uses of limited resources.

This scarcity necessitates making choices and tradeoffs. When resources are scarce, choosing to allocate them towards one particular use means sacrificing the opportunity to use them for alternative purposes.

For example, a government investing resources in building new infrastructure may have to reduce spending on healthcare or education. Individuals face tradeoffs as well, such as deciding between spending money on leisure activities or saving for the future.

These tradeoffs arise because resources are limited, and individuals and societies must make choices to allocate them in the most efficient and effective manner given their scarcity.

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Tommy Richards is paid $20.50 an hour for a regular 40-hour week. He earns time and a half if he works overtime. This week Richards worked his regular 40 hours plus 9 hours of overtime. What is his total pay

Answers

Answer:

$1,094.50

Explanation:

Regular pay is $20.50

Over time pay is $20.50 x 1.5 = $30.75

Tommy earned as follows.

Regular hours : 40 x $20.50 = $820

Overtime hours: 9 x $30.75 =$274.50

Total amount earned

= $820 + $274.50

=$1,094.50

Ellie is 15 and claimed as a dependent by her parents. She has $800 in dividends income and $1,400 in wages from a part-time job

Answers

The standard deduction for Ellie will be $1750

Age of Ellie is 15 years and is dependent on her parents.

Dividends income currently with Ellie = $800

Wages income with Ellie from her part-time job = $1400

Since Ellie is dependent on her parents and earned some income she is liable to pay tax according to standard deductions of the Internal Revenue Services(IRS)

Therefore computing the deductions:

Ellie being a dependent, her standard deductions are limited to the greater of (1) $1100 or your earned income plus $350

In this case,

Income from wages is  = $1400 which is greater than $1100

Therefore , her standard deductions will be earned income +350 = 1400 + 350 = $1750

Although a part of your question is missing, you might be referring to this full question: Ellie is 15 and claimed as a dependent by her parents. She has $800 in dividends income and $1,400 in wages from a part-time job. Compute the 2019 standard deductions.

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please help me quick :(​ (sorry meant to put chem not business)

please help me quick :( (sorry meant to put chem not business)

Answers

Air is a mixture the rest aren’t

An instrument used to enlarge or reduce a map is known as​

Answers

Answer:

pantograph

Explanation:

you can use a pantograph to do this.

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during the germinal period: question 6 options: 1) all of the organs and the major body systems have formed. 2) the mother can feel the fetus moving. 3) the zygote becomes implanted on the mother's uterine wall. 4) the pregnant woman is highly susceptible to colds and infections. what are the basics of investing in the Stock Market someone please help with my math (ill give brainliest) For the past 25 min, EMS crews have attemptedresuscitation of a pt who originally presented with V-FIB. After the 1st shock, the ECG screen displayed asystole which has persisted despite 2 doses of epi, a fluid bolus, and high quality CPR. What is your next treatment? Top Care is a company that offers residential health care services. The company has $100 million in interest-bearing debt (in book value and market value terms). The firm has 20 million shares trading at $25 a share, and the unlevered beta of firms in the health care business is 1.3. The firm has a current rating of B, with a default spread of 0.05 over the risk free rate. The risk free rate is 0.045, the equity risk premium is 0.07 and the corporate tax rate is 40%.Top Care is considering making a new investment of $ 1000000 and has come with the following estimated revenues are$4000000 , operating expenses $650000, depreciation $250000 per year. The project will end after four years. This project will require Top care to maintain working capital at 20% of revenues occurring at the beginning of each year and the working capital being recovered at the end.Estimate the debt to capital ratio for the firm.Answer for part 1Estimate the debt to equity ratio for the firm.Answer for part 2What is the beta levered for the firm?Answer for part 3Estimate the before tax cost of debt for the firm.Answer for part 4Estimate the after tax cost of debt for the firm.Answer for part 5Estimate the cost of equity for the firm.Answer for part 6Estimate the weighted average cost of capital for the firm.Answer for part 7Estimate the annual EBIT to the firm to Top Care on this investment. (You have to do it only once, since the revenues and expenses flows are the same every year)Answer for part 8Estimate the FCFF on the project for year 1.Hint: FCFF= EBIT(1-t) + depreciation - capex +or- change in net working capitalAnswer for part 9Estimate the FCFF on the project for year 2.Answer for part 10Estimate the FCFF on the project for year 3.Answer for part 11Estimate the FCFF on the project for year 4.Answer for part 12Estimate the initial investment.Answer for part 13Estimate the NPV of the project.Answer for part 14 Both the Dead Sea and the oceans contain salt water. The concentration of salt in freshwater is ------ that in salt water. The concentration of salt in the Dead Sea is ------ the concentration of salt in the oceans. Alice is opening a savings account which earns 2.2% interest, compounded continuously.How much will she need to deposit in the account so that she has $6200 after 3 years?Round your answer to the nearest dollar. Michelle ordered 200 T-shirts to sell at the school carnival. She paid $2.80 per shirt, plus 5% of the total order for shipping. When she sells each T-shirt at the carnival, she adds a 150% markup to the total price she paid for the shirt (including the cost of shipping). What is the selling price of each T-shirt? Question: Sodium Hydroxide Reacts With Magnesium Nitrate To Form Magnesium Hydroxide (MW = 58.3 G/Mol) Precipitate And Sodium Nitrate. NaOH (Aq) + Mg (NO_3)_2 (Aq) Rightarrow Mg(OH)_2 (S) + NaOH_3 (Aq) Balance The Reaction. 2 NaOH (Aq) + 2 Mg(NO_3)_2 (Aq) Rightarrow 2 Mg(OH)_2 (S) + 3 NaNO_3 (Aq) If The Change In The Internal Energy, E, Of A System Is Positive, The U.S. Bureau of Labor and Statistics reported that a person between the ages of 18 and 34 has had an average of 9.3 jobs. To see if this average is correct, a researcher selected a random sample of 8 workers between the ages of 18 and 34 and asked how many different places they had worked. The results were as follows: Which statement about the acceleration of an object is correct? a. The acceleration of an object is directly proportional to the net external force acting on the object and inversely proportional to the mass of the object.b. The acceleration of an object is directly proportional to the net external force acting on the object and directly proportional to the mass of the object.c. The acceleration of an object is inversely proportional to the net external force acting on the object and inversely proportional to the mass of the object.d. The acceleration of an object is inversely proportional to the net external force acting on the object and directly proportional to the mass of the object. Deductive means,a.from specific to generalb.from general to specificc.from positive to negative pointsd.from negative to positive points#AMAOED explain how a guide (dressed in a specific era) at a sports museum correlates to experience economy. how do I add fractions Which of the following is true about the insertion of an oropharyngeal airway (opa)? Ca2^+ (aq) + 2 OH(aq) -> Ca(OH)2what happens to the oh ions? are they all "in" the precipitate, or do some remain in solution? how can we prove where they are? an equilateral triangle 8.0 cmcm on a side is in a 6 mtmt uniform magnetic field. the magnetic flux through the triangle is 6.0 wbwb.Part A What is the angle between the magnetic field and an axis perpendicular to the plane of the triangle? theta = ________ degree in the defense mechanism known as projection, the ego attributes personal shortcomings, problems, and faults to: A nurse is talking with a young adult client who has a family history of osteoporosis. which health promotion activity should the nurse recommend? GUYS PLEASE HELP, ILL GIVE BRAINLIESTList 5 ways Chapter 7 and Chapter 13 Bankruptcies are similar: