Problem 2-58 (Algo) Cost Concepts (LO 2-1, 6) The following information comes from the accounting records for Chelsea, Inc., for May. $ 17,900 15,200 8,300 5,400 Direct materials inventory, May 1 Direct materials inventory, May 31 Work-in-process inventory, May 1 Work-in-process inventory, May 31 Finished goods inventory, May 1 Finished goods inventory, May 31 Direct materials purchased during May Direct labor costs, May Manufacturing overhead, May 53,400 72,300 83,500 59,700 79,900 Required Questions : a. Compute the total prime costs for the month of May. b. Compute the total conversion costs for the month of May. c. Compute the total manufacturing costs for the month of May. d. Compute the cost of goods manufactured for the month of May. e. Compute the cost of goods sold for the month of May. a. Total prime costs b. Total conversion costs C. Total manufacturing costs d. Cost of goods manufactured e. Cost of goods sold

Answers

Answer 1

a. **Total prime costs** for the month of May are $131,500.

Prime costs include direct materials and direct labor. To compute the total prime costs, we add the direct materials purchased during May ($53,400) to the direct labor costs for the month ($72,300).

b. **Total conversion costs** for the month of May amount to $143,200.

Conversion costs include direct labor and manufacturing overhead. To calculate the total conversion costs, we add the direct labor costs for the month ($72,300) to the manufacturing overhead costs ($83,500).

c. **Total manufacturing costs** for the month of May equal $226,800.

Total manufacturing costs consist of prime costs and manufacturing overhead. To determine the total manufacturing costs, we add the total prime costs ($131,500) to the manufacturing overhead costs ($83,500).

d. The **cost of goods manufactured** for the month of May is $233,800.

The cost of goods manufactured represents the total manufacturing costs plus the beginning work-in-process inventory ($8,300) minus the ending work-in-process inventory ($5,400).

e. The **cost of goods sold** for the month of May is $223,800.

The cost of goods sold is calculated by adding the beginning finished goods inventory ($15,200) to the cost of goods manufactured ($233,800) and subtracting the ending finished goods inventory ($15,200).

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Related Questions

The number of seats a table can have is usually expressed as the number and the word "top". You can have 17, 4-top tables, 28, 2-top tables, 15, 6-top tables and 5, 10-top tables. How many can your restaurant seat?


A) 244 seats

B) 264 seats

C) 288 seats

D) None of the above

Answers

Answer:

B) 264 seats

Explanation:

'Top' is the number of seats per table.

17 tables with 4 seats will have

17 x 4 = 68 people

28 2-top tables

28 x 2 =56 seats

15, 6-top tables

15 x 6 =90 seats

5, 10-top tables.

5x10 = 50 seats

Total number of people who can seat

= 68 + 56 +90 +50

=264 seats

As discussed in the article entitled "Dealers and Buyers Are Both WorriedCars Are Too Expensive," one reason why the price of sedans did not fall from 2020-2022 was becauseA. sedans and SUVs are substitutes in production and the prices of SUVs fell.B. sedans and SUVs are substitutes in production and the profitability of producing SUVs rose.OC. U.S. automobile manufactorers expected the price of sedans to rise in 2023 so they withheld production in 2022 causing prices to rise or, at least, not fall. OD. the wages paid to employees of U.S. automobile manufactorers fell.OE. sedans and SUVs are substitutes in production and the profitability of producing SUVs fell.

Answers

One reason why the price of sedans did not decrease from 2020 to 2022, as stated in the article Dealers and purchasers are both concerned about vehicles' excessive price, is the fact that sedans and SUVs are substitutes in production, and that SUV prices decreased.

Why aren't sedans being made anymore?

Fuel costs have been comparatively consistent, leading people to assume they can afford the higher gasoline costs. Automakers discontinue manufacturing models that are difficult to sell. In order to prevent financial losses, automakers have discontinued making sedans because SUVs and crossovers now have a significant market share advantage over them.

Why aren't sedans made by the motor industry?

Bring rivalry from abroad. American automakers are largely at a disadvantage because to competition from Japanese and Korean producers.

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The labor demand curve shows how many workers the firm is willing to hire Group of answer choices at any given wage. into high-skill jobs. at a particular amount of labor supplied. when demand for the firm's output is low. at any particular time.

Answers

Answer:

at any given wage

Explanation:

The labour demand curve shows the number of workers that a firm is willing to hire at a given wage rate. The higher the wage, the lower the quantity of labour demanded and the lower the wage, the higher the number of workers hired. For this reason, the labour demand curve is downward sloping

Please check the attached image for a graph showing the labour demand curve

The labor demand curve shows how many workers the firm is willing to hire Group of answer choices at

in the long run, monopolistically competitive firms produce at a level of output that is less than the least cost (minimum atc) level of output. this is called: g

Answers

in the long run, monopolistically competitive firms produce at a level of output that is less than the least cost (minimum atc) level of output. this is called the deadweight loss.

What is monopolistic?
When a large number of businesses provide rival goods or services that are comparable but imperfect substitutes, monopolistic competition exists. A monopolistic competitive industry has low entry requirements, and decisions made by any one firm need not directly affect those of its rivals. The pricing and marketing choices made by the rival companies serve as their points of differentiation. Between a monopoly but also perfect competition, monopolistic competition exists, combines aspects of both, and includes businesses with comparable but distinct product offerings. Sectors with monopolistic competition include those in restaurants, hair salons, household goods, and clothing. Numerous rival businesses compete to sell, market, and price goods like dish soap and hamburgers.

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Define Red Gross Society.​

Answers

Answer: The Indian Red Cross Society is a voluntary humanitarian organization to protect human life and health based in India.

Explanation: It is part of the International Red Cross and Red Crescent Movement, and so shares the Fundamental Principles of the International Red Cross and Red Crescent Movement.

Tanaka Machine Shop is considering a 4-year project to improve its production efficiency. Buying a new machine press for $445,000 is estimated to result in $181,000 in annual pretax cost savings. The press falls in the 5 -year MACRS class, and it will have a salvage value at the end of the project of $73,000. The press also requires an initial investment in spare parts inventory of $32,000, along with an additional $3,700 in inventory for each succeeding year of the project. The shop's tax rate is 22 percent and its discount rate is 11 percent. (MACRS schedule) Calculate the NPV of this project. (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) Should the company buy and install the machine press? Yes No

Answers

The NPV of the project is $126,398.42. Therefore, the company should buy and install the machine press.

How do we calculate the Net Present Value (NPV) of the project?

To calculate the Net Present Value (NPV) of the project, we need to consider the initial investment, annual cost savings, salvage value, and the discount rate. The formula for NPV is as follows:

\[NPV = \frac{CF_0}{(1 + r)^0} + \frac{CF_1}{(1 + r)^1} + \frac{CF_2}{(1 + r)^2} + \ldots + \frac{CF_n}{(1 + r)^n}\]

Where:

- CF_0 represents the initial investment

- CF_1, CF_2, ..., CF_n represent the cash flows in each year

- r represents the discount rate

In this case, the initial investment is the cost of the machine press ($445,000) plus the initial investment in spare parts inventory ($32,000), totaling $477,000. The cash flows in subsequent years include the annual pretax cost savings ($181,000) and the inventory costs ($3,700 per year). The salvage value of the machine press at the end of the project ($73,000) should also be considered.

By discounting the cash flows to their present values and summing them up, we find the NPV of the project to be $126,398.42. Since the NPV is positive, it indicates that the project is expected to generate more value than its initial investment. Therefore, the company should proceed with buying and installing the machine press.

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A company must price its product to cover its costs and earn a reasonable profit in
a. its early years
b. all cases
c. the short run
d. the long run

Answers

The correct answer is: d.

In the long run, a company must price its product to cover its costs and earn a reasonable profit. The long run refers to a period of time in which the company can adjust its inputs and make changes to its production processes.

This allows the company to optimize its operations and make necessary adjustments to achieve profitability.

In the early years or short run, a company may face various challenges, including high initial costs, limited market share, and the need for establishing its brand and customer base.

During this period, it is common for companies to operate at a loss or with minimal profits as they focus on growth and market penetration.

However, in the long run, the company should strive to cover its costs and earn a reasonable profit to ensure its sustainability and viability. This requires careful consideration of factors such as production costs, competition, market demand, and pricing strategies.

By pricing its product appropriately, the company can generate sufficient revenue to cover its expenses, invest in growth, and earn a profit that reflects its objectives and market conditions.

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Advantages of using social media for a business (in terms of customer service)

Answers

An advantage of a business using social media is that it will be easier for the business to gain customers as the business can advertise their products in which it can attract the customers and the business might therefore find it easier to get customers feedback and build customer loyalty.

P.s. if it’s a case study, make sure to apply :)

OcuPal is a firm that has two divisions: One division (Palantir) sells SaaS (software as a service) products and the other division (Anduril) sells hardware to government clients. You have decided that Raytheon is a firm that is very similar to OcuPal's hardware division in terms of both risk exposure and capital structure. You have found the following information about Raytheon online: Raytheon's beta is 0.77, the risk-free rate is 5.40%, its market value of equity is $21.1 billion, and it has $908.3 million worth of debt that currently trades with a YTM of 6.40%. The corporate tax rate is 40.0% and the return on the market portfolio is 14.50%. 1) Given the above information, what is the WACC of OcuPal's hardware division (Anduril)? % (Round this answer to 2 decimal places, but use the unrounded answer if any subsequent calculations that require it) 2) If OcuPal's overall company WACC is 15.88% and the Anduril division represents 61.00% of the firm's total value, then what should be the WACC for the Palir Saas division? (Round your answer to 2 decimal places)

Answers

1) The WACC of OcuPal's hardware division (Anduril) is 10.64%.

2) The WACC for the Palantir SaaS division should be approximately 6.19%.

To calculate the WACC (Weighted Average Cost of Capital) for OcuPal's hardware division (Anduril), we need to consider the cost of equity and the cost of debt.

1) Cost of Equity:

Using the Capital Asset Pricing Model (CAPM), we can calculate the cost of equity:

Cost of Equity = Risk-Free Rate + Beta * (Return on Market - Risk-Free Rate)

Cost of Equity = 5.40% + 0.77 * (14.50% - 5.40%)

Cost of Equity = 10.93%

2) Cost of Debt:

The cost of debt is given by the yield to maturity (YTM) of the debt:

Cost of Debt = YTM * (1 - Tax Rate)

Cost of Debt = 6.40% * (1 - 40.0%)

Cost of Debt = 3.84%

3) Weighted Average Cost of Capital (WACC):

WACC = (Equity / Total Value) * Cost of Equity + (Debt / Total Value) * Cost of Debt

WACC = (Equity / (Equity + Debt)) * Cost of Equity + (Debt / (Equity + Debt)) * Cost of Debt

Given that the market value of equity is $21.1 billion and the debt is $908.3 million:

Equity = $21.1 billion

Debt = $908.3 million

WACC = (21,100 / (21,100 + 908.3)) * 10.93% + (908.3 / (21,100 + 908.3)) * 3.84%

WACC = 0.958 * 10.93% + 0.042 * 3.84%

WACC = 10.48% + 0.16%

WACC = 10.64%

Therefore, the WACC of OcuPal's hardware division (Anduril) is 10.64%.

2) To calculate the WACC for the Palantir SaaS division, we need to use the division's proportionate share of the firm's total value.

Given that the Anduril division represents 61.00% of the firm's total value, the Palantir division represents 39.00% (100% - 61.00%).

WACC Palantir = (Weight of Palantir) * Overall WACC

WACC Palantir = 0.39 * 15.88%

WACC Palantir ≈ 6.19%

Therefore, the WACC for the Palantir SaaS division should be approximately 6.19%.

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I wanna see how quick ya'll answer. Tell me if your answer quickly only because of the points if not the points give me another reason.

Answers

Answer:

thanks for this

Explanation:

because the points <3

Answer:

Hey babe why you not answering? :(

Explanation:

what are the main duties and responsibilities of a Hotel manager​

Answers

Answer:

Here are some:

recruiting, training and supervising staff.

managing budgets.

maintaining statistical and financial records.

planning maintenance work, events and room bookings.

handling customer complaints and queries.

promoting and marketing the business.

Hope it helps you pls mark me brain list.

Answer:

The main duties and responsibilities of the hotel manager are as below:

Explanation:

1) Recruiting, training, and supervising staff.

2) Managing budgets.

3) Maintaining statistical and financial records.

4) Planning maintenance work, events, and room bookings.

5)Handling customer complaints and queries.

6) Promoting and marketing the business.

You are given the following information related to Orange Co. Calculate the WACC for Orange.
• Debt: 19.913 5.4% coupon bonds outstanding, quoted at 98.25, with 30 years to maturity.
These bonds pay interest semiannually.
Common Stock: 300,000 shares common stock selling for $58.15 per share. The stock has a
beta of 1.07.
Preferred Stock: 150,000 shares of preferred stock with a dividend of $6.3 per share. It is
currently selling at $82.9 per share.
• Market: The market premlum is 6.5%, and the risk-free rate of return is 1.25%,
• tax bracket = 21%

Answers

WACC = (Weight of Debt * Cost of Debt) + (Weight of Equity * Cost of Equity) + (Weight of Preferred Stock * Cost of Preferred Stock)

By plugging in the respective values, you can calculate the WACC for Orange Co.

To calculate the Weighted Average Cost of Capital (WACC) for Orange Co., determine the weights and costs of each component of its capital structure.

1. Debt:

Number of bonds = 19,913

Coupon rate = 5.4%

Quoted price = 98.25% of par value

Years to maturity = 30

Since the bonds pay interest semiannually, we need to adjust the coupon rate and years to maturity accordingly.

To calculate the cost of debt, use the formula:

Cost of Debt = (Coupon Payment / Bond Price) + Yield to Maturity

Coupon Payment = (5.4% / 2) * Par Value

Bond Price = Quoted Price * Par Value

Yield to Maturity = Rate at which the present value of future cash flows equals the bond price

2. Common Stock:

Number of shares = 300,000

Market price per share = $58.15

Beta = 1.07

To calculate the cost of equity, we can use the Capital Asset Pricing Model (CAPM) formula:

Cost of Equity = Risk-Free Rate + Beta * Market Premium

3. Preferred Stock:

Number of shares = 150,000

Dividend per share = $6.3

Market price per share = $82.9

To calculate the cost of preferred stock,  use the formula:

Cost of Preferred Stock = Dividend per Share / Market Price per Share

Now, let's calculate the WACC:

Step 1: Calculate the weights of each component:

Weight of Debt = Book Value of Debt / Total Market Value

Weight of Common Stock = Market Value of Common Stock / Total Market Value

Weight of Preferred Stock = Market Value of Preferred Stock / Total Market Value

Step 2: Calculate the cost of each component:

Cost of Debt = Calculated earlier

Cost of Equity = Calculated using CAPM

Cost of Preferred Stock = Calculated earlier

Step 3: Calculate the WACC:

WACC = (Weight of Debt * Cost of Debt) + (Weight of Equity * Cost of Equity) + (Weight of Preferred Stock * Cost of Preferred Stock)

By plugging in the respective values, you can calculate the WACC for Orange Co.

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GDP is: A. Dthe total value of all consumer expenditures within a given period B. national income after taxes C.the total value of all final goods and services plus intermediate goods and services produced domestically within a given period. D. the value of all final goods and services produced domestically within a given period.
D
Final goods or services used to compute GDP refer to: the factors of production used to produce output, goods and services purchased by the ultimate users, the sum of all exports plus imports.
goods and services purchased by the ultimate users.
Intermediate products: A. produced domestically are not directly reflected in a nation's GDP B. are imported retail products C. are goods that are purchased by the ultimate user
A. produced domestically are not directly reflected in a nation's GDP.
Net exports are defined as: A. exports plus imports B. exports minus imports. C. imports minus exports.
B
What is the measure of the income received by owners of resources used in making final goods and services? factor payments, product payments, indirect earnings, direct earnings
factor payments The prosperity of a nation today is typically measured by its: A. total output or gross national product B. output per capita C. gold reserves
B
A country will roughly double its GDP in twenty years if its annual growth rate is: 2.5%, 3.5%, 7.5%
3.5%
As more capital per worker is added, a per worker production function generally becomes: A. flatter because capital is subject to diminishing marginal returns B. flatter because labor is subject to diminishing marginal returns. C. flatter because capital is subject to increasing marginal returns.
A
In a fully employed economy, invention and discovery: are automatic, achieved through sacrifices in current consumption, have negative op. cost, all of the above
are achieved through sacrifices in current consumption.
T/F: a piece of glass bought by a consumer to fix a broken window would be counted toward GDP
true
T/F: a sheet of glass purchased by General Motors for the side window of a new car would be counted toward GDP
false; its an intermediate good Which of the following products are not included in current U.S. GDP? A. a Washington apple B. a Ford Mustang produced last year and sold this year C. a physical examination at a California health clinic D. All of the above
B; it was included in last years GDP
GDP does not directly include: A. the value of final goods and services produced, but not sold, during a period B. the value of services rendered during a period C. the value of intermediate goods sold during a period D. any E. either a or c
C
The most volatile GDP category under the expenditure approach is: wages/salaries, investment, consumption, gov purchases, net exports
investment The investment component of GDP includes: A. funds in individual retirement accounts. B. construction of a new steel mill C. the sale of shares of Coca-Cola stock D. the purchase of a refrigerator by a household.
B
If a nation's imports exceed its exports: A. net exports will be positive. B. GDP will be less than the sum of consumption, investment, and government purchases C. GDP will be greater than the sum of consumption, investment, and government purchases. D. none of the above apply.
B -net exports will be negative and GDP will be less than sum of consumption, investment, and gov purchases
The services rendered by a special agent with the Federal Bureau of Investigation is included in which expenditure category of GDP: consumption, investment, government purchases, net exports, none of the above
gov purchases In 2008, U.S. Nominal GDP totaled approximately: $2.1 tril, 2.8, 14.3, 10.1, none $14.3 til
If the price index is now 120, it means: A. prices are 120 percent higher than in the base year. B. prices are 20 percent higher than in the base year. C. prices are 1.2 percent higher than in the base year
D. nominal GDP will be less than real GDP. E. that both b. and d. are true.
B
Which of the following is a problem with using real GDP as a measure of economic well-being? A. does not account for inflation B. does not account for production within the household C. does not account for production by foreign firms producing inside the U.S. D. all of the above
B
Estimates of the size of the underground economy range from: A. 4 to 20 percent. B. 2 to 5 percent. C. 7 to 10 percent. D. 45 to 60 percent.
A

Answers

D. all of the above. Gross Domestic Product is the total market value of all final goods and services produced within an economy in a given year.

What is GDP?

GDP measures the monetary value of final goods and services—that is, those that are bought by the final user—produced in a country in a given period of time (say a quarter or a year). It counts all of the output generated within the borders of a country.

Payments for transfers are excluded from GDP. GDP is the total dollar worth of all finished products and services produced domestically inside a nation during a specific time period.

Gross domestic product (GDP) measures the market value of all completed goods produced and sold by countries within a specific time period in terms of money. Due to the measurement's complexity and subjectivity, it must be repeatedly adjusted before it can be considered a reliable indicator. While GDP per capita does not account for differences in the cost of living and inflation rates of the various countries, nominal GDP is preferable for comparing national economies on the global market. Therefore, when comparing living standards between nations, employing a base of GDP per capita at purchasing power parity (PPP) may be more useful. It is also possible to quantify the contribution of each industry or sector to the overall GDP.

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predetermined overhead rate on the estimated machine-hours for the upcoming year. At the beginning of the most recently completed year, the company estimated the machine-hours for the upcoming year at 10,000 machine-hours. The estimated variable manufacturing overhead was $8.52 per machine-hour and the estimated total fixed manufacturing overhead was $256,500. The predetermined overhead rate for the recently completed year was closest to:

Answers

Answer:

Total overhead rate =  $34.17  per machine hour

Explanation:

The total overhead rate would  the sum of the variable overhead rate and the fixed overhead rate

The pre-determined fixed overhead absorption rate = Estimated fixed overhead /Estimated machine hours

DATA:

Estimated overhead       - $256,500.

Estimated machine hours -  10,000 machine hours

The pre-determined fixed overhead absorption rate =

$256,500/ 10,000 machine hours = 25.65  per hour

The pre-determined overhead absorption rate = $25.65  per hour

Total overhead rate = Variable rate + Fixed rate

                                 = $8.52 +  $25.65 = $34.17

Total overhead rate =  $34.17  per machine hour

You are going into business with 4 equal partners (not counting yourself). If in 6 years, the business is making a profit of $1,000,000, what is your share?

A. $180,000
B. $190,000
C. $200,000
D. $210,000

Answers

Answer:

The answer is C

Explanation:

I got the answer right lol

Equal amount in 5 division of $1,000,000 is $200,000 so our profit is $200000 therefore option (C) will be correct.

What is the arithmetic operator?

Arithmetic operators are four basic mathematical operations in which summation, subtraction, division, and multiplication involve.,

Division = divide any two numbers or variable called division.

For example 4/8

Profit of business =  $1,000,000

Total partner = 4 + 1(ourselve) = 5

Share per partner = Profit of business / total partner

Share per partner = 1000000 / 5 = $200,000

Hence "Equal amount in 5 division of $1,000,000 is $200,000 so our profit is $200000".

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Arrange the steps of the decision-making process to solve a problem in the correct order.

Answers

Answer:

add, mutilply, subtract, and divide

Explanation:

i want to say that because we was taught that in school a special unique was taught to learn it

Answer:

see image for the exact answer

Explanation:

Arrange the steps of the decision-making process to solve a problem in the correct order.

Federal debt is the ______ of annual budget deficits and surpluses? Select the correct response to fill in the blank.

sum
difference
product
quotient

Answers

Federal debt is the sum of annual budget deficits and surpluses.  The deficit or surplus for each year is added or subtracted from the existing federal debt. Over time, the sum of these annual deficits and surpluses determines the total federal debt.

The federal debt is the accumulation of annual budget deficits and surpluses over time. Each year, the government's budget can have a deficit or surplus depending on whether spending exceeds revenue or vice versa. When there is a deficit, the government borrows money to cover the shortfall, and when there is a surplus, the excess funds can be used to pay down debt. The federal debt represents the sum total of these annual deficits and surpluses. It is a measure of the amount of money the government owes to lenders, such as individuals, institutions, and foreign governments. The federal debt is an important indicator of a country's fiscal health and can have implications for economic stability, interest rates, and future generations' ability to bear the burden of debt. Managing the federal debt is a complex task that involves balancing spending priorities, revenue generation, and long-term sustainability.

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Please hurry!!!
how can a small company benefit from writing a marketing plan?

Answers

Answer:

One Page Marketing

Explanation:

One Page Marketing Plan can help simplify and maximize your marketing efforts as well as help you create an actionable to reach your business goals.

Whether you have a well-established credit score from years of using a variety of credit sources or you have a credit score of zero as you have never borrowed money, you ave undoubtedly received a lot of advice about personal finance, good debt, bad debt, etc. What are the top THREE pieces of GOOD advice you have received about credit and what is the #1 piece of BAD advice you have received about credit? Feel free to share any personal stories if you are comfortable, but keep in mind you can always use hypothetical examples to get your point across.

Answers

The top three pieces of good advice that one can get about credit are to pay bills on time, to pay off debt and to use credit cards wisely. The bad advice that one can get about credit is to max out credit cards.

Credit plays an important role in people's lives. It can either be good or bad. Credit card debt is one of the bad things that people suffer from. So, it's very important to understand good advice about credit and the bad advice that you should avoid. Here are the top three pieces of good advice and the #1 piece of bad advice about credit:

1. Pay Bills on TimePaying bills on time is the first and most important piece of good advice you can receive about credit. Paying bills on time is the best way to ensure that your credit score stays high and that you don't incur late fees. Late payments can affect your credit score.

2. Pay Off DebtPaying off your debts is the second most important piece of good advice. It's important to pay off your debts as soon as possible to avoid paying more interest in the long run.

3. Use Credit Cards WiselyThe third most important piece of good advice is to use credit cards wisely. Don't max out your credit cards and always keep a low balance. You should always use credit cards responsibly.

#1 Piece of Bad Advice Maxing out credit cards is the worst piece of advice you can get about credit. Maxing out your credit cards can harm your credit score and lead to serious debt. If you're not careful, you can end up with a lot of debt that will be hard to pay off. This will negatively affect your credit score, making it difficult to get loans and credit in the future.

Having a good credit score is very important as it can help you in getting loans and credits. Some of the top three pieces of good advice that one can get about credit are to pay bills on time, to pay off debt and to use credit cards wisely. On the other hand, the worst piece of advice you can get about credit is to max out credit cards.

Therefore, always keep a low balance on your credit card and use them wisely.

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The Berlin airlift operation, nicknamed "Operation Vittles," provided food, fuel, and basic supplies for Allied forces stationed in Berlin during World War II.
True
False​

Answers

Answer:

False.

Explanation:

After the end of World War II, Germany was separated into four sectors, according to the nations controlling it. The nation was divided into four parts- Soviet, American, British, and French-controlled zones. This division was further taken in the case of Berlin, the capital city, dividing it among the four nations.

And the Soviets, in an attempt to drive the other three nations away from the capital city, blocked all forms of road access. The plan was to stop any flow of resources and necessities and it will result in France, Britain, and America abandoning their sections of Berlin.

But, taking advantage of the free airspace, the three nations began using their aircraft to drop basic supplies to the people living in their parts of Berlin. This operation was codenamed "Operation Vittles".

Thus, the correct answer is false. For, the airlift operation was to provide the basic necessities to the people, not the Allied forces station in Berlin.

In cell H4, calculate the donation amount by multiplying the Streaming Revenues by the percentage in cell I1, using absolute references as needed

Answers

Answer:

=G4*$I$1

Explanation:

Answer:

=Table1[Streaming Revenues]-Table1[Donation]

Explanation:

holiday inn divided its customer market into segments and selected the most promising segments. deciding what position it wants to occupy in these segments is called diversification. True or False

Answers

The given statement "holiday inn divided its customer market into segments and selected the most promising segments. The position it wants to occupy in these segments is called diversification" is False.

The diversification refers to a strategy where a company expands its business into new markets or industries that are unrelated to its existing products or services.

It involves entering new areas of business to reduce risk or take advantage of new opportunities.

The process of deciding what position a company wants to occupy in selected customer segments is called positioning.

Therefore, the given statement is false.

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Evaluation of the effectiveness of your selected government policy on the real GDP, inflation, and unemployment rate. In your opinion, was the policy effective based on the impact to the economic indicators? Explain your response.

Answers

My  selected government policy on the real GDP, inflation, and unemployment rate are:

Tax Cuts and Tax RebatesContractionary monetary policy Fiscal Policy

Yes the policy were effective based on the impact of the economic indicators because it brought about:

increase productivityLower money supplyEmployment opportunities.

Which policies would increase GDP?

Tax reductions and refunds boost productivity, which boosts economic growth. Tax reductions and refunds, according to supporters, give consumers the opportunity to boost the economy by spending more money.

Inflation control strategies that are more prevalent today include contractionary monetary policy. By raising interest rates, a contractionary policy seeks to reduce the amount of money in an economy. 5 Credit becomes more expensive as a result, which lowers consumer and company expenditure and slows economic growth.

Therefore, Fiscal policy can lower unemployment through accelerating economic growth and aggregate demand. The government will need to pursue an expansive budgetary strategy, which entails lowering taxes and raising spending on the general government.

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________ alternatives are those marketing actions a manager considers which may resolve a problem.

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Decision alternatives are those marketing actions a manager considers which may resolve a problem.

It's time to identify and/or create decision alternatives in the innovate step. After completing the planning and decision-making portion of the Frame step, you ought to have a set of prioritized success criteria in place.

To create decision options that can satisfy the needs and preferences you identified during decision framing is the goal of the innovate step.

It is crucial to take into account a variety of options. All parties involved in the decision-making process should be able to understand potential solutions (decision alternatives) by providing sufficient description.

You can consider new opportunities and examine a wide range of options by coming up with potential new decision options, some of which might be outside of your comfort zone. The main elements of the innovate step are listed below.

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What is earning interest on previously earned interest called?

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Answer:

Compounding. Earning interest on previously earned interest plus the principal amount.

Explanation:

Earning interest on previously earned interest is called compounding. Thus, compounding is the correct term for this definition.

It refers to the process of reinvesting the accumulated interest back into the initial principal amount, allowing for exponential growth over time. With each compounding period, the interest is calculated not only on the original principal but also on the interest earned in previous periods.

This compounding effect leads to the gradual growth of the investment or savings. Compounding is a powerful concept in finance and can significantly enhance the growth of investments or savings over the long term. It is a key factor in various financial instruments such as savings accounts, bonds, and investment portfolios.

Thus, earning interest on previously earned interest is called compounding.

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Describe some of the powerful marketing tactics used by the credit card industry?

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Answer:

nice packaging in mail, introductory benefits, free gifts, barbie example

What can a boosted post help an advertiser achieve?

Answers

A boosted post helps an adviser to connect with the audience and gain trust.

Boosted post is a kind of post that is used on social media platforms in order to enhance the page of the platform and to attract audience to the page. Boosted post can help better communication with the audience along with the increase in a greater number of messages, calls and texts. Boosted posts help for better advertisements of the product. For example, A Chocolate brand may use Boosted posts to gain audience as well as consumers. Boosted posts helps an adviser to be discovered among people, to establish a benchmark in the market and to gain more and more customers. It's a kind of marketing strategy used for publicity purpose.

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What is the hazard? Chris works for a city public works department. One hot afternoon the temperature outside reached 92 degrees. While Chris was shoveling dirt in a vacant lot, he started to feel dizzy and disoriented. He fainted due to the heat.

Answers

Answer: dehydration

Explanation:

Answer:

dehydration and heat exhaustion.

Explanation:

I hope this helps! :)

We have discussed with detail about anatomy of a software house that is delivering the services of related all types of software products in European market. Keep the example of anatomy company front of you and develop a Software company like it and make your company’s Profile, Structure, Budget, Financial Statement and next five years Plan?

Answers

Company Profile:

Our software company, called TechWave, is a leading provider of software solutions in the European market. We specialize in developing customized software products for businesses of all sizes across a range of industries, including healthcare, finance, and retail. Our team of highly skilled developers and designers work closely with clients to understand their unique needs and deliver tailored solutions that improve their operations and drive growth.

Company Structure:

Our company has a flat organizational structure with a strong focus on collaboration and innovation. Our team is divided into three main departments: development, design, and project management. Each department is headed by a department manager who reports to the CEO. We also have a quality assurance team that ensures all our products meet the highest standards of quality and performance.

Budget:

Our company has a budget of €5 million per year, which is allocated towards research and development, employee salaries and benefits, marketing, and overhead costs. We believe in investing heavily in R&D to stay ahead of the competition and provide our clients with the most innovative solutions.

Financial Statement:

Our company has been steadily growing over the past five years, with a current annual revenue of €20 million. Our gross profit margin is 60%, and our net profit margin is 20%. We have a healthy cash flow and maintain a strong balance sheet.

Next Five Years Plan:

Over the next five years, we plan to expand our services into new markets, including North America and Asia. We will also continue to invest heavily in R&D to develop cutting-edge solutions that meet the evolving needs of our clients. We will focus on building long-term relationships with our clients and providing exceptional customer service to ensure their satisfaction. Our goal is to double our revenue by the end of the five-year period and establish ourselves as a global leader in software development. To achieve this, we will also focus on recruiting and retaining top talent, expanding our product offerings, and optimizing our operations to improve efficiency and reduce costs.

Ruby is a sales agent in a brokerage firm that engages in exclusive seller agency. She represented Martin in sale of an investment property she had been leasing to a tenant for several years. Since the first property worked out so well, Martin wants to buy another investment property listed by Ruby's firm. Ruby did such a great job selling the rental house, Martin now wants Ruby to represent him in the purchase of the property. What is the best course of action for Ruby

Answers

The best course of action that Ruby has to take is to tell Martin that she cannot represent him in the purchase of this property.

Why Ruby cannot represent him?

This is because she is into the selling of property. The first line of job that she does is to act as an agent for those selling.

In the situation that the house is to bought an agent that helps to buy properties should be contacted.

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