Meng uses time and materials pricing. its time charge per hour of direct labor is $61. its materials markup is 25% The total Price of the Job will be $ 9,880.
What is Pricing ?Pricing, which can be a part of a company's marketing strategy, is the process by which a company determines the price at which it will offer its goods and services.
When determining prices, the company will consider the cost of production, the market, the competition, the state of the market, the brand, and the quality of the product.
Computation of Price of the Job
Given in Question
direct labor is $61.
materials markup is 25%
direct materials = $4,000
\(Price of the job = (Direct Material + Mark Up ) + (Direct labor * No of Labor)\\ = ($4000+25%) + ($61*80)\\ = 5000 + 4880\\ = $ 9,880\)
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What are some things that the presenter can do to engage the audience?
Answer:
Wow
Explanation:
Co
Answer:
Start your presentation by making them think. Ask them a question, or start with statistics. Make your presentation as relatable as it can possibly get. DON'T repeat yourself. I causes the audience to get board. Don't tell them why your presentation matters, show them. Be confident and do your best. It spreads a positive message and the more confident you seem on the topic and on the presentation the more people will want to listen.Explanation: BELIVE IN YOURSELF AND DO YOUR BEST, if it still doesn't go well, life might be trying to tell you something.
Hope this helps! I know you'll do great!
What Resident Evil games do you guys love and what monster or boss is your favourite inside that game.
a. Resident Evil 1
b. Resident Evil 2
c. Resident Evil 3
d. Resident Evil 4
e. Resident Evil 5
f. Resident Evil Revelations
g. Resident Evil Revelations 2
h. Resident Evil 0
i. Resident Evil 7
j. Resident Evil 1 REmastered
k. Resident Evil 2 REmake
l. Resident Evil 3 REmake
Answer:
i-
totally business studies
Explanation:
no comment
Answer:
b. Resident Evil 2
Explanation:
Mr X (Tyrant) is my favorite boss in RE2:)
A strategy in which a player uses probabilities to decide which strategy to use is called a:_______
a. pareto strategy.
b. pure strategy.
c. coin flip strategy.
d. mixed strategy.
A strategy in which a player uses probabilities to decide which strategy to use is called a mixed strategy.
In game theory, a player's strategy is any choice they select in a situation where the result is influenced by both their own and other players' actions. The primary focus of discipline is when a player's behavior or activities in a game interfere with those of other players.
An assignment of a probability to each pure strategy is a mixed strategy. When a mixed strategy is used, it is frequently because a pure strategy can't be specified for the game in a sensible manner. This enables a player to choose a pure strategy at random. Since probabilities are continuous, a player has access to an endless number of mixed strategies.
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assuming you were charged simple interest on a loan of $4,900 which requires you to repay in one year $5,292, what rate of interest would you be charged? (round interest rate to the nearest hundredth percent if necessary.)
The rate of simple interest charged in this loan is 8%.
To calculate the rate of interest in a simple interest loan, we can use the following formula:
Rate of interest = (Total interest / Principal) × 100
In this case, the principal is $4,900, and the total repayment amount is $5,292.
The total interest can be determined by subtracting the principal from the total repayment amount:
Total interest = Total repayment amount - Principal
Total interest = $5,292 - $4,900 = $392
Using the formula, we can calculate the rate of interest:
Rate of interest = (392 / 4,900) × 100 = 8%
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explain the difference between a peer to peer LAN server-based LAN
Answer:
In Client-Server Network, Centralized server is used to store the data. While in Peer-to-Peer Network, Each peer has its own data. ... In Client-Server Network, Server respond the services which is request by Client. While in Peer-to-Peer Network, Each and every node can do both request and respond for the services.
How is a game restarted if the ball is kicked out of bounds over the goal-line by the defensive team in soccer?
Answer:
If the ball goes over the goal line (end line), but not into the goal, and was last touched by the attacking team, it is put back into play by the defending team with a goal kick.
Your employer does not own the rights to your work email. True Or False?
Answer:
False.
Explanation:
Your employer can access it because it's not private.
the likelihood that a decision maker will ever receive a payoff precisely equal to the emv when making any one decision is:
The likelihood that a decision maker will ever receive a payoff precisely equal to the EMV when making any one decision is Low (near 0%).
A technological standard for smart payment cards, payment terminals, and ATMs that can accept them is the foundation of the EMV payment mechanism. The three businesses that developed the standard, "Europay, Mastercard, and Visa," are referred to as EMV.
EMV cards are smart cards, also known as chip cards, integrated circuit cards, or IC cards. These cards also include magnetic stripes for backward compatibility and store their data on integrated circuit chips. These comprise both contactless cards that can be read at a close range utilizing near-field communication technology as well as cards that need to be manually inserted or "dipped" into a reader.
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which of the following is not part of a scope baseline
Answer:
where are the chocies ?
Explanation:
Last year Rocco Corporation's sales were $175 million. If sales grow at 6% per year, how large (in millions) will they be 5 years later? a $290.39 b $281.03 c $271.66 d $196.72 e $234.19
The correct answer is option (b) $281.03. Rocco Corporation's sales will be $281.03 million 5 years later. Sales are a crucial aspect of any business, and they determine the profitability of a business.
The correct answer is option (b) $281.03
Explanation: Given, Sales last year (S₀) = $175 million
Growth rate (r) = 6%
Time period (t) = 5 years
Formula used: The formula for finding the sales (S) in 'n' years is given by: S = S₀ (1 + r)ⁿ
Here, S₀ = $175 million
r = 6% = 0.06
t = 5 years
Substituting these values in the above formula, we get: S = $175 million × (1 + 0.06)⁵S = $281.03 million
Therefore, Rocco Corporation's sales will be $281.03 million 5 years later. Sales are a crucial aspect of any business, and they determine the profitability of a business. The sales of a business determine the revenue it generates and can provide insights into the financial health of a business. In this problem, we are given the sales of Rocco Corporation, which is $175 million. The problem asks us to calculate how large Rocco Corporation's sales will be in 5 years if sales grow at a rate of 6% per year. We can use the formula for compound interest to calculate the sales of Rocco Corporation after 5 years.
The formula for compound interest is S = P(1 + r/n)^(nt), where S is the amount of sales after t years, P is the initial sales, r is the interest rate, and n is the number of times the interest is compounded per year. In this problem, we are given P = $175 million, r = 6%, n = 1 (since the interest is compounded annually), and t = 5 years. Substituting these values in the formula, we get: S = $175 million (1 + 0.06/1)^(1 × 5)S = $281.03 million
Therefore, Rocco Corporation's sales will be $281.03 million in 5 years if sales grow at a rate of 6% per year.
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1) Sally and James' daughter just turned 5 and they have some money that they could set aside for
their daughter. They want to make sure she will have $12,500 for her 17th birthday so she could use
that
money
to
go on an overseas trip. If they found an account that would pay 3.9% annual interest,
How much do they have to put into the account now? *
Answer:
$7,898
Explanation:
The $12,500 is equivalent to the future value of the invested amount.
using the formula
where A is future amount,
Pi= principal or invested amount,
t = time 12 years ( the difference between 17 and 5 years)
r= is interest rate of 3.9% or 0.039 %
A = P(1 +rt)^n
$12,500= P(1 +0.039)^12
$12,500 = P(1.5827)
P=$12,500/1.5827
P= $7,897. 89
P=$7,898
When a country that imports a particular good imposes an import quota on that good,
A. consumer surplus increases and total surplus increases in the market for that good.
B. consumer surplus increases and total surplus decreases in the market for that good.
C. consumer surplus decreases and total surplus decreases in the market for that good.
D. consumer surplus decreases and total surplus increases in the market for that good.
When a country that imports a particular good imposes an import quota on that good, then, the consumer surplus decreases and total surplus decreases in the market for that good. The Option D is correct.
What is an import quota?In economics, an import quota means a kind of trade restriction that sets a physical limit on the quantity of a good that can be imported into a country in a given period of time. Quotas, jut like other trade restrictions are typically used to benefit the producers of a good in that economy (protectionism).
In most economies, the main objective of an import quota to protect the domestic market from foreign goods by limiting importing goods from the overseas market.
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any unamortized bond discount should be reported on the balance sheet of the issuing corporation as a(n)?
a. asset.
b. direct deduction from retained earnings in the stockholder’s equity section.
c. addition to the face amount of the bonds in the liability section.
d. direct deduction from the face amount of the bonds in the liability section.
d. direct deduction from the face amount of the bonds in the liability section.
Any bond discount that hasn't been amortized is the difference between the bond's face value and the proceeds from selling it below market value. This discount is amortized gradually over the course of the bond's life and is treated as a reduction of the bond's face value.
Therefore, any unamortized bond discount must be shown as a direct deduction from the face value of the bonds in the liability section of the issuing company's balance sheet.
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On january 1, 2021, calloway company leased a machine to zone corporation. the lease qualifies as a sales-type lease. calloway paid $240,000 for the machine and is leasing it to zone for $34,000 per year, an amount that will return 10% to calloway. the present value of the lease payments is $240,000. the lease payments are due each january 1, beginning in 2021. what is the appropriate interest entry on december 31, 2021
On December 31, 2021, Calloway will record an interest entry of $20,600.
Calloway Company leased a machine to Zone Corporation on January 1, 2021. This is a sales-type lease, which means Calloway will recognize the profit at the inception of the lease. Calloway paid $240,000 for the machine and is leasing it for $34,000 per year, which yields a 10% return. The present value of lease payments is equal to the cost of the machine, i.e., $240,000. Lease payments are due each January 1, starting from 2021.
Now, let's determine the appropriate interest entry on December 31, 2021. Since the lease payments are due on January 1, Calloway received a lease payment of $34,000 on January 1, 2021. The interest for the year will be calculated on the remaining lease receivable balance.
1. Calculate the lease receivable balance: $240,000 (present value of lease payments) - $34,000 (lease payment received) = $206,000.
2. Determine the interest for the year: $206,000 (lease receivable balance) x 10% (return) = $20,600.
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Amazon collects massive amounts of data about how, when, why, where, and what people buy, and then analyzes those data to better serve its customers. This activity refers to.
The activity where Amazon collects massive amounts of data to use to analyze customers is known as:
Marketing AnalyticsWhat is Data Analysis?This refers to the use of data for analysis where the different sets of data are separated and sampled so as to monitor behavior.
With this in mind, we can see that because big companies make use of marketing analytics in order to correctly analyse their customers and what they are searching, what they like doing as a means to better serve their customers.
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ben makes an appointment for a $50 haircut, buys a bike for $250, and agrees to work for coding associates for one year for $5,000 per month, starting at the beginning of next month. to be enforceable, a writing is required for
Ben makes an appointment for a $50 haircut, buys a bike for $250, and agrees to work for coding associates for one year for $5,000 per month, starting at the beginning of next month. to be enforceable, a writing is required for the employment agreement.
A collateral settlement is one wherein one person (the guarantor) has the same opinion to pay the debt or duty that a 2nd person (the most important debtor) owes to a 3rd person (the obligee) if the most important debtor fails to perform.
Statutes that exist in each kingdom which require that sure styles of contracts are enforceable simplest if the settlement is in writing or evidenced with the aid of using a written memorandum or digital report this is signed.
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explain advertisement
Answer: Advertisement is a marketing communication. It is used to promote businesses and their products. Used to promote more effectiveness in a businesses profit and their sales. May be seen in the form of commercials or billboard announcements in everyday life.
Universal Electronics is considering the purchase of manufacturing equipment with a 10-year midpoint in its asset depreciation range (ADR). Carefully refer to Table 12–11 to determine in what depreciation category the asset falls. (Hint: It is not 10 years. ) The asset will cost $285,000, and it will produce earnings before depreciation and taxes of $92,000 per year for three years, and then $45,000 a year for seven more years. The firm has a tax rate of 25 percent. Assume the cost of capital is 13 percent. In doing your analysis, if you have years in which there is no depreciation, merely enter a zero for depreciation. Use Table 12–12. Use Appendix B for an approximate answer but calculate your final answer using the formula and financial calculator methods.
(a) Calculate the net present value. (Round "Percentage depreciation" and "PV Factor" to 3 decimal places. Round all dollar values to the nearest whole number. Omit the "$" sign in your response. )
Net present value $ ____
(b) Based on the net present value, should the Universal Electronics purchase the asset?
To calculate the net present value (NPV) of the investment, we need to discount the cash flows generated by the asset and subtract the initial cost.
Here's how to calculate the NPV:
Step 1: Calculate the annual cash flows.
- For the first three years, the earnings before depreciation and taxes are $92,000 per year.
- For the next seven years, the earnings before depreciation and taxes are $45,000 per year.
Step 2: Calculate the depreciation expense.
- The asset falls into a depreciation category that is not 10 years. Since Table 12-11 is not provided, we cannot determine the exact depreciation schedule. Therefore, we will assume a straight-line depreciation method over 10 years for simplicity. The annual depreciation expense will be $285,000 divided by 10 years.
Step 3: Calculate the net cash flows.
- Subtract the depreciation expense from the earnings before depreciation and taxes to get the net cash flows.
Step 4: Calculate the present value of each cash flow.
- Use the cost of capital (13%) as the discount rate to calculate the present value factor for each year.
- Multiply the net cash flow of each year by its present value factor.
Step 5: Sum up the present values of all cash flows.
- Add the present values of all cash flows, including the initial cost.
Step 6: Calculate the net present value.
- Subtract the initial cost from the sum of the present values of all cash flows.
(a) The net present value is calculated as follows:
Net Cash Flows:
Year 1-3: $92,000 - Depreciation Expense
Year 4-10: $45,000 - Depreciation Expense
Present Value Factors:
Year 1-3: PV Factor (13%, n=1-3)
Year 4-10: PV Factor (13%, n=4-10)
Calculate the present value of each cash flow by multiplying the net cash flow by the respective present value factor.
Sum up all the present values and subtract the initial cost to calculate the net present value.
(b) Based on the net present value, the decision should be made. If the net present value is positive, it indicates that the investment is expected to generate more returns than the cost of capital, and thus the asset should be purchased. If the net present value is negative, it indicates that the investment is not expected to generate sufficient returns to cover the cost of capital, and therefore the asset should not be purchased.
Unfortunately, since the depreciation schedule is not provided, and Table 12-11 is not accessible, it is not possible to calculate the exact net present value in this case.
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compute the future value of a $180 cash flow for the following combinations of rates and times. (do not round intermediate calculations. round your answers to 2 decimal places.)
To compute the future value of a $180 cash flow for the given combination of rates and times, we get the future value as $198.28
Here are the calculations you would need to make to compute the future value of a $180 cash flow for the following combinations of rates and times:
1. 5% annual rate, 10 years:
Future Value = $180 x (1 + 0.05)^10 = $295.85
2. 8% annual rate, 5 years:
Future Value = $180 x (1 + 0.08)^5 = $249.57
3. 6% semi-annual rate, 6 years (12 periods):
Future Value = $180 x (1 + 0.06/2)^(6*2) = $267.10
4. 4% quarterly rate, 2 years (8 periods):
Future Value = $180 x (1 + 0.04/4)^(2*4) = $198.28
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The financial analysis component of a business plan is to describe how your business will be organized and what type of management or department structure your business will have b. the ?big picture? behind your business, what your business has to offer the consumer, and why your business will be successful the size of the market, how your business will fit into the market, and how your business will stand out from other businesses in the market d. where the funds to start and operate your business will come from, when you expect to see profit, and how much profit you expect to see C. Please select the best answer from the choices provided
Answer:
where the funds to start and operate your business will come from, when you expect to see profit, and how much profit you expect to see.
Explanation:
The financial analysis component of a business plan is to describe where the funds to start and operate your business will come from, when you expect to see profit, and how much profit you expect to see.
Hence, Answer = where the funds to start and operate your business will come from, when you expect to see profit, and how much profit you expect to see.
RevyBreeze]
The collection of interactions a company has with a customer who has already purchased a product is
called
When dealing with customers face-to-face, a good customer service technique is
to
When speaking with customers over the phone, it is important to be aware of
can change the meaning of what is said.
If the customer appears to be frustrated the company service agent should try to understand the situation and should be familiar with situation.
What is a customer service technique?
A good service technique is a face-to-face interaction, first listen, summarize the problems, and repeat one should try to get a detailed insight into the problem and understand the client's frustration they should remember to tackle the situation carefully. They should have patience, empathy, and other qualities.
What are three important technique of customer service?
Essentially, the three "p"s of professionalism, patience, and a "people-first" mindset are the three key components of good customer service. Although each customer's experience with customer care is unique, as long as you're adhering to these rules, you're on the right route.
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Answer:
The collection of interactions a company has with a customer who has already purchased a product is
called
✔ customer service
.
When dealing with customers face-to-face, a good customer service technique is
to
✔ maintain eye contact
.
When speaking with customers over the phone, it is important to be aware of
✔ tone of voice
because it can change the meaning of what is said.
Actually got it right.
Have a good one!
: A small fast-food restaurant makes hamburgers and has costs equal to cly) = 28 + , where y stands for the number of hamburgers made in a day. The restaurant's average variable cost of making 12 hamburgers is $ .(Give your answer to the nearest two decimals.)
The restaurant's average variable cost of making 12 hamburgers is $1.00.
To find the average variable cost for making 12 hamburgers, we first need to determine the total variable cost and then divide it by the number of hamburgers made. From the given cost function c(y) = 28 + y, we can identify that the variable cost is represented by 'y'.
Since the restaurant makes 12 hamburgers, we can substitute y with 12: Variable cost = 12.
Now, we can find the average variable cost by dividing the total variable cost by the number of hamburgers:
Average variable cost = (Total variable cost) / (Number of hamburgers) = 12 / 12 = $1.00.
So, the restaurant's average variable cost of making 12 hamburgers is $1.00.
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In February, a homeowner contracted with a general contractor to have a basement storage space converted to a sauna, but never paid for the work. The homeowner stopped making mortgage payments in June. The owner is two years delinquent in property taxes to the county. The state gives mechanics' liens priority. If all of these creditors obtain judgments against the owner in November, what will be the priority of their liens (first to last)
Answer:
Generally real estate liens are prioritized following a temporal order, from first to last. This applies to all liens except taxes. Taxes are always first and they are collected before any other lien in the event of a foreclosure.
In this case, the following priority would go to the mechanic's lien from the the general contractor (as a result from court order), then the mortgage, and finally the other creditors.
The primary role of the human resource department of an organization is to
Answer:
Human Resources (HR) is concerned with the issues of managing people in the organisation. two men having a meeting The Human Resources department is responsible for many people related issues in an organisation. Under the HR department’s remit are the following roles: The process of recruiting suitable candidates for the organization Identifying and meeting the training needs of existing staff Ensuring employee welfare and employee relations are positive Ensure the working environment is safe for employees Raising awareness of current workplace legislation
I am wanting to get into the photographer business. I was wondering if anyone knows what good cameras I should buy at first and when still in high school?
A company's pr efforts are often aimed at doing what? a. getting publicity. b. reducing press releases. c. getting more ads. d. comparing ad prices. please select the best answer from the choices provided a b c d
Answer:
b. reducing press releases
Explanation:
Press releases can be negative a lot of the time, so the PR works to reduce the negativity brought by the press about the company.
____________ testing is the determination of whether a product is being built correctly.
Conformance testing is the determination of whether a product is being built correctly.
Conformance testing is a quality assurance process used to verify that a product or system meets the specified requirements and standards. It involves assessing whether the product conforms to the predetermined specifications, design guidelines, and functional requirements.
During conformance testing, various tests and evaluations are conducted to ensure that the product is being built correctly according to the defined criteria. This can include functional testing, performance testing, compatibility testing, security testing, and other forms of testing specific to the product or industry.
The primary objective of conformance testing is to validate that the product meets the desired standards and performs as expected.
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Deimos Corporation has 500,000 shares of $2 par-value common stock issued and outstanding when the market price per share is $22 per share. By what amount will total equity increase when the company declares a 2:1 stock split
Answer:
Total equity will remain the same
Explanation:
A stock split is simply increasing the number of shares and at the same time reducing the par value per share.
A stock split of 2:1 means that the number of shares would double while par value reduces by half.Specifically,the number of shares would increase from 500,000 to 1,000,000 while the par value reduces from $2 per share 1/2*$2 i.e $1 each.
All in all,the there is no increase in total equity overall.
The amount that is originally borrowed or the amount that is repaid when the bond mature is due is known as ___________.
The amount that is originally borrowed or the amount that is repaid when the bond matures is known as the principal.
When a bond is issued, the issuer borrows a certain amount of money from investors, which is known as the principal or face value.
This amount is typically set at a fixed rate and is the amount that the issuer must repay when the bond matures. The principal is also the basis for calculating interest payments, which are typically made semi-annually until the bond matures. The interest payments are calculated as a percentage of the principal, which is why bonds are often referred to as fixed-income investments. In addition to the principal and interest payments, bonds may also have other features such as call provisions, which allow the issuer to redeem the bond before maturity, and sinking fund provisions, which require the issuer to set aside funds each year to repay the bond when it matures. Understanding the principal is important for investors because it helps them to calculate their potential returns and assess the risk associated with investing in a particular bond.
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one advantage of part-time work is that it usually provides the same benefits that full-time employees receive.
TRUE OR FALSE
The statement "one advantage of part-time work is that it usually provides the same benefits that full-time employees receive" is False.
What is part-time work?Part-time work is a type of employment where people work for fewer hours than full-time employees. Part-time workers receive a wage, but they are not entitled to the same benefits as full-time employees.What are the advantages of part-time work?Part-time jobs have several benefits, including the following:Part-time work allows for greater flexibility in scheduling. Part-time jobs usually allow for a more flexible schedule than full-time jobs, making it an excellent choice for individuals who need to balance work and other obligations.Part-time work can offer financial benefits.
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