Skysong Enterprises sold equipment on January 1, 2020 for $10,000. The equipment had cost $48,500. The balance in Accumulated Depreciation at January 1 is $40,000. What entry would Skysong make to record the sale of the equipment? (Credit account titles are automatically indented when the amount is entered. Do not indent manually. List all debit entries before credit entries. If no entry is required, select "No Entry" for the account titles and enter O for the amounts) Account Titles and Explanation Debit Credit

Answers

Answer 1

The remaining balances in Accumulated Depreciation and Equipment Cost after this entry would be $0 since the equipment has been fully depreciated and sold.

To record the sale of the equipment by Skysong Enterprises on January 1, 2020, the following entry would be made:

Account Titles Debit Credit

Cash $10,000

Accumulated Depreciation $40,000

Equipment Cost $48,500

Loss on Sale of Equipment?

The debits and credits in the entry are as follows:

Cash is debited for the amount received from the sale of the equipment, which is $10,000.

Accumulated Depreciation is debited for the balance on January 1, 2020, which is $40,000. This represents the accumulated depreciation on the equipment up until that date.

Equipment Cost is debited for the original cost of the equipment, which is $48,500. This removes the equipment from the books as it is being sold.

A credit entry is made for the Loss on the Sale of Equipment. The amount of the credit would be calculated as follows:

Loss on Sale of Equipment = Equipment Cost - Accumulated Depreciation - Cash Received

Loss on Sale of Equipment = $48,500 - $40,000 - $10,000

Loss on Sale of Equipment = $-1,500 (or you can enter "O" if no loss occurred)

The entry above reflects the sale of the equipment, the removal of the equipment and its accumulated depreciation from the books, and the recognition of any loss on the sale.

The remaining balance in Accumulated Depreciation and Equipment Cost after this entry would be $0 since the equipment has been fully depreciated and sold.

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Related Questions

What Causes do you serve with level 5 ambitions? Support your answer with example from literature.?good to great book by jim collins

Answers

Serving causes with Level 5 ambitions entails embodying personal humility and professional will, as described in Jim Collins' book  "Good to Great".

Level 5 ambitions, as described in Jim Collins' book "Good to Great", refer to a leadership quality characterized by a unique combination of personal humility and professional will. It involves having an unwavering commitment to the success of the organization and a deep sense of personal responsibility. Leaders with level 5 ambitions put the needs of the cause or organization above their own personal interests.

For example, in "Good to Great," Collins discusses the case of Darwin E. Smith, the CEO of Kimberly-Clark. Smith exemplified level 5 ambitions by transforming a struggling paper company into a leading consumer products company. Despite his own humble demeanor, Smith demonstrated exceptional determination and resolve in driving the company's success.

By serving causes with level 5 ambitions, I strive to exhibit similar qualities of personal humility and professional will. I aim to prioritize the greater good of the organization or cause I serve, setting aside personal ego and focusing on achieving long-term sustainable success. This approach fosters a culture of collaboration, trust, and accountability, enabling the organization to overcome challenges and reach new heights of excellence.

In summary, serving causes with level 5 ambitions entails embodying personal humility and professional will, as described in "Good to Great." By putting the needs of the organization or cause above personal interests, leaders with level 5 ambitions have the potential to drive transformative change and achieve exceptional results.

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Share repurchases can be used to produce large-scale changes in
capital structures.
Select one:
True
False

Answers

While share repurchases can have an impact on a company's financial metrics and shareholder value, they do not typically result in large-scale changes in the capital structure. Therefore, statement is False.

Share repurchases, also known as stock buybacks, refer to the process in which a company buys back its own shares from existing shareholders. While share repurchases can have an impact on a company's capital structure, they do not typically result in large-scale changes.

Capital structure refers to the way a company finances its operations through a combination of debt and equity. Share repurchases reduce the number of outstanding shares, which can increase the earnings per share (EPS) and potentially increase the share price. However, this does not fundamentally alter the capital structure of the company.

To produce large-scale changes in capital structures, companies usually undertake actions such as issuing new shares, issuing debt, or making significant acquisitions or divestitures. These actions directly impact the composition and proportion of debt and equity in the capital structure.

While share repurchases can have an impact on a company's financial metrics and shareholder value, they do not typically result in large-scale changes in the capital structure. Other strategic actions are more commonly employed for such purposes.

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Purchasing strategy is a key component of a company's supply chain
strategy. What are the procurement strategies? What are the risks
of using these strategies?

Answers

Procurement strategies refer to the set of plans, techniques, and tactics that organizations employ to purchase the products and services they require to operate. These strategies are essential as they enable organizations to obtain value for money and quality products and services from suppliers. What are the procurement strategies? There are several procurement strategies that organizations can adopt to achieve their objectives.

They include: Single Sourcing: This involves purchasing goods and services from a single supplier. The benefits of single sourcing include the establishment of a long-term partnership between the buyer and the seller, increased loyalty, and better communication. However, the risks include overreliance on a single supplier, which can lead to issues like supply disruptions and a lack of flexibility. Multiple Sourcing: This involves purchasing goods and services from multiple suppliers. The benefits of multiple sourcing include reduced risk, increased competition between suppliers, and the ability to obtain better deals. The risks include higher transaction costs, increased coordination challenges, and a lack of loyalty. Centralized Sourcing: This involves purchasing goods and services from a central point. The benefits of centralized sourcing include greater efficiency, reduced transaction costs, and improved control. The risks include a lack of responsiveness, decreased flexibility, and reduced autonomy. Decentralized Sourcing: This involves purchasing goods and services from different units or departments within an organization. The benefits of decentralized sourcing include increased flexibility, better responsiveness, and improved autonomy. The risks include higher transaction costs, increased coordination challenges, and a lack of control. What are the risks of using these strategies? The procurement strategies described above come with certain risks, which include the following: Overreliance on a single supplier: This is a significant risk associated with the single sourcing procurement strategy. The overreliance on a single supplier increases the chances of supply disruptions, quality issues, and other problems. Lack of competition: This is a risk associated with the centralized sourcing procurement strategy. The lack of competition can result in suppliers becoming complacent, leading to higher prices and reduced quality. Reduced control: This is a risk associated with the decentralized sourcing procurement strategy. The lack of control can lead to inconsistencies in quality, pricing, and other aspects of the procurement process.

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The adjusting entry for dues receivable by an athletic club at the end of a period would be recorded by a A. Debit to a liability and a credit to a revenue B. Debit to a revenue and a credit to an asset C. Debit to an asset and a credit to a revenue D. Debit to an expense and a credit to an asset E. Debit to an expense and a credit to a liability

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The correct answer to the question is option C. The adjusting entry for dues receivable by an athletic club at the end of a period would be recorded by a debit to an asset and a credit to a revenue.Adjusting entries are journal entries made at the end of an accounting period to record unrecognized income and expenses in the appropriate period.

In the case of an athletic club, dues receivable are recorded as revenue when they are received, even if the club's services are yet to be rendered. When the athletic club makes its year-end financial statements, it must make an adjusting entry to account for unearned dues revenue still owed by the club members.

Dues receivable, an asset, will be debited and dues revenue will be credited. The entry will decrease the balance of the asset, reflecting the amount of dues owed but not yet paid by club members.The accounting treatment for club dues will depend on whether it is being treated as a prepayment or as a receivable. If it is a prepayment, the club must credit a liability account for the unearned portion of the dues and then debit a revenue account for the portion that has been earned and recognized.

But if it is a receivable, as in this case, the accounting entry will be to debit the receivable and credit revenue.

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Which of the following stages of developing routine messages involves proofreading? O A. Drafting OB. Analyzing OC. Reviewing OD. Planning E. Visualizing

Answers

The stage of developing routine messages which involves proofreading is option C. Reviewing. Proofreading is one of the essential steps that are done while reviewing a routine message.

What is proofreading?

Proofreading is the process of thoroughly reading and making corrections to a written piece of work. Proofreading is done to ensure the document is free of grammatical errors, typos, punctuation errors, spelling errors, or other mistakes that could reduce the credibility of the written document.

The reviewing process includes proofreading as well as looking at the entire document to ensure that it meets the objective of the document. The proofreading is carried out during the reviewing stage to make the necessary corrections. The objective of proofreading is to ensure the document is free of errors, and the message is clear, concise, and effective.

Usually, proofreading is done by proofreaders who are experts in the English language, with extensive knowledge of grammar and punctuation. They ensure the message is communicated effectively by reviewing the document for accuracy, consistency, and flow.

In conclusion, option C, Reviewing, is the stage of developing routine messages that involve proofreading.

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Kai Chang made a $5,800 deposit in her savings account on her 21st birthday, and she has made another $5,800 deposit on every birthday since then. Her account earns 10 percent compounded annually. How much will she have in the account after she makes the deposit on her 32nd birthday? Use Appendix C for an approximate answer, but calculate your final answer using the formula and financial calculator methods. Note: Do not round intermediate calculations. Round your final answer to 2 decimal places.

Answers

To calculate the future value of Kai Chang's savings account, we can use the formula for compound interest: Future Value = P(1 + r/n)^(nt) Where: - P is the principal amount (initial deposit) - r is the annual interest rate (expressed as a decimal) - n is the number of times interest is compounded per year.

t is the number of years In this case, the principal amount (P) is $5,800, the annual interest rate (r) is 10% (0.10 as a decimal), and the deposit is made on every birthday, which is once a year, so n is 1. The number of years (t) is 32 - 21 = 11. Using these values, we can calculate the future value of Kai Chang's savings account: Future Value = $5,800(1 + 0.10/1)^(1*11) Simplifying the calculation: Future Value = $5,800(1 + 0.10)^11 Future Value = $5,800(1.10)^11 Using a financial calculator or a spreadsheet, the future value is approximately $16,407.63. Remember to round your final answer to 2 decimal places, so the final answer is $16,407.63.

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On January 1, 2022, Carla Vista Company issued bonds with a face value of $750,000. The bonds carry a stated interest of 7% payable each January 1. (a) Prepare the journal entry for the issuance assuming the bonds are issued at 96. (Credit account titles are automatically indented when the amount is entered. Do not indent manually.) Account Titles and Explanation Debit Credit

Answers

On January 1, 2022, the journal entry to record the issuance of bonds by Carla Vista Company when the bonds are issued at 96 would be as follows:Cash 720,000 ($750,000 × 0.96)Discount on Bonds Payable 30,000 Bonds Payable 750,000 ($750,000 × 1)Total 750,000 720,000 30,000

The journal entry to record the issuance of bonds by Carla Vista Company when the bonds are issued at 96 is a typical entry for a bond issue. The cash amount debited is the present value of the bonds, that is, the amount at which the bonds are sold multiplied by the face value of the bonds. In this case, it is $750,000 × 0.96 = $720,000.The Bonds Payable account is credited at its face value of $750,000.

The difference between the face value and the present value of the bonds, which is the discount on the bonds payable account, is credited for $30,000.

Bonds payable are a type of debt instrument that companies can use to raise money. Bonds are typically issued with a face value, which is the amount that the bond will be worth at maturity. The stated interest rate is the percentage of the face value of the bond that will be paid annually.

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Consider a first-price auction between two bidders for a box of money.
The box is equally likely to contain $0 or $100. Suppose that bidder 1
knows how much is in the box, and bidder 2 does not.
i) What strategies are dominated for bidder 1?
(ii) Given that 1 will not play a dominated strategy, what strategies are
dominated for bidder 2?
(iii) Before participating in the auction, what is bidder 2’s best guess of
what the box is worth? Should bidder 2 bid this amount? Why or
why not?

Answers

Bidder 2's dominant strategy in the first-price auction for a box of money is to bid slightly above $50 to ensure a positive expected payoff if they win.

Given that in a first-price auction between two bidders for a box of money, the box is equally likely to contain $0 or $100 and bidder 1 knows how much is in the box while bidder 2 does not, the strategies that are dominated for bidder 1 are those strategies that would lead to an expected pay-off that is worse than that obtained from a different strategy (mixed or pure) that bidder 1 could choose regardless of what bidder 2 plays.

For instance, if bidder 1's dominant strategy is to bid $50 but they bid $60 instead, bidder 1 has a dominant strategy. So, bidder 1 will not play that dominant strategy, rather they will opt for a mixed strategy that will ensure an equal probability of bidding $0 or $100.

Now, given that 1 will not play a dominated strategy, the strategies that are dominated for bidder 2 are strategies that would lead to an expected pay-off that is worse than that obtained from a different strategy (mixed or pure) that bidder 2 could choose regardless of what bidder 1 plays.

Therefore, the strategy that is dominant for bidder 2 is bidding for anything less than $50. This is because if the value of the box is $100, bidder 2 will make a loss if they bid less than $50 since the winning bidder will pay the amount they bid. If the value of the box is $0, bidder 2 will also make a loss if they bid less than $50 since they will still pay the amount they bid, even though the box is empty.

Therefore, the best strategy for bidder 2 is to bid $50 since it is not dominated by any other strategy and will give the highest expected payoff no matter the value of the box. Bidder 2's best guess of what the box is worth before participating in the auction is $50, which is the expected value of the box.

However, bidder 2 should not bid this amount because if they bid exactly $50, their expected pay-off will be zero irrespective of the value of the box. This is because the winning bidder will pay the amount they bid and the value of the box will be subtracted from this amount. Hence, bidder 2's expected pay-off will be zero if they bid $50. Instead, bidder 2 should bid slightly above $50 to have a positive expected pay-off if they win the auction.

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Assume Harvey Noman, an Australian-based MNC, plans to establish a subsidiary in Malaysia to produce computers at a low cost, then sell them in Malaysia and export them to Australia and other countries. It will finance this investment with its own funds in A$, and will pay wages, utility bills and other operating costs in Malaysian Ringgits. In addition, suppose that the subsidiary will invoice all its sales in Malaysian Ringgits or in the importing countries' currency.
Discuss how Harvey Noman might face transaction exposure, economic exposure and translation exposure from exchange rate movements. How can the company reduce the translation risk with a forward contract? Any problem with the use of the forwards?
(Note: your discussion needs to be in the context of Harvey Norman, not generally)

Answers

Harvey Norman should carefully evaluate the benefits and drawbacks of using forward contracts to reduce translation risk and ensure it aligns with its risk management strategy.

Harvey Norman, as an Australian-based multinational corporation (MNC), may face transaction exposure, economic exposure, and translation exposure from exchange rate movements when establishing a subsidiary in Malaysia.

1. Transaction exposure: This refers to the risk of exchange rate fluctuations affecting the value of future cash flows. Since Harvey Norman will invoice its sales in Malaysian Ringgits or the importing countries' currency, exchange rate fluctuations can impact its revenues and profits. For example, if the Ringgit weakens against the importing countries' currency, it may reduce the company's profits when converted back to A$.

2. Economic exposure: This relates to the impact of exchange rate movements on the subsidiary's competitiveness and cost structure. Harvey Norman may face economic exposure if the exchange rate affects the cost of inputs, such as wages, utility bills, and operating costs in Malaysian Ringgits. A strengthening Ringgit could increase costs and reduce competitiveness.

3. Translation exposure: This refers to the potential impact of exchange rate fluctuations on the translation of the subsidiary's financial statements back to the parent company's reporting currency (A$). A depreciation of the Ringgit against the A$ could result in lower reported profits for the parent company.

To reduce translation risk, Harvey Norman can use a forward contract. This allows the company to lock in a specific exchange rate for future transactions, mitigating the impact of exchange rate fluctuations on the subsidiary's financial statements. By using a forward contract, Harvey Norman can better forecast its profits and manage its financial risks.

However, there are potential problems with the use of forwards. First, if the actual exchange rate deviates significantly from the forward rate, the company may still incur losses. Additionally, forward contracts are binding and may limit flexibility in responding to changing market conditions. Lastly, entering into forward contracts may require upfront costs and can introduce counterparty risk if the counterparty fails to fulfill their obligations.

Overall, Harvey Norman should carefully evaluate the benefits and drawbacks of using forward contracts to reduce translation risk and ensure it aligns with its risk management strategy.

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Explain the four products types with examples from Dr. Kraljic's
A. Leverage products
B. Routine Products
C. Strategic Products
D. Bottlenecks Products

Answers

Dr. Kraljic's framework is a purchasing model that categorizes a company's purchasing requirements and helps businesses better understand how to improve their supply chain management. The four product types according to this framework are leverage products, routine products, strategic products, and bottleneck products.

Here are their definitions along with some examples: A. Leverage products: These products are important to the organization's goals and have a significant impact on its profitability. The supplier market for these products is competitive, so organizations can use their purchasing power to negotiate favorable terms. Examples of leverage products include software, IT equipment, and office supplies.

B. Routine products: These are products that are easy to obtain and do not require much attention. They are typically low-value items that are purchased frequently and in large quantities. Examples include stationery, cleaning supplies, and tools.

C. Strategic products: These are products that have a significant impact on the organization's goals and require careful management. The supplier market for these products is not always competitive, so organizations need to have long-term relationships with their suppliers to ensure they get the best value. Examples of strategic products include raw materials, specialized equipment, and intellectual property.

D. Bottleneck products: These are products that are critical to the organization's operations, but the supply chain is unstable or at risk. This could be due to a variety of factors such as supplier risk, natural disasters, or political instability. Examples include specialized components or rare materials needed for production.

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A 2. Contrast the market structures of monopoly and compettive markets. What are the sources of monopoly power? How do companies in both market structures maximise profits? Use appropriate diagram(s) to illustrate and explain your answer.

Answers

Market structures can be defined as the competitive environment in which companies operate and conduct their business activities. There are two types of market structures; Competitive market and Monopoly.

Both market structures vary in terms of the number of sellers, the nature of the product, entry and exit barriers, and pricing strategies. Let's examine the contrast between the market structures of Monopoly and Competitive markets:

Monopoly Market Structure: Monopoly is a market structure in which a single firm controls the production and sale of a good or service. In this type of market, the producer is considered a price maker, as they have complete control over the price of the product. The monopolist's demand curve is the market demand curve, which is downward-sloping.

Competitive Market Structure: A competitive market structure is characterized by numerous producers who offer identical products, which makes the price of goods identical. In this type of market, a producer cannot affect the market price as they are considered price takers.

On the other hand, in a Competitive market, the marginal cost curve intersects the marginal revenue curve at a point where the price is low, and the quantity is high, indicating that the company is maximizing profits by producing and selling in large quantities.

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This reflection paper is intended to connect the learning from the topic "Personality, Intelligence, Attitude & Emotions" to real life. It can include the past and present, but it primarily is intended for you to consider how this might impact your future.
Part 1: describe the topic "Personality, Intelligence, Attitude & Emotions" in your own words.
Part 2: apply the topic to your personal experiences.
Part3: explore a way forward in which personal growth can occur based on the insights learned from the topic

Answers

Part 1: Personality, Intelligence, Attitude & Emotions The topic of "Personality, Intelligence, Attitude & Emotions" encompasses various aspects of human behavior and psychology.

Personality refers to the unique patterns of thoughts, feelings, and behaviors that distinguish individuals from one another. Intelligence involves cognitive abilities such as problem-solving, reasoning, and learning. Attitude refers to the predisposition or mindset that influences how individuals perceive and respond to situations.

Emotions encompass the range of subjective feelings experienced by individuals, including happiness, sadness, anger, and fear.

Part 2: Application to Personal Experiences

In my personal experiences, I have observed how personality, intelligence, attitude, and emotions interact and shape my behavior and relationships. My personality traits, such as introversion or extraversion, influence how I interact with others and seek social connections. Additionally, my intelligence level and cognitive abilities impact my academic and professional pursuits, shaping my approach to learning and problem-solving.

Attitude plays a significant role in my personal experiences. For instance, having a positive attitude helps me maintain optimism and resilience in the face of challenges, enabling me to persevere and find solutions. Conversely, a negative attitude can hinder my progress and affect my overall well-being.

Emotions also have a profound impact on my experiences. I have noticed that managing my emotions effectively enhances my relationships and overall mental well-being. Understanding and regulating my emotions allows me to communicate more effectively, empathize with others, and make rational decisions.

Part 3: Personal Growth and Insights

Reflecting on the topic of "Personality, Intelligence, Attitude & Emotions," I recognize the potential for personal growth and development. By gaining a deeper understanding of these factors and their interplay, I can strive for self-improvement and enhance my future prospects.

One way forward is to engage in self-reflection and self-awareness exercises. By exploring my own personality traits, identifying my strengths and weaknesses, and understanding how they influence my behavior, I can work towards personal growth. This involves embracing self-acceptance and recognizing that personality traits can be modified to a certain extent through conscious efforts.

Additionally, I can focus on developing emotional intelligence. This includes enhancing my ability to recognize and understand emotions, both in myself and others. By practicing empathy, active listening, and effective communication, I can foster stronger interpersonal connections and navigate conflicts more skillfully.

Furthermore, cultivating a positive attitude and mindset is crucial for personal growth. Adopting a growth mindset, where I believe in my ability to learn and improve, can fuel my motivation and resilience. By challenging negative beliefs and embracing a solution-oriented mindset, I can overcome obstacles and achieve my goals.

In conclusion, the topic of "Personality, Intelligence, Attitude & Emotions" has significant implications for personal growth and development. By applying insights from this topic to my own experiences, I can strive for self-improvement, develop stronger relationships, and enhance my overall well-being. Through self-reflection, emotional intelligence, and cultivating a positive attitude, I can create a path towards a fulfilling and successful future.

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Mark is looking to purchase a second-hand car. Within 20 minutes from Mark's house, there are 10 second-hand car dealerships.
Mark needs to view all the dealerships as the market is perfectly competitive and he has full information.
Mark should visit only up to the 3rd store if this is where he believes the MB of attaining the information equals the MC of searching.
Mark should visit every dealership to find the best quality car for the cheapest price.
Which of the following statements are true:
Only 1 is true.
Only 2 is true.
Both 1 and 2 are true.
Both 2 and 3 are true.
All three are true.

Answers

The correct answer is: Only 1 is true.

Based on the statements provided:

1. Mark should visit only up to the 3rd store if this is where he believes the marginal benefit (MB) of attaining the information equals the marginal cost (MC) of searching.

2. Mark should visit every dealership to find the best quality car for the cheapest price.

3. The market is perfectly competitive, and Mark has full information.

Statement 1 is true because Mark should stop visiting dealerships once the marginal benefit of obtaining additional information (such as finding a better deal or car) is equal to the marginal cost of searching (including the time and effort required to visit more dealerships). Visiting more dealerships beyond this point would not provide Mark with additional value that justifies the cost.

Statement 2 is not necessarily true. While Mark may want to find the best quality car for the cheapest price, visiting every dealership may not be the most efficient or practical approach. It could be time-consuming and may not necessarily guarantee to find the best deal or quality. Therefore, it is not a universally true statement.

Statement 3 is not mentioned in the original scenario and cannot be inferred from the information provided.

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You are evaluating a project that will cost $501,000​, but is expected to produce cash flows of $130,000 per year for 10 ​years, with the first cash flow in one year. Your cost of capital is 10.9% and your​ company's preferred payback period is three years or less.
a. What is the payback period (year) of this​ project? (Round to two decimal​ places.)
b. Should you take the project if you want to increase the value of the​ company?

Answers

a. The payback period of the project can be calculated by dividing the initial cost of the project by the annual cash flows. In this case, the initial cost is $501,000 and the annual cash flow is $130,000.

To calculate the payback period, we can divide the initial cost by the annual cash flow: $501,000 / $130,000 = 3.85 years (rounded to two decimal places).

b. The payback period is greater than the company's preferred payback period of three years or less. Therefore, if the company wants to adhere to its preferred payback period, it should not take this project.

Regarding increasing the value of the company, the payback period alone does not provide enough information to determine the project's impact on company value. Other factors such as net present value (NPV), internal rate of return (IRR), and profitability index (PI) should be considered to assess the project's impact on company value.

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Describe the difference between fixed and variable costs.
Explain how fixed and variable costs impact a business.
Provide 3 examples of each type of cost.

Answers

Fixed Costs and Variable Costs are the two types of costs that can impact the success of a business. Fixed costs are those that stay constant no matter what while variable costs change depending on how much business a company does. Let's understand the difference between these costs and how they impact a business.

The difference between fixed and variable costs: Fixed Costs are costs that are constant and do not change with the increase or decrease of business. Rent, salaries, property taxes, and insurance are all examples of fixed costs. Fixed costs stay constant regardless of the amount of business a company does.Variable Costs are costs that depend on the amount of business that a company does.

These costs can vary up or down based on the increase or decrease of business. Raw materials, commissions, production labor, shipping charges, and packaging are all examples of variable costs. In order to produce more products, a business will incur more variable costs. Impact of fixed and variable costs on a business:Fixed Costs: Since fixed costs are constant, they can have an impact on the business.

For example, even if a company's sales decrease, it still has to pay for rent, salaries, and other fixed costs. The company will have to continue to pay these costs and if they do not have enough cash flow, they will go into debt. Variable Costs: Since variable costs change with the amount of business a company does, they can have an impact on the profitability of a business.

If a company sells more products, then it will have more variable costs. But if they do not sell enough products to cover the variable costs, then they will lose money. Examples of fixed costs are: Rent, salaries, and insurance. Examples of variable costs are Raw materials, commissions, and production labor.

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Red River Painting Company incurs the following transactions for September. 1. Septenber 3 Paint houses in the current month for $15,500 on account. 2. September 8 Purchase painting equipnent for $16,500 cash. 3. September 12 Purchase office supplies on account for $2,6e0. 4. September 15 Pay employee salaries of $3,360 for the current eonth. 5. Septenber 19 Purchase advertising to appear in the current sonth for $1, eee cash. 7. Septenber 26 Recelve $10,509 fron custoners in (1) above. 8. September 30 Receive cash of $5,100 in advance from a custoner who plans to have his house painted in the following eonth. Required: 1. Record each transaction. 2. Post each transaction to T-accounts and calculate the ending balance fot each account. At the beginning of September, the company had the following account balances: Cash. $41,600, Accounts Reccivable, $1,250; Supplies, $410; Equipment, $6,500; Accounts Payable, $1,200; Common Stock, $20,500, Retained Earnings, $28,060. All other accounts had a beginning balance of zero. 3. Prepare a trial balance. Complete this question by entering your answers in the tabs below. Post each transaction to T-accounts and calculate the ending balance for each account. At the beginning of September, the company had the following account Cash, $41,600; Accounts Receivable, $1,250; Supplies, $410; Equipment, $6,500; Accounts Payable, $1,200; Common 5 tock, $20,500; Retained Earnings, $2. other accounts had a beginning balance of zero.

Answers

Red River Painting Company's September transactions include painting houses, purchasing equipment and office supplies, paying employee salaries, purchasing advertising, and receiving payments from customers. The ending balances for each account are: Cash $61,409, Accounts Receivable $11,759, Supplies $2,870, Equipment $23,000, Accounts Payable $3,860, Common Stock $20,500, and Retained Earnings $28,060.

1. September 3: Paint houses on account for $15,500, increasing Accounts Receivable to $16,750.

2. September 8: Purchase painting equipment for $16,500 in cash, reducing Cash to $25,100 and increasing Equipment to $23,000.

3. September 12: Purchase office supplies on account for $2,600, increasing Accounts Payable to $3,800 and Supplies to $3,010.

4. September 15: Pay employee salaries of $3,360 in cash, reducing Cash to $21,740.

5. September 19: Purchase advertising for $1,500 in cash, reducing Cash to $20,240.

6. September 26: Receive $10,500 from customers in payment for painting houses, reducing Accounts Receivable to $6,250 and increasing Cash to $30,740.

7. September 30: Receive $5,100 in advance cash payment from a customer for future painting services, increasing Cash to $35,840.

The ending balances for each account are: Cash $61,409, Accounts Receivable $11,759, Supplies $2,870, Equipment $23,000, Accounts Payable $3,860, Common Stock $20,500, and Retained Earnings $28,060. These balances reflect the impact of the transactions on the company's financial position at the end of September.

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The negative difference between government outlays and tax revenue in a year is called a. budget deficit b. national debt c. discretionary spending d. fiscal multiplier Which form of fiscal stimulus would have the most crowding out? a. An increase in government spending financed by raising taxes b. An increase in government spending financed by borrowing money c. An cut in taxes that does not change household expectations of future taxes

Answers

The negative difference between government outlays (expenditures) and tax revenue in a given year is known as the budget deficit. The Correct option is A

It represents the amount by which government spending exceeds its revenue within a specific fiscal year. A budget deficit occurs when the government needs to borrow funds to cover its expenses. It is a key indicator of a government's fiscal health and can have implications for economic stability.

Persistent budget deficits can contribute to the accumulation of the national debt over time. Measures such as reducing spending, increasing tax revenue, or a combination of both are often implemented to address and mitigate budget deficits. Managing the budget deficit is crucial for maintaining fiscal responsibility and ensuring the long-term sustainability of a government's finances. The Correct option is A

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Complete Question;

The negative difference between government outlays and tax revenue in a year is called a. budget deficit b. national debt c. discretionary spending d. fiscal multiplier Which form of fiscal stimulus would have the most crowding out?

1. What are the strongest current arguments unions and/or manage- ments use in the proposal or defense of present or future wages and benefits?
2. What effect do bargained wages and benefits have on the economic performance of the employer and on nonunion employees of the same or other employers?
3. How does the form of wages influence employer and employee outcomes?
Labor Relations
for labor managment and relations

Answers

1. Unions and managements use several strong arguments in the proposal or defense of present or future wages and benefits. Some of the strongest arguments include:

a) Ensuring job security: Unions argue that higher wages and benefits are necessary to attract and retain talented workers, which, in turn, boosts job security.

b) Ensuring a better standard of living: Unions argue that workers deserve a better standard of living and that higher wages and benefits can provide them with the means to achieve this.


2. Bargained wages and benefits have several effects on the economic performance of employers and non-union employees. Employers must balance the costs of increased wages and benefits with the potential benefits of a more satisfied and productive workforce. Non-union employees may be affected by higher wages and benefits if they work in the same industry or for the same employer.

3. The form of wages can influence the outcomes for both employers and employees. Different forms of wages, such as hourly wages, piece-rate wages, or salary wages, can affect employee motivation and productivity. For example, hourly wages may encourage employees to work at a slower pace, while piece-rate wages may encourage employees to work faster, which could impact the quality of work.

In addition, the form of wages can also affect employer costs. For example, hourly wages may be more expensive than piece-rate wages, since employers must pay for all hours worked, regardless of productivity. Salary wages may also be more expensive if they include overtime pay.

Overall, the form of wages should be chosen based on the goals of the employer and the needs of the employees.

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u=c1a+c21-a​​​​​
Another commonly used concept in macroeconomics is the elasticity of
substitution which measures how easy it is to substitute between two goods. Given the
formula for the elasticity of substitution:
e1.2 =d ln(c2/c1)
d ln MRSwhere MRS is the marginal rate of substitution. Use the utility function in question 3 to
work out the elasticity of substitution.

Answers

The elasticity of substitution using the given utility function is -MRS(c1/c2).

To work out the elasticity of substitution using the given utility function u=c1a+c21-a, we need to calculate the marginal rate of substitution (MRS) and then use it in the formula for the elasticity of substitution.

The marginal rate of substitution (MRS) measures the rate at which a consumer is willing to substitute one good for another while keeping the utility constant. It can be calculated by taking the derivative of the utility function with respect to c1 and dividing it by the derivative of the utility function with respect to c2:

MRS = (∂u/∂c1) / (∂u/∂c2)

In this case, the utility function is u=c1a+c21-a. Taking the derivatives, we get:

∂u/∂c1 = ac1^(a-1) - (1-a)c2^(-a)
∂u/∂c2 = (1-a)c2^(-a)

Now we can substitute these derivatives into the MRS formula:

MRS = (ac1^(a-1) - (1-a)c2^(-a)) / ((1-a)c2^(-a))

Next, we need to calculate the elasticity of substitution using the formula:

e1.2 = (d ln(c2/c1)) / (d ln MRS)

To find d ln(c2/c1), we take the derivative of ln(c2/c1) with respect to c2 and divide it by the derivative of ln(c2/c1) with respect to c1:

d ln(c2/c1) = (∂ln(c2/c1)/∂c2) / (∂ln(c2/c1)/∂c1)
           = (1/c2) / (-1/c1)
           = -c1/c2

Similarly, to find d ln MRS, we take the derivative of ln MRS with respect to MRS:

d ln MRS = (∂ln MRS/∂MRS)
        = (1/MRS)

Now we can substitute these values into the elasticity of substitution formula:

e1.2 = (-c1/c2) / (1/MRS)
    = -MRS(c1/c2)

Therefore, the elasticity of substitution using the given utility function is -MRS(c1/c2).

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Beximco pays a current (annual) dividend of $5 which is expected to grow at 15% for two years and then at 3% thereafter. If the required return for the company is 9%, what is the intrinsic value of Beximco stock?

Answers

The answer is , the intrinsic value of Bexim co. stock is $16.11.

How to find?

The given information in the problem is as follows:

Current (annual) dividend = $5

Growth rate of the dividend for the first two years = 15%

Growth rate of the dividend thereafter = 3%

Required return for the company = 9%.

To calculate the intrinsic value of Beximco stock, we can use the dividend discount model. According to this model, the intrinsic value of a stock is the present value of all future dividends.

Here is the formula for calculating the intrinsic value of a stock using the dividend discount model:

Intrinsic value = D1/(1+r) + D2/(1+r)² + D3/(1+r)³ + ... + Dn/(1+r)^n

Where, D1, D2, D3, ..., Dn are the dividends for each year from year 1 to year n. r is the required return.

Let's calculate the intrinsic value of Beximco stock using the above formula. We are given that the dividend will grow at a rate of 15% for the first two years and 3% thereafter.

This means that the dividends for the next three years will be as follows:

Year 1 dividend = $5 x (1 + 15%)

= $5.75

Year 2 dividend = $5.75 x (1 + 15%)

= $6.61.

Year 3 dividend = $6.61 x (1 + 3%)

= $6.81.

Using the formula, the intrinsic value of Beximco stock is calculated as:

Intrinsic value = $5.75/(1+9%) + $6.61/(1+9%)² + $6.81/(1+9%)³

= $5.27 + $5.53 + $5.31

= $16.11.

Therefore, the intrinsic value of Bexim co. stock is $16.11.

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Accounting for the Establishment of a New Business (the Accounting Cycle) 눈 LO2, 2-5, 2-6 Penny Cassidy has decided to start her business, Penny's Pool Service \& Supply, Inc. (PPSS). There is much to do when starting a new business. Here are some transactions that have occurred in PPSS in March. a. Received $25,000 cash and a large delivery van with a value of $36,000 from Penny, who was given 4,000 shares of \$0.05 par value common stock in exchange. b. Purchased land with a small office and warehouse by paying $10,000 cash and signing a 10-year note payable to the local bank for $80,000. The land has a value of $18,000 and the building's value is $72,000. Use separate accounts for land and buildings. c. Purchased new computer equipment from Dell for $2,500cash, and purchased other office equipment for $4,000, signing a note payable due in six months to the office equipment manufacturer. d. Hired a receptionist for the office at a salary of $1,500 per month; the receptionist will begin working for PPSS starting in April. e. Paid $1,000 on the note payable to the bank [in (b) above] at the end of March (ignore interest). f. Purchased short-term investments in the stock of other companies for $5,000 cash. g. Ordered $10,000 in inventory from Pool Corporation, Inc., a pool supply wholesaler, to be received in April. Required: 1. For each of the events (a) through (g), prepare journal entries if a transaction of the business exists, checking that debits equal credits. If a transaction does not exist, explain why there is no transaction for the business. 2. Create T-accounts and post each of the transactions to determine balances at March 31. Because this is a new business, beginning balances are $0. 3. Prepare a trial balance on March 31 to check that debits equal credits after the transactions are posted to the T-accounts. 4. From the trial balance, prepare a classified balance sheet (with current assets and current liabilities sections) at March 31 (before the beginning of operations in April). 5. For each of the events (a) through (g), indicate if it is an investing activity (I) or financing activity (F) and the direction ( + for increases; − for decreases) and amount of the effect on cash flows using the following structure. Write NE if there is no effect on cash flows. 6. Calculate the current ratio at March 31. Round your answer to three decimal places. What does this ratio indicate about the ability of PPSS to pay its current liabilities?

Answers

Journal entries for each event:

Event a:

Receipt of cash and delivery van and issuance of common stock.

Accounts Debit Credit Cash $25,000

Delivery Van $36,000

Common Stock $200 (4,000 shares x $0.05 par value)

Paid-in Capital in Excess of Par $60,800 ($25,000 + $36,000 - $200)

Event b:

Purchase of land and building, and issuance of a note payable.

Accounts Debit Credit Land $10,000

Buildings $72,000Cash $10,000

Note Payable $80,000

Event c:

Purchase of computer equipment and office equipment and issuance of a note payable.

Accounts Debit Credit Computer Equipment $2,500

Office Equipment $4,000Notes Payable $4,000Cash $6,500

Event d:Hiring of receptionist.

Accounts Debit Credit Salaries Expense $0 (because salary is not due until April)

Salaries Payable $1,500

The current ratio is 2.424 (Current assets ÷ Current liabilities = $40,000 ÷ $16,500 = 2.424).

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(a) When an increase in oil price occurs, how would economic agent such as firms and Central Bank respond to such non-marginal price changes? - (b) In terms of price effects, the impact of energy price changes is often broken down into direct and indirect first and second-round effects. With the aid of a diagram explain the transmission channels of these effects. - (c) According to Baumeister and Peersman oil price shocks are caused by three major factors. Identify and discuss these factors by imposing economic restrictions on them.

Answers

a. When there is an increase in the price of oil, economic agents like firms and the central bank can respond to non-marginal price changes in the following ways: Firms might increase the prices of goods and services to match their higher production costs, leading to inflationary pressures. Central banks might tighten monetary policy by raising interest rates to control inflation. This will have an impact on economic growth, reducing demand for goods and services, and leading to lower employment levels

b. The impact of energy price changes in terms of price effects is often broken down into direct and indirect first and second-round effects. The direct effect is the immediate increase in the price of oil, while the indirect effect is the knock-on effect on other prices as the cost of production rises. The first-round effect occurs when the price of oil affects the cost of production, and the second-round effect occurs when it affects consumer spending. This diagram shows how these transmission channels work:In the diagram, the first-round effect is represented by the upward shift in the aggregate supply curve, which results in a decrease in output and an increase in the price level. The second-round effect is represented by the downward shift in the aggregate demand curve, which results in a further decrease in output and an increase in the price level. c. According to Baumeister and Peersman, oil price shocks are caused by three major factors:Oil supply disruptions or geopolitical events: These can cause temporary or permanent reductions in the supply of oil, leading to higher prices.Oil demand shocks: These can be caused by factors such as changes in global economic growth, weather patterns, or transportation patterns, leading to changes in the demand for oil.Speculative demand: This refers to the demand for oil by investors who are seeking to profit from changes in the oil market. Speculative demand can lead to price bubbles and other forms of price distortion, which can have a significant impact on the economy.These factors can be analyzed by imposing economic restrictions on them. For example, supply disruptions or geopolitical events can be mitigated by increasing the diversity of energy sources and improving the resilience of energy infrastructure. Demand shocks can be addressed by implementing energy efficiency measures and promoting the use of alternative energy sources. Speculative demand can be addressed by regulating financial markets and increasing transparency in the oil market.

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With the aid of an example, discuss the oligopolistic market structure.
"

Answers

In the market, the oligopolistic market structure is characterized by a small number of firms that dominate the market and offer similar or identical products. In this structure, the market power is controlled by the few dominant firms, allowing them to influence market conditions, including pricing and output levels, making it difficult for other small firms to enter the market.

An example of an oligopoly is the automobile industry, which is dominated by a few major firms such as Ford, Toyota, and General Motors. These firms have substantial market power, which they use to influence the price and quality of cars, as well as to engage in strategic pricing to maximize their profits. Other examples of oligopolistic markets are the soft drink industry, telecommunication industry, and airline industry. In these industries, a small number of dominant firms control the market, which makes it difficult for smaller firms to enter the market and succeed. Oligopolistic markets have both advantages and disadvantages. On one hand, the concentration of market power in the hands of a few dominant firms can lead to economies of scale, making it possible for them to achieve cost savings, and improve quality. On the other hand, oligopolistic markets are often characterized by high prices and reduced innovation as the dominant firms engage in strategic pricing to maximize their profits and limit competition.

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What are the production sharing contracts (PSC) and production
sharing agreements (PSA)?

Answers

Production sharing contracts (PSC) and production sharing agreements (PSA) are agreements commonly used in the oil and gas industry. These contracts are typically made between a government or state-owned entity and an oil company.

Under a PSC or PSA, the government grants the oil company the rights to explore, develop, and produce oil and gas reserves in a specified area or block. The oil company bears the financial risks and costs associated with exploration and production activities.

In return for their investment, the oil company is entitled to a share of the produced oil and gas. The terms of the contract determine the percentage of production that the company is entitled to, often referred to as the "profit oil" or "profit gas."

The remaining portion of the production, known as the "cost oil" or "cost gas," is used to recover the costs incurred by the oil company. The government also usually receives taxes, royalties, and other forms of fiscal payments as part of the agreement.

PSCs and PSAs vary in their terms and structures, and the specific details are negotiated between the government and the oil company. These contracts are designed to promote investment in oil and gas exploration and production while ensuring a fair distribution of profits between the parties involved.


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Ann is photographing bookmarks for her cousin's online business. She is using closeups to capture the details on the bookmarks and also some shots from further away with the bookmarks sitting next to a book to help capture their scale. What type of photography is Ann MOST likely engaged in? O A. forensic photography O B. landscape photography O C. commercial photography O D. portrait photography​

Answers

Ann is most likely engaged in commercial photography. Option C. Commercial photography is the type of photography that involves capturing photos that are used for commercial purposes such as advertisements, product descriptions, billboards, and product placement.

It's also commonly known as advertising photography. Ann is taking pictures of bookmarks for her cousin's online business, and she's using close-up shots to capture the details on the bookmarks. She's also taking photos from further away with the bookmarks sitting next to a book to help capture their scale. This type of photography aims to show the product, highlight the features, and create visual appeal to attract customers.

In commercial photography, the images created are meant to be used in marketing and advertising campaigns. Therefore, the photographer should have a good understanding of the product and how it can be presented in a way that is appealing to the target audience. Commercial photographers are usually hired by companies, magazines, and other media outlets to produce images for their advertising and marketing campaigns. They can work in a studio or on location depending on the client's needs.

In conclusion, Ann is most likely engaged in commercial photography since she's taking photos of bookmarks for commercial purposes and using various techniques to capture the details and showcase the product's features. Therefore, the correct option is C.

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Part 1 (Use the annual report of Apple company)
Does apple's company have any equity securities? What are the accounting policies used to account for them?

Answers

Yes, Apple's company has equity securities. Equity securities refer to stocks or shares held by a company in another firm. Apple Inc.'s financial report states that it holds equity securities for a range of firms, although the value of these investments varies.

Available-for-sale securities: Available-for-sale securities are fair-value securities that the company may buy or sell at any time with the purpose of selling them for profit.
Held-to-maturity securities: Held-to-maturity securities are investments in debt securities that Apple intends to hold to maturity. These securities are initially recorded at fair value, and any modifications to their values are not reflected in the financial statements.
Available-for-sale securities are reported at their fair value, with unrealized gains or losses, net of income taxes, listed in other comprehensive income on the balance sheet. The fair value of these securities is determined by applying an appropriate valuation technique that takes into account all of the observable data that might impact the valuation. For equity securities classified as available-for-sale, gains or losses on the disposition of such securities are calculated using the specific identification method.

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Phosphorus Wastewater Discharges Imagine that a single polluter emits phosphorus a river. To reduce these discharges, the polluter bears the following marginal abatement costs: MAC=105−10E, where E represents the level of discharges, measured in tons. Once into the river these discharges generate damage costs, which are represented by the following marginal damage cost function: MDC=0
MDC=−5+1E

if E≤5
if E>5

Based on this information, identify the following items: E max

= maximum level of phosphorus discharges = tons E ∧
= discharge threshold = tons E ∗
= efficient level of phosphorus discharges = tons

Answers

The marginal damage cost function MDC is given as follows: MDC = 0, if E ≤ 5; MDC = -5 + E, if E > 5.

The polluter's marginal abatement cost is given as follows: MAC = 105 - 10EFor the efficient level of phosphorus discharges. The marginal damage cost and marginal abatement cost are equated:105 - 10E = -5 + EE = 11.25 tons (efficient level of phosphorus discharges)E max refers to the point where the marginal damage cost is zero. Therefore,E max = 5 tons (maximum level of phosphorus discharges)E ∧ refers to the level of discharge where the marginal abatement cost equals the marginal damage cost at the threshold of 5 tons of phosphorus discharge.E ∧ = 5 tons (discharge threshold).

Hence, E max = 5 tons (maximum level of phosphorus discharges), E ∧ = 5 tons (discharge threshold) and E ∗ = 11.25 tons (efficient level of phosphorus discharges).

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If you invest $20,000 at an annual interest rate of 1%, compounded continuously, calculate the final amount you will have in the account after 20 years.
a. $24,428.06 b. $24,525.23 c. $24,000.00 d. $23,972.45

Answers

Using the compound interest formula A = Pe^(rt), with P = $20,000, r = 1% (0.01), and t = 20 years, the final amount is approximately $24,428.06. Therefore, the final amount after 20 years is $24,428.06 (option a).

The formula for compound interest is given by:A = Pe^(rt),where, A is the amount of money at the end of the investment period is the principal amount is the rate of interest is the time (in years)e is the mathematical constant e = 2.71828

Here, P = $20,000r = 1% = 0.01 (as a decimal) and = 20 years

So, the final amount, A = 20000e^(0.01*20) = 20000e^(0.2) ≈ $24,428.06

Therefore, the final amount you will have in the account after 20 years is $24,428.06 (option a).

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Which of the following is a possible reason why a project might have two or more valid IRR values? a. The project is mutually exclusive b. The project has changes in + and - signs for the future cash flows c. The project has both positive and negative NPVs at the same time d. The project is large in scale e. The project has a payback period below the cut-off value

Answers

The correct answer is option b. The project has changes in + and - signs for the future cash flows.

The possible reason why a project might have two or more valid cash flows(IRR) values is b. The project has changes in + and - signs for the future cash flows.

The Internal Rate of Return is the discount rate at which the net present value (NPV) of a project's cash flows is zero. It represents the rate of return at which the project's inflows and outflows are balanced. In cases where the cash flows of a project change signs multiple times, it can result in multiple IRR values.

When a project has changes in positive and negative cash flows, it means that there are periods of both cash inflows and cash outflows. These changes in signs can occur due to various factors such as investment costs, operating expenses, and cash inflows from sales or revenues. These changes create multiple points at which the NPV of the project can be zero, leading to multiple IRR values.

It's important to note that having multiple IRR values does not necessarily mean the project is not viable or acceptable. However, it does complicate the interpretation and decision-making process. In such cases, other criteria such as the NPV or profitability index may need to be considered to evaluate the project's financial viability.

Therefore, option b. The project has changes in + and - signs for the future cash flows is the correct answer.

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Institutional Conformance at Meridian Credit Union
Question: Bonus compensation for senior managers at Meridian’s is as follows: 50% of the bonus is determined by operating earnings performance (i.e. profit before expenses), 40% is determined by growth in products (deposits and loans), and 10% is determined by member (customer) satisfaction. An organization's incentive structure represents what kind of institutional force?
a. Cognitive
b. Normative
c. Regulatory

Answers

The bonus compensation structure at Meridian Credit Union represents a normative institutional force. This means that the organization's incentive structure is influenced by social norms and values. The structure is designed to incentivize senior managers to achieve specific goals related to operating earnings performance, growth in products, and member satisfaction.

Normative institutional forces are based on social norms, values, and expectations. In this case, the bonus compensation structure at Meridian Credit Union is designed to align with the organization's values and goals. The structure incentivizes senior managers to focus on key performance indicators such as operating earnings performance, growth in products (deposits and loans), and member satisfaction. By linking a portion of the bonus to these specific metrics, the organization encourages managers to conform to the desired behaviors and outcomes. This normative force helps to shape the behavior and decisions of senior managers at Meridian Credit Union.

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Describe in which circumstances problem-focused coping vs.emotion-focused coping would be more effective.thanks Question 6 Fill in: Why is an IQ of around 70 or lower considered for designation of intellectual disability? What is the term for children who fall in the IQ range of around 75 to 85? Edit View Insert Format Tools Table 12pt Paragraph v BIUA 2 TV I A 150 Mitz magnetic field travels in a fhuaid for which the propagation velocity is 1.0x10 m/sec. Initially, we have H(0,0)-2.0 a, A/m. The amplitude drops to 1.0 A/m after the wave travels 5.0 meters in the y direction. Find the general expression for this wave. & Hyl)-2ecos(10m: 10/1-0.1m) a, A/m Ob None of these Oc Hyl)-2ecosom. 10'1-0.3my) a, A/m Od. Hy0-lecos(10m.101-01my) a, A/m Clear my choice 10. What is the phase of the moon during a total lunar eclipse?11. Suppose you are riding in your car and approaching a red light. How fast would need to go in order to make the red light (rest = 675. nm) appear to turn into a green light (shift = 530. nm)? Give your answer in terms of km/sec.14. What constellation would the Full Moon occupy, if the Full Moon occurred on October 10?15. For an observer in Salt Lake City, Utah, what constellation would the sun appear to occupy on May 20?16. An observer in Atlanta, Georgia, would observe the North Star at what altitude (to the nearest degree)?17. Which of the following constellations would you not expect Jupiter to occupy at some time in the next 15 years: Libra, Taurus, Cygnus, or Leo?18. Suppose you have discovered a new celestial body going around the sun. If it requires 343 years to complete one orbit around the sun, what is its average distance from the sun (give answer in AU)? A financial institution lends you$1000but you must repay$1080at the end of one week. What is the nominal interest rate? e.416%f.615%g.700%h. cannot be determined from the available information A student carried out an experiment to find the mass of FeSO4.7H20 in an impure sample, X. The student recorded the mass of X. This sample was dissolved in water and made up to 250cm^3 of solution. The student found that, after an excess of acid had been added, 25.0cm^3 of this solution reacted with 21.3cm^3 of a 0.0150 moldm^-3 solution of K2Cr2O7. Use this information to calculate a value for the mass of FeSO4.7H20 in the sample X. I understand the calculations part of the question, but i never understood how to work out the equation involved, which is:6Fe2+ + Cr2O72- + 14H+ --> 6Fe3+ +2Cr3+ +7H2OHow do i work this out? Why are there 6 moles of Fe2+? what does it mean if there is an impurity, X? i am just really confused about this question if someone could elaborate clearly i will be really happy, thanks