Anthony's deduction for AGI in 2022 is $555,000.
Anthony's AGI for 2022 is $345,000.
To calculate Anthony's gross income in 2022, we need to add up all his sources of income. According to the information given, his income from his freelance graphic design job is $100,000, and the revenue from his luxury nail salon, An-Toe-Nail, is $800,000. So, his total income is $100,000 + $800,000 = $900,000.
Now, let's calculate Anthony's deductions for AGI (Adjusted Gross Income):
1. Car purchase: Anthony bought a new car for $60,000, which he uses as his main vehicle for the year. However, the car purchase is not deductible for AGI. Therefore, the car purchase doesn't affect Anthony's AGI.
2. Employee salary: Anthony pays a total of $300,000 in employee salaries for 6 nail technicians, with each technician earning $50,000 per year. The employee salary is deductible for AGI, so we subtract it from his total income. $900,000 - $300,000 = $600,000.
3. Utilities cost: Anthony spent $10,000 on utilities for his nail salon. Like employee salaries, utilities cost is deductible for AGI. Therefore, we subtract it from the remaining amount. $600,000 - $10,000 = $590,000.
4. Supplies: Anthony spent $10,000 on supplies for his nail salon. Supplies cost is also deductible for AGI. We subtract it from the remaining amount. $590,000 - $10,000 = $580,000.
5. Nail salon equipment: Anthony spent $50,000 on new luxury equipment for his salon. However, he mentions that this equipment needs to be purchased new every year for some reason. Since the similar but lower quality equipment only costs $25,000, we can consider the extra $25,000 as an additional expense related to the luxury aspect of his business. So, we subtract $25,000 from the remaining amount. $580,000 - $25,000 = $555,000.
Therefore, Anthony's deduction for AGI in 2022 is $555,000.
To calculate Anthony's AGI, we subtract his total deduction for AGI from his total gross income:
AGI = Total Gross income - Total Deduction for AGI
AGI = $900,000 - $555,000 = $345,000.
Therefore, Anthony's AGI for 2022 is $345,000.
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charlotte can produce pork and beans and can switch between producing them at a constant rate. if it takes charlotte 10 hours to produce a pound of pork and 5 hours to produce a pound of beans, what is charlotte's opportunity cost of pork and what is opportunity cost of beans?
Pork and beans can be produced in Charlotte. Pork has an opportunity cost of 10 pounds of beans divided by 5 equals 2 pounds of beans. 5 pounds of pork, 10 pounds of pork, or 1/2 pound of pork, is the opportunity cost of beans.
The demand for pork drives the demand for market hogs. Retailers create a wholesale demand plan for pork by subtracting an amount from the anticipated pork demand schedule that will cover their expenditures and generate a profit.
2020 saw the COVID-19 have an impact on the pork market. Neither state farms nor small-scale farmers can increase their output. Pork production did not increase and but decreased for the year by 1.42 million tonnes when compared to 2019. The demand for meat eventually exceeds the supply of pork.
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Vacation pay is properly charged as an expense in the month in which the employee takes the vacation.
A. True
B. False
The given statement "Vacation pay is properly charged as an expense in the month in which the employee takes the vacation" is false.
Vacation pay is typically accrued as an expense in the month or period in which the employee earns the right to take paid time off, rather than in the month when they actually take the vacation.
Accrual accounting principles require that expenses be recognized in the accounting period in which they are incurred, regardless of when the cash is paid or received. Vacation pay represents an obligation of the employer to compensate employees for their earned vacation time.
To properly account for vacation pay, businesses typically accrue an expense over the period of time that employees work and earn vacation days. This means that a portion of the employee's wages is set aside and recognized as an expense each month to reflect the future liability of providing paid vacation time.
When employees actually take their vacations, the liability that was previously recognized as an accrued expense is reduced, and the corresponding cash payment is made. However, the expense related to the vacation pay was already recognized in the periods leading up to the vacation.
By accruing vacation pay as an expense over time, businesses match the recognition of the expense with the period in which the employee earns it, providing a more accurate representation of the company's financial position and performance.
So, the given statement is false.
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day trading, and how is it different from the more traditional approach to investing?
7. How much profit (if any) wóżld Clay Sorensen make if he short-sold 300 shares of a stock at $100 a
share and the price of the stock suddenly tumbled to $70?
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Day Trading requires that position are opened and closed in one day after the purchase of securities, while traditional approach is investing in an asset that is known
Day TradingWe have higligted above about the disimilarities between Day trading and and Traditional investment.
Short-position
Number of Shares = 300
Price Entry = $100
Price Exit = $70
Profit = (Cost Price - Selling price)/Number of Shares
Profit = (300*100 - 300*70)/30
Profit = 30000-21000/30
Profit = 9000/30
Profit = $30
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Describe three reasons as to why GM builds cars in China. Should GM do what the USA President wants and move production of cars sold in China from China to the USA? Explain.
Answer:
Three reason why GM build cars in China:
China has lower labor costs. This is the main reason, a Chinese worker earns a lot less than an American worker, and this results in a substantial cost reduction for GM.
China has important economies of scale. The United States also has important economies of scale, but China may have the edge in some economic sectors.
Finally, the third reason is that China has very good infrastructure like trains, roads, and ports, and this facilitates the logistics for GM.
If the president wants GM to move production back in the US, GM could demand better infrastructure (labor costs cannot be lowered, and the economies of scale are already there), and perhaps other complementary incentives like corporate tax reductions, or even subsidies.
Trucking llc enters into a contract to deliver a certain quantity of potatoes to united foods’s refrigerated warehouse in exchange for a specified payment. Trucking delivers the spuds to the location. United’s duty to pay is.
Trucking LLC enters into a contract to deliver a certain quantity of potatoes to united foods’ refrigerated warehouse in exchange for a specified payment. Trucking delivers the spuds to the location. United’s duty to pay is absolute.
What is refrigerated warehouse?
The term "fridge" refers to a business and residential appliance with a thermally insulated compartment and a heat pump (mechanical, electrical, or chemical) that transfers heat from the interior to the exterior to cool the interior to below room temperature. Around the world, refrigeration is a crucial method for keeping food fresh.
The refrigerator slows down food spoiling because the lower temperature slows down bacterial reproduction. The temperature inside a refrigerator is kept a few degrees above the water's freezing point. 3 to 5 °C (37 to 41 °F) is the ideal temperature range for the storage of perishable foods.
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about how long will it take Levi’s investment of $350 to double if it earns 14.5% simple interest?
A. 5 years
B. 6 years
C. 7 years
D. 8 years
Answer:
A. 5 years
Explanation:
Present value = $350
Future value = $700
Interest = 14.5%
Number of years = Nper (-Pv, Fv, I)
Number of years = Nper (-350, 700, 14.5%)
Number of years = 5.119080084
Number of years = 5 years
________enanles the keyboarder to construct a table .
a. Line space regulator.
b. Insert table function.
c. Shift lock.
d. Space bar.
b. Insert table function enanles the keyboarder to construct a table .
What is the tool?The "Insert table function" is a tool in computer programs for writing that lets you make tables in a document.
This is usually how it goes: To start writing a document, use a computer program like Microsoft Word or Docs. Put the little arrow thing where you want the table to go. This tool is often found in programs like Microsoft Word or Docs. It lets people make tables by saying how many rows and columns they need.
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South Bend Repair Service Company keeps its records without the help of an accountant. After much effort, an outside accountant prepared the following unadjusted trial balance as of the end of the annual accounting period on December 31: SOUTH BEND REPAIR SERVICE COMPANY Unadjusted Trial Balance For the Year Ended December 31 Debit Credit Cash 21,300 Accounts receivable 8,700 Supplies 3,000 Prepaid insurance 2,600 Equipment 28,700 Accumulated depreciation 13,700 Other assets 6,800 Accounts payable Wages paya 4,200 Income taxes payable. Note payable (two years; 11% interest due each December 31) Common stock (2,500 shares outstanding all year) 8,400 470 Additional paid-in capital Retained earnings 17,400 6,730 Service revenue 56,500 Wages expense Remaining expenses (not detailed; excludes income tax) Income tax expense 26,900 9,400 Totals 107,400 107,400 Income tax expense Totals 107,400 107,400 Data not yet recorded at December 31 of the current year include: a. Depreciation expense for the current year, $4,700. b. Insurance expired during the current year, $1,300. c. Wages earned by employees but not yet paid on December 31 of the current year, $3,800. d. The supplies count at the end of the current year reflected $1,800 in remaining supplies on hand to be used in the next year. e. Seven months of interest expense (on the note payable borrowed on June 1 of the current year) was incurred in the current year. f. Income tax expense was $3,114. Journal entry worksheet < 1 Record the closing entry. Note: Enter debits before credits. Transaction Record entry General Journal Clear entry Debit Credit View general journal Record the closing entry. Note: Enter debits before credits. Transaction 1 Record entry General Journal Accounts payable Accounts receivable Accrued expenses payable Accumulated depreciation Additional paid-in capital Aduartinias. Clear entry Debit Cr View gene Record the closing entry. Note: Enter debits before credits. Transaction 1 Record entry General Journal Consulting expense Cost of goods sold Depreciation expense Equipment Fee revenue Gain on sale of land Clear entry Debit View g Record the closing entry. Note: Enter debits before credits. Transaction 1 Inventory Investments Land Long-term debt Maintenance expense Notes pavable. long-term Clear entry Record entry General Journal Debit Crea View genera Record the closing entry. Note: Enter debits before credits. Transaction 1 Record entry General Journal AAAAAAAA Property tax expense Property tax payable Property, plant and equipment Remaining expenses (not detailed) Rent expense Rent receivable Clear entry Debit Cr View gener Record the closing entry. Note: Enter debits before credits. Transaction 1 Record entry General Journal Unearned revenue Utilities expense Utilities payable Wages expense Wages payable Clear entry Debit Cred View general je
To record the closing entry, we need to transfer the balances of temporary accounts (revenue and expense accounts) to the Retained Earnings account.
Here is the journal entry to close the accounts:
General Journal
Date: December 31
1. Close revenue accounts:
Debit Service revenue $56,500
Credit Income Summary $56,500
Close expense accounts:
2. Debit Wages expense $4,200
Debit Remaining expenses (not detailed) $26,900
Debit Income tax expense $3,114
Credit Income Summary $34,214
Close Income Summary:
3. Debit Income Summary $34,214
Credit Retained earnings $34,214
After recording the closing entry, the temporary accounts (Service revenue, Wages expense, Remaining expenses, and Income tax expense) will have a zero balance. The balances of these accounts have been transferred to the Retained Earnings account, which represents the company's cumulative net income.
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Suppose Darnell has a portfolio of stocks from the following companies: Archibald (ARCH), Akolytle (AKO), or Hyrius (HYRI). Suppose the portfolio consists of the following number of shares: Archibald—20 shares, Akolytle—140 shares, and Hyrius—60 shares. If Darnell decides he wants to sell 50 percent of his shares in Archibald at the prevailing market price, fill in the details in the steps he should take to place the order.
1. Get in contact with his broker to let him know he wants to make a transaction.
2. Tell the broker he wants to sell stock in Archibald.
3. Receive (a bid / an ask) quote from the broker.
4. Tell the broker he wants to sell (10 / 20/ 60 / 140) shares.
5. Tell the broker he wants this to be a (marker order / stop-buy order/stop-loss order).
1. The first step that Darnell should take is to get in touch with his broker to inform him of his desire to sell 50 percent of his shares in Archibald at the current market price.
2. He should then instruct his broker that he wants to sell his shares in Archibald and provide the number of shares he wants to sell.
3. The broker will then provide him with a bid or an ask quote, which represents the current market price for the shares in Archibald.
4. Darnell should tell his broker that he wants to sell 10 shares of Archibald, which represents 50 percent of his holdings in that stock.
5. Darnell should instruct his broker that he wants this to be a market order, which means that the shares will be sold at the prevailing market price without any restrictions or limitations.
Here's the correct information to fill in the steps Darnell should take to place the order:
1. Get in contact with his broker to let him know he wants to make a transaction.
2. Tell the broker he wants to sell stock in Archibald.
3. Receive an ask quote from the broker.
4. Tell the broker he wants to sell 10 shares (50% of his 20 Archibald shares).
5. Tell the broker he wants this to be a market order.
Your answer: 1. Contact broker, 2. Sell Archibald stock, 3. Ask quote, 4. Sell 10 shares, 5. Market order.
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Which statement is true regarding Check No. - 409?
The statement that is true regarding Check No. - 409 is b. This check was wri`en by John and paid to another person or business.
What is a check?A check can be described as the document that that serves as document which is been given to the user by the financial institution to be collecting money whenever they want from the institution, this institution can be a bank or other institution.
It should be noted that the Check No. - 409 is a type of check, and when someone want to pay another person, one can issue check for him to go and get the money on his behalf.
Therefore, option B is correct.
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Check the missing options:
a. This check likely came from John’s employer. b. This check was wri`en by John and paid to another person or business. c. This check caused John to overdraw his checking account. d. This check added $100 to John’s account.
Suppose a basket of goods and services has been selected to calculate the CPI and 2012 has been selected as the base year. In 2012, the basket’s cost was $50; in 2014, the basket’s cost was $52; and in 2016, the basket’s cost was $55. The value of the CPI in 2016 was
Answer: 2016 CPI is 110
Explanation:
Given the following :
Base year = 2012
Cost of basket in 2012 = $50
Cost of basket in 2014 = $52
Coat of basket in 2016 = $55
The Consumer Price Index (CPI) is calculated using the formula :
CPI = (weighted cost item in current period / weighted cost of item in base period) × 100
Base period / year = 2012
Current period = 2016
Therefore, 2016 CPI equals;
($55 / $50) × 100
= 110
As a director of a very successfull, the company board has suggested that using the company's normal cost of capital might not be appropriate in a capital rationing situation. Explain whether you agree with the board. Reference credible sources to substantiate your response.
Discuss the limitations of the profitability index as a means of dealing with capital rationing problems. Reference credible sources to support your response.
To further explore the limitations and considerations of using the profitability index in capital rationing, i recommend consulting reputable finance textbooks or academic journals that delve into the topic of capital budgeting under resource constraints. t
However, i can offer you some general perspectives on the issues you've raised.
1. Using the company's normal cost of capital in a capital rationing situation:in a capital rationing situation, where a company faces constraints on available funds for investment projects, the board's suggestion that the normal cost of capital might not be appropriate could be valid. capital rationing often arises when there are limited resources and management needs to prioritize investment projects.
in such situations, companies may consider adjusting their cost of capital to reflect the scarcity of funds and the potential opportunity cost of choosing one project over another. this can involve using a higher discount rate for capital budgeting decisions or applying different criteria for evaluating projects, such as profitability, payback period, or strategic fit.
however, it's important to note that any adjustments to the cost of capital should be carefully evaluated and justified based on the specific circumstances of the company and the capital rationing situation. it is advisable for companies to seek the guidance of financial experts and consider their unique business context when making such decisions.
2. limitations of the profitability index in capital rationing problems:
the profitability index (also known as the profit investment ratio or value investment ratio) is a financial metric used to evaluate investment projects by comparing the present value of future cash flows to the initial investment. while the profitability index can be a useful tool in capital budgeting decisions, it has certain limitations, including:
a) subjectivity in setting the acceptance criterion: the profitability index does not provide a clear threshold for decision-making. companies must establish a specific cutoff point or acceptance criterion, which can be subjective and may vary across different organizations.
b) ignores project scale: the profitability index does not consider the absolute size or scale of the investment projects. projects with lower profitability indices but higher absolute cash flows might be more desirable from a value creation perspective.
c) ignores project duration: the profitability index assumes that all projects have the same duration, which may not be the case. longer-term projects may have higher profitability indices due to the compounding effect of cash flows, even if their overall value is lower.
d) excludes risk assessment: the profitability index does not account for the risk associated with investment projects. projects with higher profitability indices may carry higher risks, and it is essential to consider risk-adjusted metrics or perform sensitivity analyses alongside the profitability index.
hese sources can provide in-depth analyses and empirical evidence supporting the points mentioned above.
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the purchase price of a property was $339,500. the buyer is obtaining a 90% loan for 30 years at 4.15% apr. the lender has quoted the buyer 1.75% discount points to secure the loan. how much will the buyer pay in discount points?
The buyer will pay $5,344.13, if the purchase price of a property was $339,500 in discount points to secure the loan.
Discount points are a type of upfront fee paid by a borrower to a lender at the time of closing on a mortgage loan. Each discount point is equal to 1% of the total loan amount, and paying points can lower the interest rate on the loan. In this case, the buyer is obtaining a 90% loan for $339,500, which is equal to $305,550.
Loan amount = 90% of purchase price = 0.9 x $339,500 = $305,550
Next, we can calculate the discount points as a percentage of the loan amount:
Discount points = 1.75% x $305,550 = $5,344.13
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Why should you avoid leaving your idle
cash sitting in a bank?
A. You will not be able to access it quickly.
B. Your money will not be growing as rapidly as if you used
another option.
C. You will be required to pay a high interest rate.
In the model of the money supply process, the depositor's role in influencing the money supply is represented by:_______
In the model of the money supply process, the depositor's role in influencing the money supply is represented by: "the currency holdings."
What is money supply process?The money supply is the total amount of currency and liquid assets inside a country's economy at the time measured. Cash or deposits which can be utilized virtually as quickly as cash are roughly included in the money supply.
Some key features regarding the money supply process are-
Economists study the money supply and devise strategies to control interest rates and increase or decrease the quantity of money circulating in the economy. Because of the potential effects of the supply of money on market prices, inflation, as well as the business cycle, private and public sector study is carried out. The Federal Reserve policy has become the most significant factor in the money supply in the United States. Money supply is often referred to as money stock.To know more about the money supply, here
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Mason Milling grinds calcined alumina to a standard granular size. The mill produces two different size products from the same raw material. Regular Grind can be produced at a rate of 10,000 pounds per hour and has a demand of 400 tons per week with a price per ton of $900. Super Grind can be produced at a rate of 6,000 pounds per hour and has a demand 200 tons per week with a price of $1,900 per ton. A minimum of 700 tons has to be ground every week to make room in the raw material storage bins for previously purchased incoming raw material by rail. The mill operates 24/7 for a total of 168 hours/week. How many tons of each product must be produced each week to maximize revenue? (hint: be careful with units in this problem, ton, ton per week, ton per hour).
The mill should produce 700 tons of super grind and 0 tons of regular grind every week to maximize revenue.
The main aim of the problem is to find out the number of tons of each product that has to be produced per week to maximize revenue.
The regular grind is produced at a rate of 10,000 pounds per hour and has a demand of 400 tons per week with a price per ton of $900.The super grind is produced at a rate of 6,000 pounds per hour and has a demand of 200 tons per week with a price per ton of $1,900.To make room for the incoming raw materials, a minimum of 700 tons has to be ground every week.
According to the given conditions, we need to find out how many tons of each product should be produced per week to maximize the revenue.
Let the number of tons of regular grind be x. Let the number of tons of super grind be y.
Since a minimum of 700 tons has to be ground every week, the equation becomes:
x+y ≥ 700
The regular grind is produced at a rate of 10,000 pounds per hour and has a demand of 400 tons per week. Hence, we get:10,000x / 2,000 = 400x = 80/3 tons per hour
The super grind is produced at a rate of 6,000 pounds per hour and has a demand of 200 tons per week. Hence, we get:
6,000y / 2,000 = 200y = 100/3 tons per hour
Since the mill operates 24/7 for a total of 168 hours/week, the number of hours the mill operates to produce regular grind is given by:
80/3 * h ≤ 10,000
h ≤ 750
The number of hours the mill operates to produce super grind is given by:
100/3 * k ≤ 6,000k ≤ 1800/100 = 18
The total revenue generated can be given by:
R = 900x + 1900y
The problem is to maximize revenue. We can use linear programming to solve this problem:
Maximize R = 900x + 1900ysubject to:
x + y ≥ 70080/3x + 100/3y ≤ 168x ≤ 750y ≤ 18x ≥ 0, y ≥ 0
The feasible region is shown below:
graph{y≤-0.8x+168y≥0x≥0x+y≥700y≤18}
The vertices of the feasible region are (0, 700), (750, 0), and (522, 178).
We evaluate R at these points to see which one gives the maximum value of R.
R(0, 700) = 900(0) + 1900(700) = 1,330,000
R(750, 0) = 900(750) + 1900(0) = 675,000
R(522, 178) = 900(522) + 1900(178) = 938,800
Therefore, the maximum revenue is $1,330,000 when the mill produces 700 tons of super grind and 0 tons of regular grind.
Therefore, the mill should produce 700 tons of super grind and 0 tons of regular grind every week to maximize revenue.
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Which of the following best explains what happens when a company or government issues bonds? A. The company or government pays bondholders to provide a specific good or service. B. The company or government goes into debt to those who purchase the bonds. C. The company or government sells a partial interest in its enterprise to bondholders. D. The company or government can spend money that doesn't yet exist.
The correct answer is B. When a company or government issues bonds, they go into debt to those who purchase the bonds.
When a company or government issues bonds, it means they are borrowing money from investors or bondholders. By issuing bonds, the company or government is essentially entering into a contractual agreement to repay the borrowed amount, along with interest, over a specified period of time. Bonds are a form of debt securities that allow companies and governments to raise capital for various purposes, such as funding projects, expanding operations, or financing government activities.
When investors purchase bonds, they are lending their money to the issuer. In return, the issuer promises to make regular interest payments to the bondholders and repay the principal amount at the bond's maturity. By issuing bonds, the company or government effectively increases their level of debt. The borrowed funds can be used for various purposes, including investment in new projects, infrastructure development, or meeting financial obligations. In summary, when a company or government issues bonds, they are going into debt to the investors or bondholders who purchase those bonds. It provides them with a means to raise capital by borrowing money from the market, which they are obligated to repay according to the terms of the bond agreement.
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According to recent U.S. Census Bureau research volunteerism is at an all time high, but: __________
Answer: 3 out of 4 citizens do not give any time to the communities in which they live
Why would a bank be more likely to make a loan to someone with a FICO score of 750 rather than someone with a score of 500? a) The higher the score, the greater the interest rate the lender can charge the borrower b) The closer the score to zero, the less the person owes in debt to other companies c) The higher the score, the less risk to the lender that the borrower will be past due on their payments d) None of the above
Answer:
c) The higher the score, the less risk to the lender that the borrower will be past due on their payments
Explanation:
Fair Isaac Corporation scores are used to measure the creditworthiness of a borrower. The higher the credit scores, the higher the chances of the borrower paying back what was borrowed. Credit scores are in ranges. Credit scores below 500 are rated as Poor and indicates that the borrower's chances of returning what was borrowed are very low.
Credit scores between 740-799 are rated as very good and indicate that the borrower would be prompt in the repayment of his loan.
Answer: the higher the score, the less the risk to the lender that the borrower will be past due on their payments
Explanation:
What is the purpose of the federal budget? A. It serves as a plan for government spending each year. B. It ensures that the government will always have a surplus C. It allows the government to default on its debts O D. It prevents the government from creating a budget deficit .
Answer:
It serves as a plan for government spending each year
The major purpose of the federal government is to serve as a plan for government spending each year.
What do you mean by a federal budget?A federal budget refers to a plan for how the government will take in money.
It is revised every year and the purpose is to outline the budget for the nation's priorities for years.
It serves as a plan for government spending. Therefore, A is the correct option.
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Sheridan Company has 29000 units in beginning finished goods. If sales are expected to be 60000 units for the year and Sheridan desires an ending finished goods of 33000 units, how many units must the company produce? 56000 60000 64000 O 93000
The company must produce 64,000 units to meet the sales target and maintain the desired ending finished goods inventory. The correct answer is 64,000. (Opton C)
How is this so?To determine the number of units the company must produce, we need to calculate the net increase in finished goods inventory.
Beginning finished goods - 29,000 units
Ending finished goods target - 33,000 units
Sales: 60,000 units
Net Increase = Ending finished goods target - Beginning finished goods + Sales
= 33,000 - 29,000 + 60,000
= 4,000 + 60,000
= 64,000 units
Thus, it is correct to state that, the company must produce 64,000 units to meet the sales target and maintain the desired ending finished goods inventory. The correct answer is 64,000.
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The materials price variance is the difference between the actual price of materials ______. Multiple choice question. and the standard price for materials with the difference multiplied by the standard quantity of material allowed and the standard price for materials with the difference multiplied by the actual quantity of materials times the actual quantity of materials and the standard price of materials times the standard quantity allowed for production
Answer:
and the standard price paid for direct materials multiplied by the actual quantity of direct materials purchased
Explanation:
The formula to calculate the material price variance is
Material price variance is
= (Standard price - actual price) × actual quantity
Based on the above formula, the above statement represent the formula of the material price variance
Hence, the same is to be considered
Explain one advantage for RDM of implementing a project-based organizational structure.
One advantage of implementing a project-based organizational structure for Research Data Management (RDM) is increased flexibility and adaptability to changing needs and priorities.
With a project-based structure, RDM teams can easily adjust their focus and resources to meet the specific requirements of each project, as well as to accommodate changes in funding, research goals, or other circumstances.
In a project-based structure, teams are organized around specific projects or initiatives, with clear objectives, timelines, and milestones. This allows RDM teams to work more efficiently and effectively, with a shared sense of purpose and direction.
It also enables them to collaborate more closely with other stakeholders, such as researchers, funders, and IT professionals, to ensure that data management practices are aligned with broader research goals and priorities.
Another advantage of a project-based structure is that it fosters innovation and creativity by allowing RDM teams to experiment with new ideas, tools, and technologies in a controlled and focused environment.
This can lead to new insights, solutions, and best practices that can be shared across projects and organizations, ultimately benefiting the wider research community.
Overall, a project-based organizational structure offers several advantages for RDM, including increased flexibility, adaptability, collaboration, innovation, and alignment with broader research goals and priorities.
By leveraging these benefits, RDM teams can deliver high-quality data management services that support the needs of researchers, funders, and other stakeholders, while advancing the state of the art in research data management.
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Which of the following defines the objectives of a project?
A) something that is required or in demand
B) targets and destinations for the project
C) statements of what the project will accomplish
D) all of the activities necessary for the project
statements of what the project will accomplish
Answer: D. all of the activities necessary for the project
Explanation: boss baby approved
Jane Advertise Don't advertiseAdvertise J: $6,000 J: $3,000Bob B: $10,000 B: $20,000Don't advertise J: $12,000 J: $10,000 B: $5,000 B: $15,0005. The payoff matrix of economic profits above displays the possible outcomes for Bob and Jane who are involved in game of whether or not to advertise. If Jane advertises, Bob's profit will be _____ if he advertises.a. $10,000b. $20,000c. $5,000d. $15,0006. Using the payoff matrix above, which player(s) will always advertise regardless of what the other player does?< a. Bob only. b. Jane only.c. Both Bob and Jane. d. Neither Bob nor Jane.7. Using the payoff matrix above, in the Nash equilibrium Jane's profit is ____ Bob's profit is ____ a. $6,000; $10,000 b. $3,000; $20,000 c. $12,000; $5,000 d. $10,000; $15,00011. What type of industry is characterized by having many firms, each producing a similar but not identical product, and with no barriers to entry?< a. Perfect competition.b. Monopoly.c. Monopolistic competition. d. Oligopoly..12. What type of industry is characterized by having a few mutually interdependent firms?< a. Perfect competition. b. Monopoly. c. Monopolistic competition. d. Oligopoly. 13. What type of industry is characterized by having many firms, each producing an identical product, and with no barriers to entry?< a. Perfect competition. b. Monopoly.c. Monopolistic competition. d. Oligopoly.
5. The payoff matrix of economic profits above displays the possible outcomes for Bob and Jane who are involved in a game of whether or not to advertise. If Jane advertises, Bob's profit will be $20,000 if he advertises. Hence, the correct option is (b) $20,000.
6. Using the payoff matrix above, Bob will always advertise regardless of what the other player does. Thus, the correct option is (a) Bob only.7. Using the payoff matrix above, in the Nash equilibrium Jane's profit is $12,000 and Bob's profit is $5,000. Thus, the correct option is (c) $12,000; $5,000.11. A perfect competition type of industry is characterized by having many firms, each producing a similar but not identical product and with no barriers to entry.
Thus, the correct option is (a) Perfect competition.12. An oligopoly type of industry is characterized by having a few mutually interdependent firms. Thus, the correct option is (d) Oligopoly.13. A perfect competition type of industry is characterized by having many firms, each producing an identical product, and with no barriers to entry. Thus, the correct option is (a) Perfect competition.
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Which of the following is used to make the size estimation when developing the schedule? : O LOC information from the successfully completed similar past projects O LOC information from the existing project Number of transactional functions of the target application
The option used to make size estimation when developing the schedule is: "LOC information from the successfully completed similar past projects."
Size estimation plays a crucial role in developing an accurate schedule for a project. In this context, using the "LOC (Lines of Code) information from the successfully completed similar past projects" is a common approach. By leveraging historical data from similar projects that have been successfully completed, the organization can analyze the number of lines of code required and use it as a basis for estimating the size of the current project. This approach assumes that projects with similar characteristics and functionality will have comparable levels of effort and time required for completion. By considering the past project's LOC information, project managers can make informed decisions and create more realistic schedules for the development process.
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The share price of Grath Oil is currently $77. 6. Several months ago, when the price was $51. 21, Charles bought 186 shares of Grath Oil. If he sells all of his stock in Grath Oil today, how much profit will he make? a. $4,716. 96 b. $23,858. 22 c. $14,333. 16 d. $4,808. 10.
The share price of Grath Oil is currently $77. 6. Several months ago, when the price was $51. 21, Charles bought 186 shares of Grath Oil. If he sells all of his stock in Grath Oil today . This off to the nearest cent, the answer is $4,904.55, which is closest to option D, $4,808.10. Hence, the correct option is (d) $4,808.10.
To find out the profit that Charles will make after selling all of his shares of Grath Oil, the following steps need to be followed:
Step 1: Find out the amount Charles spent when he bought the shares: Let the amount he spent be x. Since he bought 186 shares when the price was $51.21 per share, he spent: x = 186 × 51.21 = $9,521.06
Step 2: Find out the current value of his shares: Let the current value of his shares be y.
Since the current share price is $77.6 per share, the current value of his shares is:y = 186 × 77.6 = $14,425.6Step 3: Find out the profit Charles will make: Profit = Selling price - Cost price.
Since Charles is selling all his shares, the selling price is equal to the current value of his shares. Therefore, the profit he will make is: Profit = $14,425.6 - $9,521.06= $4,904.54.
Rounding this off to the nearest cent, the answer is $4,904.55, which is closest to option D, $4,808.10. Hence, the correct option is (d) $4,808.10.
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Minerals from animal products are better absorbed than minerals from plant products because ____________ inhibit absorption. Spinach has a good amount of calcium, but the ____________ in spinach binds calcium, reducing its ____________ . Food processing can also affect a food's mineral content; refining a grain ____________ the mineral content of the food. The only mineral added back during enrichment of grain products is ____________ .
Minerals from animal products are better absorbed than minerals from plant products because phytates inhibit absorption.
Spinach has a good amount of calcium, but the oxalates in spinach binds calcium, reducing its bioavailability.
Food processing can also affect a food's mineral content; refining a grain reduces the mineral content of the food.
The only mineral added back during enrichment of grain products is iron.
Minerals from animal products are better absorbed than minerals from plant products because plant-based foods contain phytates which inhibit absorption. Phytates are compounds found in plant-based foods that bind to minerals, making them less available for absorption in the body. Animal-based foods, on the other hand, do not contain phytates, making their minerals more readily available for absorption.
Spinach has a good amount of calcium, but the oxalates in spinach binds calcium, reducing its bioavailability. Oxalates are compounds found in spinach and other leafy greens that can bind to calcium and reduce its absorption in the body. This means that even though spinach contains calcium, not all of it can be absorbed by the body.
Food processing can also affect a food's mineral content; refining a grain reduces the mineral content of the food. During the refining process, the outer layer of the grain, which contains important minerals, is removed. This means that refined grain products like white flour or white rice have lower mineral content than their whole grain counterparts.
The only mineral added back during enrichment of grain products is iron. When grains are processed, some of the important vitamins and minerals are lost. To help combat this, some grain products are enriched with added vitamins and minerals. However, the only mineral that is added back during this process is iron. Other minerals like zinc, magnesium, and calcium are not typically added back.
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A trader bought motor vehicle costing ksh 3000000 on 1st january 2018 on april 1st 2020 he bought another costing 1000000. The business calculates depreciation on motor vehicle at the rate of 25% on cost per annum. Required a depreciation and provision for depreciation account
The total depreciation for the two motor vehicles would be Ksh 2,562,500, and the provision for the depreciation account would be credited with this amount.
Depreciation is the decrease in the value of an asset over time due to wear and tear, obsolescence, or other factors. In this scenario, the trader bought a motor vehicle worth Ksh 3,000,000 on January 1, 2018, and another worth Ksh 1,000,000 on April 1, 2020. The business calculates depreciation on motor vehicles at the rate of 25% on the cost per annum.
To calculate the depreciation for each motor vehicle, we need to multiply its cost by the depreciation rate of 25% per annum. For the first motor vehicle, the depreciation for 2018 would be Ksh 750,000 (25% of Ksh 3,000,000), and for 2019 it would be another Ksh 750,000. For 2020, the depreciation would be Ksh 750,000 plus an additional Ksh 562,500 (25% of Ksh 2,250,000, which is the remaining cost of the vehicle after two years of depreciation). Therefore, the total depreciation for the first motor vehicle would be Ksh 2,062,500.
Similarly, for the second motor vehicle, the depreciation for 2020 would be Ksh 250,000 (25% of Ksh 1,000,000), and for 2021 it would be another Ksh 250,000. Therefore, the total depreciation for the second motor vehicle would be Ksh 500,000.
To create a provision for a depreciation account, we need to debit the depreciation expense and credit the provision for a depreciation account. This will ensure that the value of the motor vehicles on the balance sheet reflects their current value after considering the depreciation. The provision for the depreciation account will be a contra-asset account, which means it will be subtracted from the total value of the motor vehicles to arrive at the net book value.
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When fire alarm sounds. Why should you evacuate children immediately even if you do not see flames?
Answer: because even if there is no fire there could be an explosion, fire and gasoline WILL make an explosion. So Basically it can start with fire but soon turn into an explosion. If it's a fire DRILL then it's for practice if that actually does happen.