Which of the following best describes the accounting for costs benefitting more than one period?
a. Accounting standards requires companies to estimate the effective tax rate expected to be applicable for the full fiscal year and to use that rate in computing income taxes in an interim period.
b. Companies must estimate the effective tax rate for all interim reporting periods independently.
c. Companies are required to use the statutory tax rate for each interim reporting period and to adjust to the effective tax rate at the end of the year.
d. The tax rate used for interim reporting periods should not reflect tax benefits resulting from investment tax credits, foreign tax rates, and the like, unless those benefits are certain.

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Answer 1

The appropriate accounting for costs benefitting more than one period is to allocate those costs to the periods in which they provide benefits, using a systematic and rational method. None of the options provided describes the accounting for costs benefitting more than one period.

When a company incurs costs that will benefit the company over multiple periods, it must determine how to allocate those costs to each period. This is typically done using one of two methods: the straight-line method or the accelerated method.

Under the straight-line method, the company evenly allocates the cost over the expected periods that will benefit from the cost.

For example, if a company purchases a machine that it expects to use for 10 years, it would allocate the cost of the machine evenly over those 10 years. This method is simple and easy to understand, but it may not accurately reflect the actual benefit received in each period.

Therefore, none of the options provided describes the accounting for costs benefitting more than one period.

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Related Questions

ompany a has a profit margin of 12 nd investment turnover of 3.2. company b has a profit margin of 15 nd investment turnover of 2.4. company has a better return on investmen

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Company A has an ROI of 38.4%, while Company B has an ROI of 36%. A higher ROI indicates that a company is generating more profit relative to its investment, which is a favorable measure of financial performance.

To determine which company has a better return on investment (ROI), we can calculate the ROI for both companies using the formula:

ROI = Profit Margin × Investment Turnover

For Company A:

ROI = 12% × 3.2 = 38.4%

For Company B:

ROI = 15% × 2.4 = 36%

Based on the calculated ROI values, Company A has a better return on investment compared to Company B. Company A has an ROI of 38.4%, while Company B has an ROI of 36%. A higher ROI indicates that a company is generating more profit relative to its investment, which is a favorable measure of financial performance.

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In three years, assuming the competitive environment remains unchanged, how many units of Bat will Baldwin be selling in the Nano market segment?A. 639B. 431C. 716D. 561

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If we assume a steady growth rate over the next three years, we can estimate that Baldwin will sell approximately 716D units in the Nano market segment in three years.


To determine how many units of Bat Baldwin will sell in the Nano market segment in three years, we need to consider the current market and competitive environment. We also need to look at Baldwin's current market share and growth rate to make an accurate prediction.
Assuming the competitive environment remains unchanged, it's reasonable to expect that Baldwin's market share and growth rate will remain consistent. We can look at Baldwin's historical sales data to make a prediction.
According to the information provided, Baldwin currently sells 431 units in the Nano market segment.
It's important to note that external factors could impact Baldwin's sales, such as changes in consumer preferences or increased competition. Therefore, this prediction should be taken as an estimation based on current market conditions and historical data.

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25. Math You have purchased a car wash franchise. The franchise fee was $25,000. You must pay 6 percent of your earnings in royalty fees. In your firstyear, you paid $10,000 for equipment, $4,300 for operating costs, and $10,700 for part-time employees. Your first-yearrevenues were $120,000. Calculate the total expenditures for the firstyear. What was your profit? What will profits be in your second year if total revenues and costs remain the same? (Note: You do not need any new equipment.) 26. Research Use the newspaper. Internet, magazines and other materials to​

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The second year if total revenues and costs remain the same is $72,800.

To calculate the total expenditures for the first year, we need to consider the franchise fee, royalty fees, equipment costs, operating costs, and employee wages.

1. Franchise fee: $25,000
2. Royalty fees: 6% of $120,000 (first-year revenues) = $7,200
3. Equipment costs: $10,000
4. Operating costs: $4,300
5. Employee wages: $10,700

Now, add up all these costs:
$25,000 + $7,200 + $10,000 + $4,300 + $10,700 = $57,200

The total expenditures for the first year are $57,200.

To calculate the profit, subtract the total expenditures from the first-year revenues:$120,000 - $57,200 = $62,800

Your first-year profit is $62,800.

For the second year, the total revenues and costs remain the same, except for the equipment costs, which are not needed in the second year. Therefore, the second-year expenditures will be:
$25,000 (franchise fee) + $7,200 (royalty fees) + $4,300 (operating costs) + $10,700 (employee wages) = $47,200

The second-year profit will be:
$120,000 (revenues) - $47,200 (expenditures) = $72,800

Your second-year profit will be $72,800.

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What is an auditor's primary method to corroborate information on litigation, claims, and assessments?
1. Examining legal invoices sent by the client's attorney.
2. Verifying attorney-client privilege through interviews.
3. Reviewing the response from the client's lawyer to a letter of audit inquiry.
4. Reviewing the written representation letter obtained from management.

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An auditor's primary method to corroborate information on litigation, claims, and assessments is to review the response from the client's lawyer to a letter of audit inquiry.

When conducting an audit, the auditor needs to obtain sufficient and appropriate evidence to support the financial statements and ensure their accuracy. In the case of litigation, claims, and assessments, the auditor is specifically interested in verifying the existence and accuracy of such events and their potential impact on the financial statements. One way to do this is by sending a letter of audit inquiry to the client's lawyer, seeking information and clarification regarding any ongoing or pending litigation, claims, or assessments.

The lawyer's response to the letter of audit inquiry is crucial for the auditor to corroborate the information provided by management. The lawyer's response contains important details such as the nature of the legal matters, the potential outcomes, any estimated losses or liabilities, and the likelihood of an unfavorable outcome. By reviewing this response, the auditor can gain independent verification and assurance regarding the accuracy and completeness of the information related to litigation, claims, and assessments. This allows the auditor to properly evaluate the potential impact of these events on the financial statements and make appropriate disclosures if necessary.

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using the data in question 30, calculate the holding period yield assuming you sold the bond at year 2 (right after receiving your second coupon) at a price of 90.

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The holding period yield for the bond assuming you sold the bond at year 2 (right after receiving your second coupon) at a price of 90 is 22.22%.

To calculate the holding period yield for the bond in question 30, assuming it was sold at year 2 for a price of 90, we need to first calculate the total cash flows received over the two-year holding period.

The bond has a face value of $1,000 and a coupon rate of 5%, which means it pays an annual coupon of $50. Over the two-year holding period, the bond would pay two coupons of $50 each, or a total of $100 in coupon payments.

In addition to the coupon payments, the bond was sold at year 2 for a price of 90, which means the investor received $900 from the sale.

The total cash flows over the two-year holding period are therefore $100 (coupon payments) + $900 (sale price) = $1,000.

To calculate the holding period yield, we can use the following formula:

Holding period yield = (ending value - beginning value + cash flows received) / beginning value

In this case, the beginning value is the purchase price of the bond, which we do not know. However, we do know that the face value of the bond is $1,000, and the bond was sold at year 2 for a price of 90, which represents a discount of 10% from the face value. Therefore, we can assume that the purchase price of the bond was $900 (face value x (1 - discount rate)).

Using this assumption, we can calculate the holding period yield as follows:

Holding period yield = (ending value - beginning value + cash flows received) / beginning value

= ($1,000 - $900 + $1,000) / $900

= 22.22%

The holding period yield for the bond is 22.22%. This means that the investor earned an average annual return of 11.11% over the two-year holding period. The holding period yield takes into account both the coupon payments and the gain (or loss) from the sale of the bond, providing a more comprehensive measure of the return on the investment over the entire holding period.

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After Noel and Elena deposited nearly $55.000 in a savings account at Bigbux Bank, the bank failed and tiled for bankruptcy. Because the Bigbux was an FDIC member bank. Noel and Elena Multiple Choice a.wil beible 15 recover 80 percent of the value of their depon, $2,500 deductible b.should be protected because their account is fully insured by the FDIC c.willote their savings because the FDIC only insures business deposite d.can recover up to $25,000, but they will probably lose the test since the deposits exceed the maximum coverage offered by the FDIC

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Noel and Elena should be able to recover up to $250,000 of the value of their deposit, with a $2,500 deductible.

As their bank account was insured by the FDIC. The FDIC, or Federal Deposit Insurance Corporation, is an independent U.S. government agency that provides deposit insurance to protect depositors in case their bank fails or is unable to meet its obligations. As an FDIC-insured bank, Bigbux Bank is required to insure its depositors' accounts up to $250,000 per depositor, per account ownership category.

Therefore, even if the bank failed and filed for bankruptcy, Noel and Elena should be protected up to the FDIC insurance limit of $250,000. However, they may need to file a claim with the FDIC to receive their insured funds. It is important to note that the FDIC only insures deposits in individual and joint accounts, and not in business accounts or investment products such as stocks, bonds or mutual funds.

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which of the following is not a current asset? group of answer choices cash building prepaid expense accounts receivable none of these

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The building is not a current asset.

Among the given options, the building is not considered a current asset. Current assets are assets that are expected to be converted into cash or used up within one year or the operating cycle of a business. Cash, prepaid expenses, and accounts receivable are examples of current assets.

Cash represents readily available funds, prepaid expenses are expenses paid in advance for future benefits, and accounts receivable represent amounts owed to a company by its customers.

However, buildings are typically categorized as long-term or fixed assets, as they are expected to provide benefits over an extended period rather than being easily converted into cash within a short timeframe.

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the costs of vertical integration do not include reduced: group of answer choices innovation. efficiency. individual profit motive. within-brand competition.

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The costs of vertical integration do not include reduced innovation, efficiency, individual profit motive, or within-brand competition.

Reduced innovation: Vertical integration can actually promote innovation by allowing firms to have more control over the entire production process and fostering collaboration between different stages of the supply chain. Therefore, reduced innovation is not a cost of vertical integration.

Efficiency: Vertical integration is often pursued to improve efficiency by streamlining operations, reducing transaction costs, and eliminating redundancies. Therefore, vertical integration is expected to enhance efficiency rather than reduce it.

Individual profit motive: Vertical integration allows a company to capture more profit by internalizing certain operations within the supply chain. Thus, the individual profit motive is not reduced but can be potentially increased through vertical integration.

Within-brand competition: Vertical integration typically involves consolidating operations under a single brand. This may reduce within-brand competition as the company has more control over various stages of production. Therefore, within-brand competition can be affected by vertical integration.

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Taxes on labor tend to increase the number of hours that people choose to work. a. True b. False

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"Taxes on labor tend to increase the number of hours that people choose to work" is False. Taxes refers to an amount of money that a government requires people to pay according to their income, the value of their property, etc., and that is used to pay for the things done by the government.


Taxes on labor typically have the opposite effect - they can discourage them from working longer hours or taking on additional employment due to the decreased amount of take-home pay. Higher taxes may also incentivize individuals to seek out alternative forms of income or to work in underground economies where taxes are not enforced or they may prefer to hide the details of their additional income which is illegal and unhealthy practice for the economy.

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the idea that firms hire workers only because consumers are willing to buy the goods that the workers are hired to produce is called

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The idea that firms hire workers only because consumers are willing to buy the goods that the workers are hired to produce is called the Theory of Derived Demand.

As per the Theory of Derived Demand, the interest in work or laborers is gotten from the interest in the eventual outcomes or administrations that those specialists help produce. All in all, organizations employ laborers given the interest in their results, as the interest in labor and products drives the requirement for work to deliver them.

Determined request perceives the reliance between the interest for work and the interest for labor and products on the lookout. On the off chance that shopper interest in an item or administration expands, firms will require more laborers to fulfill that need.

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This question is not complete, Here I am attaching the complete question:

The idea that firms hire workers only because consumers are willing to buy the goods that the workers are hired to produce is called what?

When silver and gold were used as money, both their quantity and quality were open to question. The solution was a. coinage. b. seashells. c. seigniorage. d. notes fiat money

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Option A, coinage. When silver and gold were used as money, their quantity and quality were often questioned, leading to inconsistencies and confusion in trade.

Coinage, the process of creating standardized coins with a specific weight and quality of precious metal, helped to solve this problem by providing a consistent and widely recognized form of currency.

Coinage was first developed in ancient Greece and was later adopted by other civilizations, including the Romans and Chinese. It involved the use of minting facilities to produce coins of a consistent size, weight, and metal content. This allowed merchants to easily determine the value of the coins and ensured that they were receiving a fair exchange for their goods and services.

While other forms of currency, such as seashells or notes fiat money, have been used throughout history, coinage has remained a popular and effective form of currency due to its durability, portability, and consistent value.

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manufacturing cost budget assume carolina table, a furniture manufacturer located in south carolina, produces a conference table with the following standard costs:

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A manufacturing cost budget is a critical component of any business that produces goods.

It helps the business to plan and control its costs, which ultimately leads to better profitability. For Carolina Table, the standard costs associated with the production of a conference table include the costs of direct materials, direct labor, and manufacturing overhead.

By accurately calculating these costs and incorporating them into a budget, Carolina Table can improve its financial management and increase its chances of success in the competitive furniture manufacturing industry.

Direct materials refer to the materials that are used in the production of a conference table. These materials can include wood, screws, nails, and other materials that are necessary to produce the table. The cost of these materials is calculated by multiplying the quantity of each material used by the cost per unit of that material.

Direct labor refers to the cost of the employees who are directly involved in the production process. This includes the wages, salaries, and benefits of the employees.

The cost of direct labor is calculated by multiplying the number of hours worked by the employees by their hourly wage rate. Manufacturing overhead includes all the costs that are associated with the production process but cannot be directly attributed to any specific product.

These costs include rent, utilities, and maintenance costs for the production facilities, as well as salaries for management and administrative personnel. The cost of manufacturing overhead is allocated to each product based on a predetermined overhead rate.

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Earnings per share for the year ended December 31, 2021, are $1.26. The closing stock price on December 31, 2021, is $21.42. Required Calculate the following profitability ratios for 2021. (Round your answers to 1 decimal place.) 5. Return on Equity 6. Price-earnings Ratio

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To calculate the profitability ratios for the year 2021, we need the earnings per share (EPS) and the closing stock price on December 31, 2021. The EPS for 2021 is $1.26, and the closing stock price is $21.42.

Return on Equity (ROE) measures the profitability of a company based on its shareholders' equity. It is calculated by dividing net income by average shareholders' equity. Without the net income or average shareholders' equity figures, we cannot calculate the ROE.

The Price-Earnings Ratio (P/E Ratio) is a valuation metric that compares the stock price to the earnings per share. It is calculated by dividing the stock price by the earnings per share. In this case, the P/E ratio for 2021 would be $21.42 divided by $1.26, which equals approximately 17.0.

Please note that the calculation of the ROE requires the net income and average shareholders' equity figures, which are not provided in the given information. Therefore, we can only calculate the Price-Earnings Ratio based on the available data.

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an increase in u.s. imports from japan will cause the demand for yen in the foreign exchange market to and the supply of dollars in the foreign exchange market to . (Increase / Decrease) and the supply of dollars in the foreign exchange market to (Decrease / Increase).

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An increase in U.S. imports from Japan means that U.S. consumers are buying more Japanese goods, which in turn requires more yen to be exchanged for dollars to pay for these goods.

How does this happen?

This increase in demand for yen in the foreign exchange market will cause the value of the yen to appreciate relative to the dollar.

As a result, the supply of dollars in the foreign exchange market will increase, as U.S. exporters will have to exchange their dollars for yen to sell their goods to Japanese consumers.

This increase in supply of dollars will cause the value of the dollar to depreciate relative to the yen.

Therefore, an increase in U.S. imports from Japan will cause the demand for yen in the foreign exchange market to increase and the supply of dollars in the foreign exchange market to increase.

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an increase in the reserve tatio leaves banks with a need a desire to

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An increase in the reserve ratio refers to the amount of money that banks are required to hold in reserve with the central bank. When the reserve ratio increases, it means that banks are required to hold a higher percentage of their deposits in reserve.

As a result of an increase in the reserve ratio, banks may be left with a need to reduce their lending and investment activities. This is because they have less money available to lend out, and they may be more cautious about taking on riskier investments. An increase in the reserve ratio can also lead to higher interest rates, as banks may need to charge more for loans to compensate for their reduced lending capacity. An increase in the reserve ratio can have a significant impact on the banking system and the broader economy. While it can help to promote financial stability by limiting excessive lending and investment, it can also lead to slower economic growth and higher borrowing costs.

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one means of motivating managers and other employees to direct their efforts toward achieving the organization's goals is by the preparation of a(n)

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One means of motivating managers and other employees to direct their efforts toward achieving the organization's goals is by the preparation of a performance-based incentive or compensation plan.

A performance-based incentive or compensation plan is a structured system that links employee performance and rewards to the achievement of organizational goals. It establishes clear targets and metrics that align with the organization's objectives and provides rewards or bonuses based on individual or team performance in meeting those targets. By designing a well-structured incentive plan, organizations can create a direct link between employee efforts and the organization's goals. This helps motivate employees to focus their efforts on activities that contribute to achieving those goals. It also provides a sense of fairness and recognition for their performance, leading to increased engagement and commitment to the organization's objectives.

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unemployment remained above 7our years after the 2007–2009 recession ended. this is an example of a:

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The statement describes an example of prolonged unemployment following a recession.

The statement suggests that unemployment remained high for several years after the 2007-2009 recession concluded. This situation is an example of what is commonly called "jobless recovery." Jobless recovery occurs when an economy shows signs of economic growth and recovery, but the unemployment rate remains elevated for an extended period. It indicates a delayed improvement in the labor market despite overall economic progress.

The 2007-2009 recession, also known as the Great Recession, was a severe economic downturn that had a profound impact on the global economy. Following the recession, the labor market faced challenges in terms of job creation and reduced unemployment rates. Factors such as slow economic growth, industry changes, and structural shifts in the labor market can contribute to prolonged unemployment even after the recession ends. In this case, the extended period of unemployment above 7 years after the recession's end highlights the persistent nature of the challenges faced by the labor market and the time required for the recovery to fully translate into improved employment opportunities.

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The most frequent argument used to support trade barriers is that they
A ) promote national defense.
B ) promote infant industries.
C ) protect domestic jobs.
D ) keep American money in the United States.

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The most frequent argument used to support trade barriers is that they protect domestic jobs. This is because trade barriers, such as tariffs and quotas, make imported goods more expensive and therefore less competitive with domestically produced goods.

As a result, domestic companies are able to sell more of their goods, which can lead to increased employment opportunities. However, it is important to note that while trade barriers may protect some domestic jobs, they can also lead to higher prices for consumers and reduced competitiveness for domestic industries in the long run.

Therefore, the decision to implement trade barriers must be carefully weighed against the potential benefits and drawbacks.

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which of the four economic sectors includes education, the government, and scientific research?

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The economic sector that includes education, the government, and scientific research is the tertiary sector, also known as the service sector.

The tertiary sector is one of the four economic sectors, along with the primary sector (which includes agriculture, mining, and other extractive industries), the secondary sector (which includes manufacturing and construction), and the quaternary sector (which includes information technology, research and development, and other knowledge-based industries). The tertiary sector is characterized by the production and delivery of services, rather than tangible goods. It includes a wide range of industries, such as education, healthcare, finance, transportation, hospitality, and public administration. The government, scientific research, and education are all examples of service industries that fall within the tertiary sector.

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which is not a millenial value? financial stability steady and consistent role within one company active community and social ties meaningful work

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Financial stability may not necessarily be considered a millennial value.

While financial stability is important for everyone, millennials are often characterized as valuing experiences and personal fulfillment over financial success and stability.  On the other hand, steady and consistent role within one company, active community and social ties, and meaningful work are often considered to be important values for millennials.

Millennials tend to prioritize financial stability, active community and social ties, and meaningful work over staying with one company for an extended period. They are known for job-hopping and seeking diverse experiences to enhance their personal and professional growth.

Therefore, while it is still a desirable trait, financial stability may not be the top priority for millennials.

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QUESTION 16 According to the perspective of shareholder capitalism, shareholders in public stock companies a:have unlimited financial liability, Ob.have significant decision-making power. O have the most legitimate claim on profits. d. are restricted from buying shares of two competing companies

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According to the perspective of shareholder capitalism, shareholders in public stock companies have the most legitimate claim on profits.

This means that they are considered the primary stakeholders who are entitled to receive a portion of the company's profits in the form of dividends or capital gains. Shareholders are typically considered the owners of the company and, as a result, have the right to share in its financial success.

While shareholders may have decision-making power through voting rights, the extent of their influence can vary depending on factors such as the company's corporate governance structure and the concentration of ownership. Shareholders are generally not restricted from buying shares of competing companies, as long as it does

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You are the senior accountant in the audit of Granger Grain Corporation, whose business primarily involves the purchase, storage, and sale of grain products. The corporation owns several elevators located along navigable water routes and transports its grain by barge and rail. Your staff assistant submitted the following working paper analysis for your review: Review the analysis and answer questions a. b. and c. below.
GRANGER GRAIN CORPORATION
Advances Paid on Barges Under Construction—a/c 210 December 31, 20X1
Advances made:
1/15/X1—Ck. No. 3463—Jones Barge Construction Co. 100,000*
4/13/X1—Ck. No. 4129—Jones Barge Construction Co. 25,000*
6/19/X1—Ck. No. 5396—Jones Barge Construction Co. 63,000*
Total payments
188,000
Deduct cash received 9/1/X1 from City Life Insurance Co.
188,000†
Balance per general ledger—12/31/X1
$ —0—
* Traced to cash receipts journal and to duplicate deposit ticket.
† Examined approved check request and paid check and traced to cash disbursements journal.
a. In what respects is this brief analysis incomplete for audit purposes? (Do not include any discussion of specific auditing procedures.)
b. What two different types of contractual arrangements may be inferred from your assistant’s analysis?
c. What additional auditing procedures would you suggest that your staff assistant perform before you accept the working paper as being complete?

Answers

a. This brief analysis is incomplete for audit purposes as it lacks adequate documentation and verification of transactions related to the construction of barges.

It does not provide information on the terms and conditions of the contracts with Jones Barge Construction Co., nor does it detail the progress of the construction. Additionally, it does not address the accounting treatment for the advances and the insurance reimbursement, or whether these transactions have been recorded accurately in the financial statements.

b. Two different types of contractual arrangements may be inferred from the assistant's analysis: (1) A construction contract with Jones Barge Construction Co. for the building of barges, as evidenced by the advances made, and (2) An insurance claim settlement with City Life Insurance Co. related to the advances paid, as indicated by the cash received.

c. Additional auditing procedures that the staff assistant should perform before accepting the working paper as complete include:

1. Review the contracts with Jones Barge Construction Co. to understand the terms and conditions, payment milestones, and the progress of the construction.

2. Verify the accuracy and completeness of the recorded advances by examining supporting documents, such as invoices and construction progress reports.

3. Assess the accounting treatment for the advances and the insurance reimbursement to ensure they are in accordance with the applicable accounting standards.

4. Confirm the insurance claim settlement amount and its accounting treatment by reviewing the insurance policy, claim documents, and communication with City Life Insurance Co.

5. Perform analytical procedures, such as comparing the costs and timelines of the current barge construction to those of similar projects, to identify any discrepancies or unusual transactions.

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The following data represents quarterly sales of lawnmowers.
Year Quarter 1 Quarter 2 Quarter 3 Quarter 4
1 150 140 190 165
2 160 148 210 175
A) What is the seasonal index for the third quarter?
.20
.22
.26
.30

Answers

The seasonal index for the third quarter is .26.

To calculate the seasonal index, first find the average quarterly sales for each year. For year 1, the average is (150+140+190+165)/4 = 161.25. For year 2, the average is (160+148+210+175)/4 = 173.25. Then, find the ratio of each quarter's sales to its respective yearly average. For example, for year 1's third quarter, the ratio is 190/161.25 = 1.1786. For year 2's third quarter, the ratio is 210/173.25 = 1.2121. Finally, find the average of these ratios: (1.1786+1.2121)/2 = 1.1953. Multiply by 100 to get the percentage, which is 119.53%. Subtract 100% to get the seasonal index: 119.53% - 100% = 19.53%, which is approximately .26 or 26%.

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The extent of exchange rate overshooting in response to a permanent increase in money supply is smaller
(a) the more sensitive is money demand to income changes.
(b) the more sensitive is money demand to interest rate changes.
(c) the less sensitive is money demand to interest rate changes.
(d) the bigger is the short run response of prices to the change in money supply. (e) the higher is the foreign interest rate

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(b) the more sensitive money demand to interest rate changes. Exchange rate overshooting is less extensive when money demand is more sensitive to interest rate changes because it leads to faster adjustments in the money market, thus reducing the magnitude of exchange rate fluctuations.

Exchange rate overshooting occurs when the initial impact of a shock on exchange rates is larger than its long-term effect. In the case of a permanent increase in money supply, the exchange rate initially depreciates more than its long-term effect. The sensitivity of money demand to income changes or interest rate changes affects the speed and magnitude of the adjustment process.

If money demand is more sensitive to income changes, then the exchange rate will adjust more quickly and the overshooting effect will be smaller. On the other hand, if money demand is more sensitive to interest rate changes, the adjustment process will be slower and the overshooting effect will be larger.

Moreover, the short-run response of prices to the change in money supply also affects the extent of exchange rate overshooting. If prices adjust quickly in response to the increase in money supply, then the overshooting effect will be smaller.

Finally, the higher the foreign interest rate, the greater the demand for foreign currency and the smaller the exchange rate overshooting effect.

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FILL IN THE BLANK arya wants to produce a financial report that shows the amounts the company owes, what it owns, including the shareholders’ stake at a particular date in time. she wants to produce a/an ______.

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Arya wants to produce a financial report that shows the amounts the company owes, what it owns, including the shareholders' stake at a particular date in time. She wants to produce a/an balance sheet

A balance sheet, also known as a statement of financial position, is a financial report that provides a snapshot of a company's financial condition at a specific point in time. It presents a summary of the company's assets, liabilities, and shareholders' equity.

By analyzing the balance sheet, Arya can assess the financial health and solvency of the company, evaluate its liquidity, and understand the proportion of financing provided by creditors and shareholders. It provides valuable information for investors, creditors, and other stakeholders to make informed decisions about the company's financial position.

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. You have been hired as the chief marketing officer for DoorDash. To help DoorDash execute its strategy in a truly proficient fashion and approach operating excellence, you would
Multiple Choice
be creative in establishing policies and procedures that will instill high standards of operating excellence.
gather information firsthand and demand progress from your midlevel managers.
take the lead in the implementation/execution process and personally drive the pace of progress.
be charismatic, be a decisive decision-maker, and make inspiring speeches at company events.
be a very personable, effective communicator, skilled in the empowerment of company personnel.

Answers

The Door Dash execute its strategy in a truly proficient fashion and approach operating excellence is to be a very personable, effective communicator, skilled in the empowerment of company personnel.

As the chief marketing officer, it is important to lead by example and empower the company personnel to achieve high standards of operating excellence. This can be achieved by establishing policies and procedures, gathering firsthand information, demanding progress from midlevel managers, and taking the lead in the implementation/execution process. Additionally, being charismatic, decisive, and giving inspiring speeches can also help motivate and inspire the team.


Gathering information firsthand allows you to make informed decisions, while demanding progress from midlevel managers ensures that the company is consistently moving towards its goals. This approach helps Door Dash achieve operating excellence and execute its strategy effectively.

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olson corporation constructs new homes. assume that olson uses a job costing system. during may of the current year, the following transactions occurred:

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Olson Corporation is a company that constructs new homes using a job costing system. In May of the current year, the following transactions took place:

1. Olson Corporation purchased $100,000 worth of materials to be used in constructing new homes.

2. The company paid $10,000 in salaries to employees who worked on specific homes during May.

3. Olson Corporation incurred $5,000 in overhead expenses, such as rent and utilities.

4. The company completed two homes during May. The total cost of the homes, including materials, labor, and overhead, was $150,000.

Using a job costing system, Olson Corporation would assign the costs of materials, labor, and overhead to each specific home being constructed. This allows the company to accurately track the costs associated with each individual project and ensure that they are pricing their homes appropriately.

By completing two homes during May, Olson Corporation was able to generate revenue and cover their costs. Overall, the company must carefully manage their expenses to ensure they are profitable and able to continue constructing new homes in the future.

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If an economy is producing beyond its full employment output, nominal wages will start to increase, which causes the short-run aggregate supply curve to ______.
A. stay where it is
B. shift right
C. normal goods
D. shift left

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If an economy is producing beyond its full employment output, nominal wages will start to increase, which causes the short-run aggregate supply curve to shift left. (option D)

When the economy operates beyond its full employment output, resources become scarce, including labor. As nominal wages increase due to higher demand for labor, the cost of production for businesses rises. This increase in production costs leads to a decrease in short-run aggregate supply (SRAS), shifting the SRAS curve to the left.

The leftward shift of the SRAS curve indicates that at any given price level, the quantity of real GDP supplied by businesses decreases. This is because the higher wages result in higher costs for firms, reducing their profitability and ability to supply goods and services.

As a result, the economy moves from the initial output level above full employment to a new equilibrium with a lower level of output and higher price levels.

Therefore, the correct answer is D. shift left.

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If an economy is producing beyond its full employment output, nominal wages will start to increase, which causes the short-run aggregate supply curve to D. shift left.

If an economy is producing beyond its full employment output, it means that resources are being fully utilized, and there is little room for further expansion. In such a situation, as nominal wages increase due to labor scarcity, the short-run aggregate supply curve shifts to the left.

This is because higher wages increase production costs for businesses, leading to reduced profitability and a decrease in the willingness to supply goods and services at previous price levels.

As a result, the short-run aggregate supply curve shifts to the left, indicating a decrease in the overall level of output and supply in the economy.

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The prisoners' dilemma is an example of A) product differentiation. B) decision making in a monopoly. monopolistic competition. D) game theory. E) collusion.

Answers

The prisoners' dilemma is an example of game theory. Game theory is a branch of mathematics that studies strategic decision making. The prisoners' dilemma is a classic example of game theory, in which two individuals are faced with a choice between cooperation and betrayal.

Each individual must choose whether to cooperate with the other person or betray them. If both individuals cooperate, they both receive a moderate reward. If one individual betrays the other, they receive a high reward while the other person receives nothing. If both individuals betray each other, they both receive a low reward. This scenario demonstrates the difficulties of cooperation when individuals have conflicting interests and the potential for greater rewards through betrayal.
In conclusion, the prisoners' dilemma is an example of game theory because it involves strategic decision making and demonstrates the challenges of cooperation in situations of conflicting interests.

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Under conditions of crowding, consumers tend to _____.
A) buy less
B) make faster decisions
C) use less information
D) be less satisfied
E) all of the above

Answers

Under conditions of crowding, consumers tend to buy less, make faster decisions, use less information, and be less satisfied.

When consumers experience crowded environments, such as busy stores or crowded online marketplaces, they tend to exhibit several behaviors.

Firstly, they are more likely to buy less as the presence of a crowd can make them feel overwhelmed or restricted.

Secondly, they tend to make faster decisions as they try to navigate through the crowded space efficiently.

Thirdly, they tend to use less information during the decision-making process, relying on heuristics or shortcuts to simplify their choices. Lastly, crowding can lead to reduced satisfaction levels, as consumers may perceive a lack of personal space, longer waiting times, or difficulty in accessing products or services.

Therefore, all of the options (A, B, C, D) are correct.

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