Under current law, copyright protection for a work created by joint authors expires 70 years after the death of the last surviving author.
In this case, the last surviving author is Teddy, who died in 2114. Therefore, copyright protection for the work will expire 70 years after Teddy's death, or in the year 2184. The relevant provision of the Copyright Act is 17 U.S.C. § 302(b), which states:
"In the case of a joint work prepared by two or more authors who did not work for hire, the copyright endures for a term consisting of the life of the last surviving author and 70 years after such last surviving author's death."
So, the answer to the question is that copyright protection for the work will expire in 2184.
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The balance of payments identity is given by BCA + BKA + BRA = 0. Rearrange the identity for a country with a pure flexible exchange rate regime.
The balance of payments identity (BCA + BKA + BRA = 0) for a country with a pure flexible exchange rate regime can be rearranged as follows: BCA = - (BKA + BRA).
In a flexible exchange rate regime, the exchange rate adjusts to maintain equilibrium in the balance of payments. In this system, BCA represents the balance of the current account, BKA represents the balance of the financial account (or capital account), and BRA represents the balance of the official reserve account.
When the exchange rate is flexible, the central bank doesn't intervene to maintain a specific exchange rate, and as a result, the official reserve account (BRA) becomes negligible. So, the rearranged equation becomes BCA = -BKA. This means that the balance of the current account must equal the negative balance of the financial account.
In other words, a surplus in the current account will be offset by a deficit in the financial account, and vice versa, to ensure equilibrium in the balance of payments.
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Management by objectives (MBO) is a management technique often used to develop and carry out.a. single-use plansb. standing plansc. operational plansd. tactical planse. visionary plans
The MBO process involves setting specific, measurable, achievable, relevant, and time-bound (SMART) objectives for individual employees or teams, and then aligning those objectives with the overall goals of the organization.
By doing so, managers can ensure that employees are working towards the same objectives and that their efforts are contributing to the success of the organization as a whole. While MBO is most commonly used for operational plans, it can also be applied to other types of plans, such as tactical plans and standing plans. However, it may not be as effective for single-use plans or visionary plans, which tend to be more focused on long-term strategic goals rather than specific, measurable objectives. Overall, MBO is a valuable management technique for organizations looking to improve their planning and execution processes. By setting clear objectives and aligning employee efforts with organizational goals, managers can ensure that everyone is working towards the same objectives and that the organization is moving in the right direction.
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why can herbal industry florish in nepal? give reason
The herbal industry in Nepal can flourish because of the widespread availability of medicinal herbs, plants, and shrubs endemic to the country's terrain.
Other reasons-Additionally, the traditional system of medicine that has been practiced in Nepal for centuries provides an established market for medicinal plants. Furthermore, Nepal is located in a region known for its abundance of biodiversity, providing many natural resources which can be used for the expansion of this industry.
Herbs, usually found at altitudes above 3,000 meters, are thought to be rich in natural chemicals. “Because there is no mechanism to label and provide specifications, the country loses huge revenue potential every year,” Bhandari said, adding that the turmeric found in Nepal could be used as a food product if attention is paid to packaging and marketing, added that it can also secure a good market in Europe.
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why is an accountant necessary for an Enterprise?
Answer:
helps you track income and expenditures
Explanation:
I hope it's help
Ben is a double major pursuing degrees in both Finance and Marketing. He is interested in obtaining a position as a personal financial advisor after graduation and is interning with a global financial services company. During his internship, he observes that the most successful advisors wear white shirts, dress very conservatively, and read The Wall Street Journal to stay up to date with the latest business and world news. Ben starts to read The Wall Street Journal too and modifies his dress and grooming style to be more like the representatives he admires. Ben is influenced by _______.
Answer:
A reference group
Explanation:
3. How long will it take for payments of $450 to accumulate to
$12000 at 4% compounded monthly if made (30 marks) a) at the end of
every three months? b) at the end of every six months
It will take approximately 17.456 compounding periods (six-month periods) for the payments of $450 made at the end of every six months to accumulate to $12,000 at a 4% interest rate compounded monthly.
To determine how long it will take for payments of $450 to accumulate to $12,000 at 4% compounded monthly, we can use the future value of an ordinary annuity formula:
Future Value = Payment × ((1 + interest rate)^n - 1) / interest rate
Where:
- Future Value is the desired accumulated amount ($12,000)
- Payment is the regular payment amount ($450)
- Interest rate is the monthly interest rate (4% or 0.04)
- n is the number of compounding periods
a) Payments made at the end of every three months:
In this case, the compounding period is every three months, so we need to adjust the interest rate and the number of periods accordingly.
Interest Rate per Period = Annual Interest Rate / Number of Compounding Periods
n = Total Number of Years × Number of Compounding Periods per Year
For payments made at the end of every three months:
Interest Rate per Period = 4% / 4 (quarters in a year) = 1%
n = Total Number of Years × Number of Compounding Periods per Year
= (unknown) × (4 quarters/year)
Let's calculate the time needed:
Future Value = $450 × ((1 + 0.01)^n - 1) / 0.01
$12,000 = $450 × ((1.01)^n - 1) / 0.01
((1.01)^n - 1) = $12,000 × 0.01 / $450
((1.01)^n - 1) = 0.26666666666666666
(1.01)^n = 1 + 0.26666666666666666
(1.01)^n = 1.2666666666666666
To solve for n (the number of compounding periods), we can take the logarithm of both sides:
n = log(1.2666666666666666) / log(1.01)
Using a calculator, we find:
n ≈ 34.977
Therefore, it will take approximately 34.977 compounding periods (quarters) for the payments of $450 made at the end of every three months to accumulate to $12,000 at a 4% interest rate compounded monthly.
b) Payments made at the end of every six months:
Similarly, for payments made at the end of every six months:
Interest Rate per Period = 4% / 2 (twice a year) = 2%
n = Total Number of Years × Number of Compounding Periods per Year
= (unknown) × (2 times/year)
Using the same formula and calculations as above, we find:
n ≈ 17.456
Therefore, it will take approximately 17.456 compounding periods (six-month periods) for the payments of $450 made at the end of every six months to accumulate to $12,000 at a 4% interest rate compounded monthly.
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According to Accenture's Technology Vision 2014, becoming a(n) _______ is crucial to how enterprises innovate and differentiate from competitors.
Answer:
Truly digital business.
Explanation:
Accenture's technology team are seen to take researches on companies that have technological features are most times results from their desk are set to be criterion or bench mark to tech development to ever company that wants/have dealings with technological materials.
Their approach compels firms to savage tech opportunities, utilizing them for the growth of their companies. Therefore companies that aim at growing further in this form in era like this details that everyone has an app. Furthermore, companies that are dominating in the mobile space don’t stop at offering. Also companies that put digital at the center of what they do know where their customers are attacking them rightly or not.
Joe, Jeff and Jerry Frank own Frank Brothers Farm, a seed company specializing in seed corn. At their weekly meeting they tried to calculate the portion of the farm's overhead expenses that is fixed and the portion that is variable. Over the past twelve months, the number of bushels of seed corn that has been sold reached its peak in May, when the total monthly overhead costs totaled $290,000 for 90,000 bushels of seed corn sold. The lowest number of bushels sold in the last twelve months occurred in December, when total overhead costs were $70,000 for 10,000 bushels sold. What is the fixed portion of the monthly overhead expenses?
Answer:
Fixed costs= $42,500
Explanation:
Giving the following information:
May:
Total monthly overhead costs totaled $290,000 for 90,000 bushels of seed corn sold.
December:
Total overhead costs were $70,000 for 10,000 bushels sold.
To calculate the fixed component, we need to use the high-low method.
First, the variable component:
Variable cost per unit= (Highest activity cost - Lowest activity cost)/ (Highest activity units - Lowest activity units)
Variable cost per unit= (290,000 - 70,000) / (90,000 - 10,000)
Variable cost per unit= $2.75
Now, the fixed costs:
Fixed costs= Highest activity cost - (Variable cost per unit * HAU)
Fixed costs= 290,000 - (2.75*90,000)
Fixed costs= $42,500
Fixed costs= LAC - (Variable cost per unit* LAU)
Fixed costs= 70,000 - (2.75*10,000)
Fixed costs= $42,500
In actual practice, managers frequently use the: I. average accounting return method because the information is so readily available. II. internal rate of return because the results are easy to communicate and understand. III. discounted payback because of its simplicity. IV. net present value because it is considered by many to be the best method of analysis
Answer:
45
Explanation:
edg
Frequently managers use the ARR method, IRR method, and NPV method in the process of capital budgeting.
What is a budget?A budget You can prepare for your income and expenses over the course of a specific time period using a budget. Making a monthly budget, for instance, considers where your income and expenses will go each month. "A budget is frequently a dirty term or has a nasty ring to it.
Simply said, a budget is a spending plan that accounts for both present and future sources of income and expenses. A budget ensures that your spending is under control and that your savings are on track for the future.
The reason for using these 3 methods is that they use the concept of the time value of money and are easy to understand.
The ARR method information is readily available.
The IRR method is easy to understand.
Also, many companies use the NPV technique.
Therefore, Thus option (C) is correct.
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a document that totals what the customer owes is called
Answer:
An Invoice
Hope this helps!
Have a good day :)
Answer:
an invoice
Explanation:
=)
Question 9 of 10
If a new source of lumber is found, what is likely to happen to the price of
lumber, and why?
A. The price is likely to increase because demand will increase.
B. The price is likely to increase because costs of production will
increase
C. The price is likely to decrease because demand will decrease.
O D. The price is likely to decrease because supply has increased.
SUBMIT
Answer:
O D. The price is likely to decrease because supply has increased.
SUBMIT
Explanation:
A new source of lumber will result in an increase in the quantity available for sale. As per the laws of supply and demand, an increase in supply without a corresponding increase in demand leads to reduced prices.
The prevailing market price or equilibrium price is the price at which the current demand matches the current supply. There are no shortages or excesses. An increase in supply creates a surplus in the market. For suppliers to sell the excess lumber supplied, they have to reduce prices to create more demand.
anniversary. it has released dates for the new year and invites participants for the unique music, film, and interactive events or sessions from march 10th through 19th. which category of nontraditional marketing would best characterize the marketing activities to attract attendees for the multi-day festival?
Based on the information provided, the marketing activities to attract attendees for the multi-day festival would best be characterized as experiential marketing. Experiential marketing is a type of nontraditional marketing that focuses on creating memorable experiences for consumers.
In this case, the festival organizers are inviting participants to engage in unique music, film, and interactive events or sessions over a period of 10 days. Experiential marketing aims to connect with consumers on a deeper level by providing them with an immersive and interactive experience. By offering a variety of activities and events, the festival organizers are likely trying to create a memorable and engaging experience that will attract attendees.
Experiential marketing allows participants to interact with the brand or event in a more personal and memorable way, creating a stronger emotional connection and increasing the likelihood of repeat attendance and positive word-of-mouth. In summary, the marketing activities for the multi-day festival can be best characterized as experiential marketing, as they aim to create a unique and engaging experience for attendees through music, film, and interactive events.
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amanda and steve smith are married and file jointly. during 2020 they paid state property taxes of $15,000 and state income taxes of $2,000. if they decided to itemize their deductions what amount of combined property and state income taxes can amanda and steve claim on their schedule a - itemized deductions?
Property taxes and state and local income taxes are only eligible for a $10,000 deduction.
However, if a married couple files separately, the deduction is $5,000.
What is called deduction?
An expense that can be deducted from a taxpayer's gross income to lower the amount of income that is subject to taxation is known as a deduction. If a taxpayer chooses to itemise their deductions, they must record each one on Schedule A of Form 1040. Since the Tax Cuts and Jobs Act was passed in 2017, the standard tax deductions have steadily increased.
For instance, if you earn $50,000 a year and give $1,000 to charity in that same year, you are qualified to claim a charitable deduction, which lowers your taxable income to $49,000. A deduction is frequently referred to as an acceptable deduction by the Internal Revenue Service (IRS).
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Transworld Deliveries is expanding its contract home delivery service into the Northeastern United States. The company anticipates that to accommodate this expansion it will need between 35 and 80 staffed delivery vehicles. Transworld is currently moving 35 of its own vehicles, with drivers, into the Northeast. The daily cost of operating its own fleet is $730 per vehicle, while the daily cost of leasing a vehicle and driver is expected to be $1,300 per vehicle. Using an expected value approach, should Transworld purchase additional vehicles and hire additional drivers? If so, how many would you recommend?
Question Completion:
Demand Requirements (in vehicles)
Requirements 20 35 50 80
Probability 0.35 0.15 0.1 0.4
Answer:
Transworld Deliveries
1. Transworld Deliveries should purchase additional vehicles and hire additional drivers.
2. I recommend 14 new vehicles with drivers to bring the number from 35 vehicles to 49 vehicles.
Explanation:
a) Data and Calculations:
Vehicles requirements (Range) 35 and 80
Own Vehicles being moved = 35
Cost of own fleet = $730 per vehicle
Cost of leasing = $1,300 per vehicle
Decision: Purchase additional vehicles or
Lease additional vehicles
Expected Vehicles Required:
Requirements 20 35 50 80
Probability 0.35 0.15 0.1 0.4
Expected value 7 5 5 32
Total expected number of vehicles required = 49
Additional vehicles required = 49 - 35 = 14
Cost of leasing additional vehicle = 14 * $1,300 = $18,200
Cost of purchasing vehicles and hiring additional drivers = $730 * 14 = $10,220
Difference in costs = $18,200 - $10,220 = $7,980
Suppose that Canada and U.S. trade automobiles (A) and cloth (C). In the U.S. it takes one worker one month to produce 1 car and 0.5 of a month to produce one ton of cloth
Canadian worker takes 1/4 of a month to produce a car and one month to produce one ton of cloth
U = DC0.5 DA0.5
Assume that there are 30 workers in Canada and 300 in the U.S.
Under free trade, the given world equilibrium relative price of one car PA/PC = 2/3
a) Construct the world relative demand and relative supply curves.
b) Find the equilibrium world relative price, equilibrium output and consumption of each good in each country, and equilibrium trade flow
Under the scenario of trade between Canada and the U.S. in automobiles (A) and cloth (C), we can analyze the equilibrium relative price, output, consumption, and trade flow using the given information.
To analyze the equilibrium conditions, we need to consider the relative demand and relative supply curves. The relative demand curve represents the quantity of one good that each country demands relative to the other, based on their preferences and relative prices. The relative supply curve represents the quantity of one good that each country supplies relative to the other, based on their production capabilities and relative costs.
By comparing the relative demand and relative supply curves, we can determine the equilibrium world relative price, which is the price at which the quantity demanded equals the quantity supplied globally. Using the given world equilibrium relative price of one car (PA/PC = 2/3), we can find the equilibrium conditions, including output and consumption levels in each country and the trade flow between them.
The equilibrium conditions will depend on the comparative advantage of each country in producing the goods. Based on the production capabilities and costs, we can determine which country specializes in the production of a particular good and how the trade flow is distributed between them
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If an entrepreneur can establish a strong and trustworthy management team, then the
risk might be avoided.
O compliance
O financial
strategic
operational
Mark this and return
Ne
Answer:
operational
Explanation:
bc it is
If an entrepreneur can establish a strong and trustworthy management team, then the operational risk might be avoided. Thus option D is correct.
What is Team?When a group of people come together in an official setting and in a disciplined manner to achieve the common objective of business with individual roles and shared responsibilities representing teams.
A strong and trustworthy management team helps in better controlling and coordinating events which help to avoid operational risk and helps in producing efficient results with productivity.
The enforcement of laws safeguarding the environment and employees helps to reduce compliance risk, and building a stable number of clients helps in reducing financial risk.
Therefore, option D operational is appropriate.
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Market Street Grocery carries a complete line of products that appeal to Hispanic customers. Market Street buys cleaning products such as Fabuloso, food products such as tortillas and tacos, and birthcards written in Spanish from its suppliers. This is an example of segmentation based on _______.
Due to the fact that the segmentation is based on products that appeal to Hispanics, this is a segmentation based on Psychographic factors.
What is psychographic segmentation?
This is the type of segmentation that is made due to the lifestyle of a group of people. This is one where the customers are broken into segments.
These segments are affected by the values, the beliefs and the social status of these people.
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Authorized and available shares Aspin Corporation's charter authorizes issuance of 2,200,000 shares of commor stock. Currently, 1,200,000 shares are outstanding, and 300,000 shares are being held as treasury stock. The firm wishes to raise $36,000,000 for a plant expansion. Discussions with its investment bankers indicate that the sale of new common stock will net the firm $30 per share. a. What is the maximum number of new shares of common stock that the firm can sell without receiving further authorization from shareholders? b. Judging by the data given and your finding in part a, do you think the firm will be able to raise the needed funds without receiving further authorization? c. What must the firm do to obtain authorization to issue more than the number of shares found in part a?
Maximum number of new shares = Authorized shares - Outstanding shares - Treasury stock. Based on shares we find the required funds and then ask for its approval.
a. The maximum number of new shares of common stock that the firm can sell without receiving further authorization from shareholders can be calculated by subtracting the outstanding shares and treasury stock from the authorized shares. In this case, it would be:
Maximum number of new shares = 2,200,000 - 1,200,000 - 300,000 = 700,000 shares
b. Based on the given data and the finding in part a, it seems that the firm will be able to raise the needed funds without receiving further authorization. The maximum number of new shares that can be sold (700,000 shares) should be sufficient to generate the required funds.
c. To obtain authorization to issue more than the number of shares found in part a, the firm would need to seek approval from its shareholders. This typically involves holding a shareholders' meeting where the proposed increase in authorized shares and its purpose are presented. Shareholders would then vote on whether to approve the increase in authorized shares. If the majority of shareholders approve, the firm can proceed with issuing additional shares beyond the initial limit.
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What is the primary difference between common and preferred stockholders?
A. Common stockholders have a higher claim on the business.
B. Preferred stockholders are the only ones who can vote for the
board of directors.
C. Common stockholders are required to be employees of the
business.
D. Preferred stockholders have greater security.
SUBMIT
Answer:
D
Explanation:
Preferred stock holders have greater security.because in the event of the business failure,they have the first claim in the distribution of company assets.
I hope this helps
sdj, inc., has net working capital of $2,630, current liabilities of $5,970, and inventory of $3,860. what is the current ratio? what is the quick ratio?
the current ratio is approximately 1.44, and the quick ratio is approximately 0.79.
The current ratio is calculated by dividing current assets by current liabilities. To find current assets, we need to subtract inventory from net working capital:
Current assets = Net working capital - Inventory
Current assets = $2,630 - $3,860
Current assets = -$1,230 (Note: A negative current asset means the company has more current liabilities than current assets)
Current ratio = Current assets / Current liabilities
Current ratio = -$1,230 / $5,970
Current ratio = -0.21 (Note: A negative current ratio means the company may have difficulty paying its short-term debts)
The quick ratio is calculated by dividing the sum of cash, accounts receivable, and short-term investments by current liabilities. Since we don't have information on cash and short-term investments, we can only use accounts receivable:
Quick ratio = (Accounts receivable + Cash + Short-term investments) / Current liabilities
Quick ratio = Accounts receivable / Current liabilities
Quick ratio = 0 / $5,970
Quick ratio = 0 (Note: A quick ratio of 0 means the company has no liquid assets to cover its short-term debts)
Hi! To calculate the current ratio and quick ratio, we'll first need to determine the current assets. We can use the formula:
Current Assets = Net Working Capital + Current Liabilities
Current Assets = $2,630 + $5,970
Current Assets = $8,600
Now, we can calculate the current ratio and quick ratio:
1. Current Ratio = Current Assets / Current Liabilities
Current Ratio = $8,600 / $5,970
Current Ratio ≈ 1.44
2. Quick Ratio = (Current Assets - Inventory) / Current Liabilities
Quick Ratio = ($8,600 - $3,860) / $5,970
Quick Ratio ≈ 0.79
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deadline for filing income tax returns that have received extensions
Third quarter 2023 estimated tax payment is due on September 15, 2023. The deadline to submit your 2022 extended tax return is October 16, 2023. This is the deadline for submitting your tax return if you opted to request an extension.
What occurs if taxes are still unpaid after the extension?For each month that you are late, penalties for filing might increase by 5% of the tax owed. The minimum fine is $100 or 100% of the tax owed with the return, whichever is less, if you are more than 60 days late. By requesting the extension by the deadline, the penalty file is destroyed.
What occurs if you submit your taxes late but don't have any outstanding debt?There is no penalty for filing a late return after the tax deadline if a refund is due. If you didn't file and owe tax, file a return as soon as you can and pay as much as possible to reduce penalties and interest.
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Jay runs a successful high-end salon downtown and is looking to open a new location in a nearby suburb. He wants to research nearby competitors before
committing. Where should the business owner go to obtain a list of nearby high-end salons?
during december year 10, nile co. incurred special insurance costs but did not record these costs until payment was made during year 11. these insurance costs related to inventory that had been sold by december 31, year 10. what is the effect of the omission on nile's accrued liabilities and retained earnings at december 31, year 10?
The omission would have no effect on Nile's accrued liabilities and retained earnings at December 31, Year 10.
The insurance costs would not be recorded until payment was made in Year 11, and therefore would not be reflected in the financial statements for Year 10. Accrued liabilities are liabilities that have been incurred but not yet paid, and since the insurance costs were not recorded until payment was made in Year 11, they would not be included in Nile's accrued liabilities at December 31, Year 10. Similarly, retained earnings are the cumulative net income of a company since its inception, and since the insurance costs were not recorded until Year 11, they would not be included in Nile's retained earnings at December 31, Year 10. The word "accrued liability" refers to a business expenditure that has been incurred but has not yet been paid for. These are charges for products and services that a corporation has previously received but must compensate for in the future. A business can incur liabilities for any number of commitments, which are then documented on the balance sheet.
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mr. billings has four teenage children, a swimming pool how much does the billings family need to reduce their water usage to so that their water bill for august is less than $200
The Billings family necessities to decrease their water utilization in August to under 32.68 HCF to have a water bill under $200.
How to calculate the water bill for Billing family?a) To compute the water bill for the Billings family in December, we want to consider the levels and the relating charging rates. Since they utilized 10 HCF of water, we should separate it into the material levels:
Utilization 0 to 8 HCF: 8 HCF x $3.64 = $29.12
More than 8 to 24 HCF: 2 HCF x $4.08 = $8.16
The all out bill for December would be the amount of these sums, in addition to the base expense:
$29.12 + $8.16 + $37.78 = $74.06
Subsequently, the Billings family's water bill for December would be $74.06.
b) To ascertain the water bill for the Billings family in July, we really want to switch the utilization from gallons over completely to HCF. Considering that 1 HCF is roughly equivalent to 748.05 gallons, we can compute the water utilization in HCF:
30,000 gallons/748.05 gallons/HCF ≈ 40.13 HCF
Presently, we should decide the appropriate levels for this use:
Utilization 0 to 8 HCF: 8 HCF x $3.64 = $29.12
More than 8 to 24 HCF: 16 HCF x $4.08 = $65.28
North of 24 to 36 HCF: 12 HCF x $5.82 = $69.84
The complete bill for July would be the amount of these sums, in addition to the base charge:
$29.12 + $65.28 + $69.84 + $37.78 = $201.02
Thusly, the Billings family's water bill for July would be $201.02.
c) To decide how much the Billings family necessities to decrease their water utilization in August to have a bill under $200, we'll set up the accompanying condition in view of the levels and charging rates:
Use 0 to 8 HCF: 8 HCF x $3.64 = $29.12
North of 8 to 24 HCF: (U - 8) HCF x $4.08 = ($4.08U - 32.64)
North of 24 to 36 HCF: (U - 24) HCF x $5.82 = ($5.82U - 139.68)
More than 36 HCF: (U - 36) HCF x $8.19 = ($8.19U - 294.84)
The all out bill for August would be the amount of these sums, in addition to the base expense, and it ought to be under $200:
$29.12 + ($4.08U - 32.64) + ($5.82U - 139.68) + ($8.19U - 294.84) + $37.78 < $200
Improving on the situation:
18.09U - 459.38 < 132.34
18.09U < 591.72
U < 32.68
Subsequently, the Billings family requirements to diminish their water utilization in August to under 32.68 HCF to have a water bill under $200.
d) The arrangement of conditions to address the water bill for a month ($) as a component of the water use (HCF) in view of the given levels and charging rates is:
If 0 ≤ U ≤ 8:
Bill = $37.78 + U * $3.64
If 8 < U ≤ 24:
Bill = $37.78 + 8 * $3
Therefore, The Billings family necessities to decrease their water utilization in August to under 32.68 HCF to have a water bill under $200.
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Your question is incomplete, probably the complete question is-
Mr. Billings has four teenage children, a swimming pool, a big lawn, and a large garden. His water bills are very high, so he wants to learn how to reduce his bill. Every month, he pays a base fee of $37.78, and then he gets billed for how much water he uses. His water bill states the following tiers for different levels of water usage. HCF stands for one hundred cubic feet, or about 748.05 gallons Usage 0 to 8 HCF Over 8 to 24 HCF Over 24 to 36 HCF Over 36 HCF Billing Rate per HCF $3.64 $4.08 $5.82 $8.19 a) The Billings family did not use much water in December because they stayed with relatives over the holidays. If the Billings family used 10 HCF of water in December, what was their water bill? b) The Billings family used 30,000 gallons of water in July! How much was their July water bill? c) How much does the Billings family need to reduce their water usage to so that their water bill for August is less than $2007 Less than $150? d) Write a set of equations to represent the water bill for a month ($) as a function of the water usage (HCF).
Finding the future value (fv), or -select- , is the process of going from today's values to future amounts. the fv equation is?
The future value (FV) equation is used to calculate the future amount of an investment or cash flow based on present values and the expected interest rate or rate of return. The fv equation is \(FV = PV * (1 + r)^n\)
The future value (FV) equation is represented as:
\(FV = PV * (1 + r)^n\)
where:
FV is the future value or future amount of the investment or cash flow.
PV is the present value or current amount of the investment or cash flow.
r is the interest rate or rate of return, expressed as a decimal.
n is the number of periods or time duration.
The equation takes into account the compounding effect of interest over time. It calculates the value of an investment or cash flow at a future date by multiplying the present value by the compound factor, which is obtained by adding 1 to the interest rate raised to the power of the number of periods.
By using the future value equation, individuals and investors can assess the potential growth of their investments, determine the worth of future cash flows, and make informed financial decisions based on the expected future values of their investments or cash flows.
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On January 2, The Public Legal Clinic issued Check 2108 for $370 to establish a petty cash fund. Indicate how this transaction would be recorded in a cash payments journal.
To create the petty cash fund, make the following journal entry: debit Petty cash fund account ($430), credit cash account ($430).
What is petty cash fund?A petty cash fund's main objective is to give business units enough money to pay for small expenses. The purpose is to make it easier for staff workers and visitors to get reimbursed for little expenses like taxi rides, postage, office supplies, and other things that often don't cost more than $25.00.
The data can also come from of the petty cash fund. Add up all of the expenses that are mentioned on each petty cash vouchers in the petty cash fund. This sum should be deducted from the calculated cash withdrawal amount. The outcome ought to be 0. There is an excess of cash in the fund if there is a residual balance.
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Which situation describes an oligopoly market structure? A. One company builds and sells all of the cars available in a developing country. B. Many different vendors sell the same few T-shirt designs to fans at a concert. C. Solar panels are only available from two companies operating in a country. D. A government gives one company full control over water treatment in a city.
Answer:
Answer C
Explanation:
Answer:C)
Explanation:just got it right<3
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Calculate $1200 ÷ 250.00 = answer in weeks. Round your answer up to the nearest whole week.
Calculate $4308 ÷ 250.00 = answer in weeks. Round your answer up to the nearest whole week.
Answer: 1. $1200 ÷ 250.00 = 4.8 rounded to the nearest whole number, 5 weeks
2. $4308 ÷ 250.00 = 17.232 rounded to the nearest whole number, 17 weeks
Written communication involves the exchange of information between a sender and a ______.
a.
Transcriber
b.
Receiver
c.
Author
d.
Customer
Answer:
Written communication involves the exchange of information between a sender and a receiver :3
Explanation:
:3
Answer:
b
Explanation:
edge
Give a proper definition of money.
Answer:
Money is an economic unit that functions as a generally recognized medium of exchange for transactional purposes in an economy. Money provides the service of reducing transaction costs, namely the double coincidence of wants. Money originates in the form of a commodity, having a physical property to be adopted by market participants as a medium of exchange. Money can be: market-determined, officially issued legal tender or fiat money, money substitutes, and fiduciary media, and electronic cryptocurrencies.
Explanation: