heres a freebe to get more points. whats ur fav disney movie and whos ur fav disney princess. why?

Answers

Answer 1

Answer:

fav Disney movie: coco fav Disney princess: Tiana

Explanation:

i dont know why I just like them and they dont have a lot of black princesses so yeah

Answer 2

Answer:

belle and beauty and the beast

Explanation:

because shes not judgmental and can be her own person  


Related Questions

Isabel, a calendar-year taxpayer, uses the cash method of accounting for her sole proprietorship. In late December she received a $20,000 bill from her accountant for consulting services related to her small business. Isabel can pay the $20,000 bill anytime before January 30 of next year without penalty. Assume her marginal tax rate is 37 percent this year and next year, and that she can earn an after-tax rate of return of 8 percent on her investments

Required:
a. What is the after-tax cost if Isabel pays the $19,000 bill in December?
b. What is the after-tax cost if Isabel pays the $19,000 bill in January?
c. Based on requirement a and b, should Isabel pay the $19,000 bill in December or January?

Answers

Answer:

A. $11,970

B. $11,890

C. January

Explanation:

a. Calculation for the after-tax cost if Isabel pays the $19,000 bill in December

After-tax cost=$19,000 - ($19,000 x 37%)

After-tax cost= $19,000 - $7,030

After-tax cost= $11,970

Therefore the after-tax cost if Isabel pays the $19,000 bill in December will be $11,970

b. Calculation for the after-tax cost if Isabel pays the $19,000 bill in January

First step is to calculate the cost before taxes

Cost before taxes = $19,000 - ($19,000 x 8%/12) Cost before taxes= $19,000 - $127

Cost before taxes= $18,873

Now let calculate the After-tax cost

After-tax cost = $18,873 - ($18,873 x 37%)

After-tax cost= $18,873 - $6,983

After-tax cost = $11,890

Therefore the after-tax cost if Isabel pays the $19,000 bill in January will be $11,890

c. Based on the above calculation for both a and b, Isabel should pay the amount of $19,000 bill in January reason that it has the lowest cost of debt of the amount of $11,890 compare to December which has the cost of debt of the amount of $11,970.

is proud to work for a company with a strong __________ because he knows the organization supports ethical behavior.

Answers

Answer:

Ethical climate.

Explanation:

An ethical climate can be defined as a collection of behaviors that are considered to be acceptable and correct within an organization or business firm. Also, an ethical climate provides the human resources management of an organization with a framework or benchmark on how employee behavioral issues or ethical problems are to be managed or handled within the organization.

Thus, an organization with a strong ethical climate is generally considered to have an effective, conducive, just and optimum working standards for its employees and as such would significantly increase employee trust and commitment.

Hence, we can easily say Epicgible is proud to work for a company with a strong ethical climate because he knows the organization supports ethical behavior.

Pollution control equipment for a pulverized coal cyclone furnace is expected to cost $190,000 two years from now and another $120,000 9 years from now. If Monongahela Power wants to set aside enough money now to cover these costs, how much must be invested at an interest rate of 9% per year compounded quarterly

Answers

Answer:

$212,882.75

Explanation:

Cost from 2 years now = $190,000

Cost from 9 years now = $120,000

Interest rate = 9% Quarterly

Present Worth = Cost from 2 years now*[1/(1+interest/m)^nm] * Cost from 2 years now*[1/(1+interest/m)^nm]

Present Worth = 190,000*[1/(1+0.09/4)^2*4] + 120,000*[1/(1+0.09/4)^9*4]

Present Worth = 190,000*[1/(1.0225)^8] + 120,000*[1/(1.0225)^36]

Present Worth = 190,000*[1/1.19483] + 120,000*[1/2.22782]

Present Worth = 190,000*0.83693915 + 120,000*0.4488693

Present Worth = 159018.4385 + 53864.316

Present Worth = 212882.7545

Present Worth = $212,882.75

Thus, the amount to invest to cover these cost is $212,882.75

Problem 3-3 (Algo) A dry cleaner uses exponential smoothing to forecast equipment usage at its main plant. August usage was forecasted to be 46 percent of capacity; actual usage was 52 percent of capacity. A smoothing constant of .10 is used. a. Prepare a forecast for September. (Round your final answer to 2 decimal places.) b. Assuming actual September usage of 53 percent, prepare a forecast for October usage. (Round your answer to 2 decimal places.)

Answers

Answer:

A.Forecast for September=46.9

B. Forecast for October usage=47.51

Explanation:

a) preparation of the forecast for September

Forecast for September= 46 + .10 (52 − 43)

Forecast for September=46+.10(9)

Forecast for September=46+0.9

Forecast for September=46.9

Therefore Forecast for September will be 46.9

b) Preparation of the forecast for October usage

Forecast for October usage=46.9 + .10 (53-46.9)

Forecast for October usage=46.9+.10(6.1)

Forecast for October usage=46.9+0.61

Forecast for October usage=47.51

Therefore Forecast for October usage will be 47.51

This Venn diagram compares two career pathways in the Marketing, Sales, and Service career cluster.



Which correctly lists the titles for this Venn diagram?

Title 1: Marketing and Information Management and Research; Title 2: Professional Sales and Marketing.
Title 1: Marketing Communications and Promotions; Title 2: Marketing and Information Management and Research.
Title 1: E-Marketing; Title 2: Management and Entrepreneurship.
Title 1: Professional Sales and Marketing; Title 2: Buying and Merchandising.

Answers

Answer:

Title 1: E-Marketing; Title 2: Management and Entrepreneurship.

Explanation:

Title 1: E-Marketing; Title 2: Management and Entrepreneurship are correct as per the Venn diagram and have two careers marketing and sales.

What is a Venn diagram?

A venn diagram is a widely used diagram that shows legal relationships. These diagrams are used for teaching elements set theory and illustrate a set of relationships.

As probability, logic, and statistics. The marketing and sales and a cluster are service career are under title marketing and title two is management and entrepreneurship.

Find out more information about the venn diagram.

brainly.com/question/1538186

Tata Motors is an Indian multinational automotive company headquartered in Mumbai and a core member of the very successful Tata Group. India is a potentially enormous market, and Tata Motors is doing well in that market. How can Tata Motors use their core competencies in doing well in India as a way to also do well in exporting

Answers

Answer: Focused and intensive competency

Explanation:

TATA has made a name in India for being one of their largest automobile used there. To maintain and increase their market globally they have to be consistent with their competency in their product. Competency is what would make them gain more global market because they are already in some countries but how durable, efficient their vehicle's are is what would make it be referred by those using it. There other products in the market but competency would be the stand-out, making them exceptional.

Micro, Inc., started the year with net fixed assets of $75,675. At the end of the year, there was $97,225 in the same account, and the company's income statement showed depreciation expense of $13,555 for the year. What was the company's net capital spending for the year

Answers

Answer:

the net capital spending for the year is $35,105

Explanation:

The computation of the net capital spending for the year is given below:

Closing Balance $97,225

Add: Depreciation $13,555

Less: Opening Balance -$75,675

Assets Purchased $35,105

Hence the net capital spending for the year is $35,105

Which part/phrase in the passage hints at a disadvantage that Gary suffers as a franchisee?

Gary entered a franchise contract with a manufacturing company a year back.

He has to sell the company's products under its trademark. He
has been learning the company's management techniques as per the contract.

He cannot pitch new ideas to his franchisor since the contract
restricts his creativity and independence.

He has to pay royalties and a small percentage of his sales revenue to the franchisor every month.

Answers

Answer:

I believe it is "He cannot pitch new ideas to his franchisor since the contract

restricts his creativity and independence." because he can't help his business grow when he can't make new ideas.

Answer:

2nd sentence

Explanation:

Market-share and market-size variances (continuation of 14-38). Miami Infonautics’ senior vice president of marketing prepared his budget at the beginning of the third quarter assuming a 25% market share based on total sales. Foolinstead Research estimated that the total handheld-organizer market would reach sales of 408,600 units worldwide in the third quarter. However, actual sales in the third quarter were 515,000 units.
1. Calculate the market share and market size variance for Miami Infaunotics int he third quarter of 2017.
2. Explain what happend on the market share and the market size variances.
3. Calculate the actual maket size in units that would that would let to market size variance.

Answers

Answer:

See below

Explanation:

1.

Actual Budget Inc(Dec)

Worldwide. $515,000 $408,600 $106,400

Miami infonautics $103,000 $102,150 $850

Market share 20% 25% 5%

Average contribution margin per unit

Actual = $114.82 [ $11,862,460 ÷ 103,000 units]

Budgeted = $115 [ $11,747,250 ÷ 102,150 units]

Market size. $515,000

Share gain (loss) -5%

Unit share gain (loss) ($25,750)

Budgeted composite contribution per unit $115

Market share gain(loss) ($2,961,250)

Market size vs Market budget $106,400

Budgeted market share 25%

Total $26,600

Budgeted composite contribution per unit $115

Market size variance $3,059,000

2.

Here, the actual market size of $515,000 units exceeded the budget size of 408,600 units, leading to a favorable market size variance.

3. With regards to the above, Miami infonautics share of the market fell 25% to 20%, but the substantially favorable market size variance exceeded the unfavorable market share variance resulting in a favorable sales quantity variance overall.

Sales quantity variance $97,250 F

= Market share variance

$2,961,250 U - Market size variance

$3,059,000 F

____________________ will not cause a shift of the AS curve in a Keynesian framework.

Answers

Answer:

C. Changes in output prices

Explanation:

Keynesian economics is a theory that deals in macroeconomics and its impact on the output, employment, inflation, etc, In this it give rise to the government expenditure and less taxes in order to stimulate the demand and pull out the global economy

If there is any changes with respect to the output prices so the shift of the AS curve would not be resulted

So the option c is correct

Interpersonal conflict between team members is most likely to surface and become contentious during the ________ phase of team development

Answers

Answer:

Storming

Explanation:

The storm stage is the team development phase where there is the greatest appearance of conflicts, due to the fact that in this phase there are divergences between team members in relation to their personality profiles, the role of each member on the team, team goals, etc.

This is a phase that can be problematic for the fulfillment of the team's objectives, if conflicts are not resolved there may be delays, team disruption, unproductiveness and other work-related conflicts, so it is recommended that communication be developed in this way in this phase. effective, where each member feels integrated and important for the success of working together.

Job 910 was recently completed. The following data have been recorded on its job cost sheet: Direct materials $ 2,430 Direct labor-hours 70 labor-hours Direct labor wage rate $ 20 per labor-hour Machine-hours 134 machine-hours The Corporation applies manufacturing overhead on the basis of machine-hours. The predetermined overhead rate is $21 per machine-hour. The total cost that would be recorded on the job cost sheet for Job 910 would be:

Answers

Answer:

6644

Explanation:if u do the math whith your numbers you should get the answer

Zugar Company is domiciled in a country whose currency is the dinar. Zugar begins 2017 with three assets: cash of 20,000 dinars, accounts receivable of 80,000 dinars, and land that cost 200,000 dinars when acquired on April 1, 2016. On January 1, 2017, Zugar has a 150,000 dinar note payable, and no other liabilities. On May 1, 2017, Zugar renders services to a customer for 120,000
dinars, which was immediately paid in cash. On June 1, 2017, Zugar incurred a 100,000 dinar operating expense, which was immediately paid in cash. No other transactions occurred during the year.
Currency exchange rates for 1 dinar follow:
April 1, 2016 . . . . .. . $0.33 = 1 dinar
January 1, 2017 . . . . .. . . 0.36 = 1
May 1, 2017 . . . . . . . . .. . . 0.37 = 1
June 1, 2017 . . . . . .. . . . . 0.39 = 1
December 31, 2017 . . . . . 0.41 = 1
a. Assume that Zugar is a foreign subsidiary of a U.S. multinational company that uses the U.S.
dollar as its reporting currency. Assume also that the dinar is the subsidiary’s functional currency. What is the translation adjustment for this subsidiary for the year 2017?
b. Assume that Zugar is a foreign subsidiary of a U.S. multinational company that uses the U.S.
dollar as its reporting currency. Assume also that the U.S. dollar is the subsidiary’s functional currency. What is the remeasurement gain or loss for 2017?
c. Assume that Zugar is a foreign subsidiary of a U.S. multinational company. On the December 31, 2017, balance sheet, what is the translated value of the Land account? On the December 31, 2017, balance sheet, what is the remeasured value of the Land account?

Answers

A it just makes sense

You have been learning about the accounting equation, debits/credits, and account normal balances. The accounting equation is the foundation of accounting. Understanding debits/credits and the account normal balances are just as important. Sometimes, these concepts are difficult to understand and/or remember. Please research the Internet to find fun and easy ways to remember this information. It could be a song, a mnemonic, phrase, video, etc. It can even be something that you have created. Make sure that the information is college appropriate. Please post your findings and include a link that references the material. Then in a minimum of a paragraph, summarize why you choose this source, how it has helped you remember the material, and why other students would find it helpful.

Answers

Answer:

using the word DEALER

since we record our debit accounts on the left hand side of the Ledger and we record credit accounts on the right hand side of the Ledger hence

DEA represents ( Dividends, expenses , Assets ) which are recorded in Debit accounts  while

LER represents ( Liabilities ,Equity and revenues ) which are recorded in credit accounts

Explanation:

The fundamentals of accounting is based on the ability to distinguish between a Debit and a credit . ability to do this efficiently will help in the process of balancing the ledger at the end of each accounting period. most times the concepts of Debits and credits are not so easy to memorize hence i will such the Fun way of Memorizing them which is;

using the word DEALER

since we record our debit accounts on the left hand side of the Ledger and we record credit accounts on the right hand side of the Ledger hence

DEA represents ( Dividends, expenses , Assets ) which are recorded in Debit accounts  while

LER represents ( Liabilities ,Equity and revenues ) which are recorded in credit accounts

1. mouldboard
2. sickle
a metal plow that could be used to
dig deep ridges in an agricultural field
a long, curved blade used in
agriculture
a device used in harvesting that
separates the husk from the grain
3. thresher

Answers

1. Mouldboard is a long, curved blade used in agriculture
2.A metal plow that could be used to dig deep ridges in an agricultural field
3. Thresher: a device used in harvesting that separates the husk from the grain

One of two alternatives will be selected to reduce flood damage in a rural community in central Arizona. The estimates associated with each alternative are available. Use B/C analysis at a discount rate of 8% per year over a 20-year study period to determine which alternative should be selected. For analysis purposes only, assume that the benefits of reduced flood damage are available in years 3, 9, and 18 of the study period.
Retention Pond Channel
Initial Cost, $880,000 1,500,000
Annual Maintenance, $/Year 92,000 30,000
Reduced Flood Damage, $ 200,000 625,000

Answers

Answer:

Since the incremental B/C of 58.21 is less greater 1, it implies that the alternative that should be selected is Channel.

Explanation:

The alternative that should be selected can be determined using the Benefit-Cost (B/C) analysis as follows:

Incremental B/C = [Incremental Flood damage savings * ((1 + r)^-3 + (1 + r)^-9 + ((1 + r)^-18)] / [Incremental initial cost + (Incremental Annual Maintenance cost * ((1 - (1 / (1 + r))^n) / r))] ............... (1)

Where:

Incremental initial cost = Channel initial cost - Retention pond initial cost = $1,500,000 - $880,000 = $620,000

Incremental Annual Maintenance cost = Channel Annual Maintenance - Retention pond Annual Maintenance = $30,000 - $92,000 = -$62,000

Incremental flood damage savings = Channel Incremental flood damage savings - Retention pond incremental flood damage savings = $625,000 - $200,000 = $425,000

r = Discount rate = 8%, or 0.08

n = number of years = 20

Substituting all the relevant values into equation (1), we have:

Incremental B/C = [425000 * ((1+0.08)^-3 + (1+0.08)^-9 + (1+0.08)^-18)] / [$620,000 - ($62,000 * ((1 - (1 / (1 + 0.08))^20) / 0.08))]

Incremental B/C = $656,340.35 / $11,274.86

Incremental B/C = 58.2127235166936

Rounding to 2 decimal places, we have:

Incremental B/C = 58.21

Since the incremental B/C of 58.21 is less greater 1, it implies that the alternative that should be selected is Channel.

Help Me! I cant do this question and I am so confused!

Answers

Answer:

3,000

Explanation:

Divide 24,000 by 8

Answer:

It is B

Explanation:

3,000

Sandier company had no treasury stock transactions. Then, on June 1, the company paid $5,000 to purchase 100 shares common stock on the open market. On July 1, the company sold 50 of these shares at $52 per share. Then, on August 1, the company sold remaining 50 shares at $46 per share. Complete the journal entry for the sale of the treasury stock on July 1.

Answers

Answer:

July 1

Debit : Treasury Stock (50 shares x $52) $2,600

Credit: Cash (50 shares x $52) $2,600

Explanation:

Purchase of Company`s own shares is known as Treasury Stock this purchase is done at cost.

The Sale however is done at the selling prices on the respective sales dates and number of shares. This sale results in Cash increase and Decrease in Treasury Stock as shown above for July 1 Sale.

You are taking a $6,226 loan. You will pay it back in four equal amounts, paid every year, with the first payment occurs at the end of year 5. So the first payment is 5 periods from now. Even though you did not make payments during that time interest still accrues. The annual interest rate is 11%. Calculate the amount of each annual payment to pay off the loan 4 years after you start paying it back.

Answers

Answer:

annual payment = $2,362.88

Explanation:

we must first calculate the future value of the loan at the end of year 4 = $6,226 x (1 + 11%)⁴ = $9,451.51

using the present value of an annuity formula we can determine the annual payment:

annual payment = present value of an annuity / PV annuity factor

present value of an annuity = $9,451.51PV annuity factor 11%, 4 periods = 3.1024

annual payment = $9,451.51 / 3.1024 = $2,362.88

An outside supplier has offered to sell the component for $17. If Damon purchases the component from the outside supplier, the manufacturing facilities would be unused and could be rented out for $10,000. If Damon purchases the component from the supplier instead of manufacturing it, the effect on income would be:

Answers

Answer:

C. a $10,000 decrease.

Explanation:

Calculation for what the effect on income would be

First step is to calculate Make

Make=$100,000 + $160,000 + $60,000

Make = $320,000

Second step is to calculate Buy

Buy= $20,000 × $17 = $340,000 – $10,000

Buy = $330,000

Now let calculate the effect on income

Effect on income = $320,000 – $330,00

Effect on income = –$10,000 decrease

Therefore the effect on income would be –$10,000 decrease

Xavier has been working at his first post college job for almost a year when his company gives him a raise, resulting in a paychecks increase of 200, for a total of $400 extra in take home pay every month. He makes a quick list of possible ways to use that money, along with relevant notes for each.



Save for fun summer vacation trip in 8 months

Estimated cost= $1000

Interest rate-- 1% - savings account

3 friends are going -- really want to join



Pay off credit card debt sooner

Balance= $6,500

Interest rate-- 20%

Completely up to date on payments

Typically pay monthly minimum only



Pay down student loan dept

Balance= $34,000

Interest rate-- 4%

Completely up to date on payments



Increase Emergency funds

Balance= $250

Interest rate-- 1% savings account

Realize this should be much higher

Have been lucky so far-- haven't used the account once yet



Participate in company 401(k) plan

Not participating yet

Interest rate-- Variable

Company will match dollar for dollar up to 5% of my salary ($250) a month)



Finance Nicer, more reliable car

Estimated cost- $25,00

Interest rate-- 6%

Currently driving 14-year-old car paid for in cash at a time for purchase

No down payment currently saved



Provide a detailed plan, including actual dollar amounts, for Xavier to wisely use the extra $400 per month from his raise. For each part of the plan, briefly describe why you're making this choice

Answers

Answer:9900

Explanation:

600=700

Xavier might utilise the extra $700 in take-home salary in the following ways:

What are  possible ways to use that money ?

Xavier might save some of the excess cash in a savings account to utilise in the event of emergencies, such as unanticipated auto repairs or unforeseen medical expenses. She may feel more financially secure and ready for the future as a result.

2) Pay off debt: Xavier  might use the additional funds to settle any unpaid debts, including credit card balances and college loans. She might be able to lower her monthly spending and raise her credit score as a result.

3) Put some of the additional cash toward retirement: Xavier  can think about putting some of the extra cash toward retirement by opening a 401(k) or IRA. This may enable her to save . She can use this to increase her future savings and possibly increase her income through compound interest.

4) Set aside some of the additional cash to save for a major purchase: Selena may set aside some of the extra cash to save for a major purchase, such a down payment on a home or a new automobile.

Learn more about Use of money here

https://brainly.com/question/30024115

#SPJ2

2. Damaged batteries need to be placed in an acld-resistant container or tub Immediately.
A) True
B) False

Answers

Answer:-

So if they are damaged, corroded or leaking etc then “YES”.

Explanation:-
Batteries are dangerous materials they require special care and handling wether to store, dispose etc.
Place the battery or device in a non-flammable substance such as sand or kitty litter in the short term if needed.
Source: SEO
Note: Even when they seems to be useless to us they are HHW.

Yes, Damaged or broken batteries need to be placed in an acid-resistant container.

Batteries are hazardous items that require specific handling and care while being stored, disposed of, and so on.If necessary, temporarily store the battery or gadget in a non-flammable material such as soil or kitty litter.

Learn more:

https://brainly.com/question/19937973?referrer=searchResults

Matrix management creates an environment in which the unity-of-command principle is strictly followed. is a collection of independent, mostly single-function firms that collaborate to produce a good or service. is composed of dual reporting relationships in which some employees report to two superiors. involves holding employees together by contracts that stipulate results expected, rather than by hierarchy and authority. results in a centralized decision-making system.

Answers

Answer:

Matrix management

is composed of dual reporting relationships in which some employees report to two superiors.

Explanation:

Matrix management is a cross-functional work team in which there is dual or multiple management accountability and responsibility.  Team members come from different units to achieve a specific business goal or purpose.  It is characterized by two chains of command.  One chain of command is functional, and the other chain of command is patterned along project, product, client, and other lines.

The suppliers have limited capacity, and no one supplier can meet all the company's needs. In addition, the suppliers charge different prices for the components. Component price data (in price per unit) are as follows:

Supplier
Component 1 2 3
1 $10 $12 $14
2 $10 $10 $11
Each supplier has a limited capacity in terms of the total number of components it can supply. However, as long as Edwards provides sufficient advance orders, each supplier can devote its capacity to component 1, component 2, or any combination of the two components, if the total number of units ordered is within its capacity. Supplier capacities are as follows:
Supplier 1 2 3
Capacity 600 1050 775
1. If the Edwards production plan for the next period includes 1000 units of component 1 and 800 units of component 2, how many units of each component (C1, C2) should be ordered from each supplier (S1, S2, S3)?
2. What is the total purchase cost for the components?

Answers

Answer:

Edwards

1. Units of each component (C1, C2) that should be ordered from each supplier (S1, S2, S3) are:

Supplier     S1        S2       S3    Total

Capacity  600    1050    775

Orders:

C1            600      400              1,000

C2                       650     150      800

Total       600   1,050     150    1,800

2.  The total purchase cost for the components is:

= $18,950

Explanation:

a) Data and Calculations:

Component Price Data:

Component      Supplier

                       1       2        3

1                    $10   $12    $14

2                   $10   $10    $11

Supplier     1        2       3

Capacity  600  1050  775

Requirements:

Component  Units

1                    1,000

2                     800

Supplier 1 for C1 = 600 * $10 =  $6,000

Supplier 2 for C 1 = 400 * $12 =   4,800

Supplier 2 for C2 = 650 * $10 =  6,500

Supplier 3 for C2 = 150 * $11 =     1,650

Total purchase cost =              $18,950

Supplier     S1        S2       S3    Total

Capacity  600    1050    775

Orders:

C1            600      400              1,000

C2                       650     150      800

Total       600   1,050     150    1,800

A staff accountant at Ysidro Fabricators in San Ysidro, CA has provided data concerning its operations for July. The beginning balance in the raw materials account was $20,500 and the ending balance was $37,000. Raw materials purchases during the month totaled $64,000. Manufacturing overhead cost incurred during the month was $111,500, of which $2,100 consisted of raw materials classified as indirect materials. The direct materials cost for July was:

Answers

Answer:

$88,900

Explanation:

Particulars                                               Amount

Manufacturing OH Cost                        $109,400 (111,500-2100)              

Add: Ending materials                           $64,000

                                                               $173,400

Less: Beginning materials  $20,500

Materials purchased           $64,000    $84,500

Direct material cost                              $88,900

Charles Lackey operates a bakery in Idaho​ Falls, Idaho. Because of its excellent product and excellent​ location, demand has increased by 55​% in the last year. On far too many​ occasions, customers have not been able to purchase the bread of their choice. Because of the size of the​ store, no new ovens can be added. At a staff​ meeting, one employee suggested ways to load the ovens differently so that more loaves of bread can be baked at one time. This new process will require that the ovens be loaded by​ hand, requiring additional manpower. This is the only thing to be changed.​ (Productivity remains the​ same.) ​The bakery makes 1,500 loaves per month with a labor productivity of 2.344 loaves per labor-hour, how many workers will lackey need to add? (hint: each worker works 160 hours per month).

Answers

Answer:

Charles Lackey Bakery

The number of workers that Lackey will need to add is:

= 2.

Explanation:

a) Data and Calculations:

Increase in demand for bread = 55%

Units of bread produced per month = 1,500 loaves

Expected increase in production = 625 loaves

Total units of bread to be produced with the increase = 2,125 loaves

Labor productivity = 2.344 loaves per labor-hour

Labor hours by each worker per month = 160 hours

Total loaves produced by a worker = 375 (160 * 2.344) loaves

Number of workers currently engaged = 4 (1,500/375)

Number of workers needed to produce 2,325 (1,500 * 1.55) loaves with same labor productivity = 2,325/375 = 6.2

Number of workers that Lackey will add = 2 (6 - 4).

b) The labor productivity shows the output per labor-hour.  If a worker, who works for 160 hours a month, can produce 375 loaves of bread, it implies that 6 workers, working the same labor-hours each will be able to produce 2,325 approximately, which equals the expected total output caused by the 55% increase in demand from 1,500 loaves of bread per month.

Legal forces are important external forces that international managers need to understand. They are developed at the national level, so international ventures should take care to build relationships with local-level lawyers. Identify each of the legal characteristics by matching where it is found to the correct characteristic.

a. U.S. Product Liability Law
b. EU Competition Law
c. US and EU
d. U.S. Tort Law
e. U.S. Competition Law
f. France

1. Per se application
2. Misuse of activity
3. Extraterritoriality
4. Trade obstacle, non-tariff
5. Strict liability
6. Punitive damages

Answers

Answer:

1. Per se application  - US Competition law

Justification: It is a provision of US competition law

2. Misuse of activity - EU Competition law

Justification: It is a provision of EU competition law

3. Extraterritoriality - US and EU

Justification: It is a provision of US and EU antitrust and competition law

4. Trade obstacle, non-tariff - France

Justification: These are considered to be part of the France trade system

5. Strict liability - U.S. Tort Law

Justification: It is part of the U.S. Tort Law and depends on intent to harm liability

6. Punitive damages - U.S. Product Liability Law

Justification: It is a provision of U.S. Product Liability Law

(01.02 MC)
Economics is defined as a study of the (5 points)
a
properties of money
Ob
ways people obtain their wants with limited resources
Ос
ways businesses and government operates
Od
best ways to increase the profits of a company

Answers

Answer:Ob

---ways people obtain their wants with limited resources

Explanation:

Economics as defined by Lionel Robbins is  the science  that studies human behavior as a relationship between ends and scarce means which have alternative uses.

The economy generally is filled with people having unlimited wants but the resources(  land, labour, capital and enterpreneur) to satisfying these wants are Limited and scarce . Economics studies how the society  (government and businesses)use these scarce resources to satisfy or meet its unlimited wants by  providing variety of goods and services from the scarce resources  so that people can have choices  to choose from in satisfying their limitless wants in order of preferences.

Answer:

b: ways people obtain their wants with limited resources

Explanation:

Bearcat Construction begins operations in March and has the following transactions.
March 1 Issue common stock for $11,000.
March 5 Obtain $7,000 loan from the bank by signing a note.
March 10 Purchase construction equipment for $15,000 cash.
March 15 Purchase advertising for the current month for $1,200 cash.
March 22 Provide construction services for $16,000 on account.
March 27 Receive $11,000 cash on account from March 22 services.
March 28 Pay salaries for the current month of $4,000.
Required:
Record each transaction. Bearcat uses the following accounts:
Cash,
Accounts Receivable,
Notes Payable,
Common Stock,
Service Revenue,
Advertising Expense, and Salaries Expense.

Answers

Answer:

Date   Account Titles & Explanations        Debit        Credit

1 Mar   Cash                                                  $11,000

                Common stock                                              $11,000

           (Issue of common stock)

5 Mar  Cash                                                   $7,000

                Notes payable                                                $7,000

            (Issue of notes payable recorded)

10 Mar  Equipment                                        $15,000

                 Cash                                                               $15,000

            (Purchase of equipment recorded)

15 Mar  Advertising expenses                       $1,200

                 Cash                                                               $1,200

            (Advertising expenses recorded)

22 Mar  Account receivables                        $16,000

                  Service revenue                                           $16,000

             (Service revenue recorded)

27 Mar  Cash                                                   $11,000

                  Account receivable                                       $11,000

             (Cash receipt for customers recorded)

28 Mar  Salaries expenses                              $4,000

                  Cash                                                                $4,000

              (Salaries expenses recorded)

Marvin had the following transactions: Salary $50,000 Interest on City of Chicago bonds $250 Bank loan (proceed to buy personal auto) $10,000 Alimony payment to ex-wife (Divorce was finalized in 2018) $12,000 Child support payment $6,000 Gift received from aunt $20,000 Marvin's AGI is: A. $32,000 B. $38,000 C. $44,000 D. $56,000 E. $64,000

Answers

Answer:

B. $38,000

Explanation:

Calculation for Marvin's AGI

Salary $50,000

Less Alimony payment to ex-wife $12,000

AIG $38,000

($50,000-$12,000)

Therefore Marvin's AGI is $38,000

Other Questions
In which region or subregion was the trade of manufactured goods mostimportant?A) 1B) 4C) 2D)3 Your disgestive system starts to work. Disgestive juice begins to break down your cookie into different parts, sugars, fats etc.Physical or Chemical Change?Facts or Chemical Changes? Why is it necessary to preserve wetlands? (5.25) An owner of a home in the Midwest installed solar panels to reduce heating costs. After installing the solar panels, he measured the amount of natural gas used y (in cubic feet) to heat the home and outside temperature x (in degree days, where a day's degree-days are the number of degrees its average temperature falls below 65 degrees F) over a 23-month period. He then computed the least-squares regression line for predicting y from x and found it to be Help I need it now!!!!!!!!!!! What are some similarities and differences between the colonial regions (New England, Middle and South?) How are traits passed from parent(s) to offspring in sexual vs. asexual reproduction? The difference of sixteen and four is greater than tenWrite the sentence as an equation 1. When you explain what one country sells to another countryor buys from them, you may use this word.customclasstradecivilization Isabel is designing a new fish tank that is shaped like a triangular prism with lateral faces made of glass. The bases of the prism are right triangles. Isabels new fish tank will look like the diagram below but it will have twice the height of the prism shown in the diagram.Help? PLS HELP ASAP!!!!what is the value of x in this figure ? enter your answer in the box below. What can be inferred about Stalin from this passage?In his memoirs, Truman wrote that he told Stalin that theUnited States had a new weapon of unusual destructiveforce." Apparently, the President did not tell Stalin thenew weapon was an atomic bomb, and the Soviet leaderdid not ask or show any special interest. He merelynodded and said something. "All he said was that he wasglad to hear it and hoped we would make good use of itagainst the Japanese," Truman wrote,Across the room, I watched Stalin's face carefully as thePresident broke the news. So ofthand was Stalin'sresponse that there was some question in my mindwhether the President's message had got through. Ishould have known better than to underrate the dictator.Years later, Marshal Georgi K. Zhukov, in his memoirs,disclosed that that night Stalin ordered a telegram sent tothose working on the atomic bomb in Russia to hurrywith the job.Witness to HistoryO He did not want the United States to use the atomicbomb against Japan.O He did not understand what kind of weapon Trumanwas talking about.O He did not like it when others underestimated him.O He already knew that the United States wasbuilding an atomic bomb. Please let me know if I my answer is correct. If it's not, please let me know the right answer. Simplify the expresssion[tex](\frac{2b}{c})^3[/tex] My answer is [tex]\frac{8b^3}{c^3}[/tex] Can someone please help me with number 4 !!!!!! The value of 2^3 + 3^3 = . How does sensory language in imagery affect a work and its readers? Question 1 of 19. Which of the following terms has the closest association to the word "pastry"?1. office2. kitchen3. canvas4. music I know I already asked this but I need an explanation on whyyyThe question is: There are 28 girls and 22 boys on a swim team what percent of the team is made up of boys? explain why pls. Mustang Corporation had 100,000 shares of $2 par value common stock outstanding. On December 31, 2018, the company's board of directors declares a 20 percent stock dividend. This stock dividend will be distributed on January 20, 2019 to the stockholders of record on January 15, 2019. The market price of the company's stock is $10 per share on December 31, 2018. Required:Write down the necessary journal entry to record the declaration of the stock dividend. The central dramatic element of The R-a-p-e of the Lock is ________________.the cutting of a piece of hairthe card gamethe boat ride to Hampton Court PalaceBelinda's attack on the Baron to retrieve the lock