If an activity whose normal duration is 13 days can be shortened to 10 days for an added cost of $1,500, what is the crash cost per period?

Answers

Answer 1

The crash cost per period is $500.

What is crash cost per period?

The difference in expenses divided by the difference in times equals the crash cost per period (crash and normal). The cost of a crash per period is thought to be linear between normal and a crash. So that the smallest cost values on the critical path can be taken into account for time reduction first, the crash cost per period needs to be established.

How is the daily crash cost determined?

Cost Slope = (Crash cost-Normal cost)/Crashing typically results in a rise in the cost of those activities that are built under the crash program (Normal time-Crash time). You require Crash cost (CC), Normal cost (NC), Normal time (NT), and Crash time to compute Crashing (CT).

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Related Questions

How can decision-making skills help me achieve my goals?

Answers

Answer:

Put forward objectives that you need to achieve. To be roused to really accomplish your objectives, they should be founded on the data that you considered during the dynamic interaction. Stage 2: Consider your objectives mindfully to guarantee that they don't negate one another.

Answer:

It helps you be more experienced when it comes to making tough decisions

Explanation:

The reason decision making skills can help you achieve your goals is by making you focus on what you need to do to be able to complete whatever obstacle you need to cross. Imagine you didn't have any decision making skills at all. One day you will come across some sort of situation where you would need to make a decision, for example lets say that you are a manager at an office building and there is an office worker who just doesn't do their job. There is another person who wants to work there and they are more hardworking than the lazy worker but there is no positions available. Your decision making skills would help you decide whether to fire the lazy worker so that the hard worker gets the job, or if you would let the lazy worker keep working there and the lazy worker does nothing productive for the company.

Hope this helps and wasn't too confusing.

The production possibilities frontier, or curve, is a graphical representation of the:.

Answers

The production possibilities frontier (PPF) is a graphical representation of the opportunity cost of production. It shows the maximum output of two goods that can be produced with limited resources at a given time. Hence, It is a useful tool for assessing the efficiency of an economy and the impact of changes in technology and resources.

The production possibilities frontier, or curve, is a graphical representation of the opportunity cost. In economics, opportunity cost refers to the benefits of an alternative option forgone in order to pursue a certain action or decision. It is the cost of a foregone opportunity.

The production possibilities frontier represents the maximum output of two goods that can be produced with limited resources at any given time.

The production possibilities frontier graph displays the various possibilities of goods that a country can produce given its resources. It helps in the analysis of the economic condition of a country, by depicting the trade-offs of producing one good over another. It represents a combination of two goods that an economy can produce, given the limited resources, at a constant level of technology and available resources.

The PPF exhibits a simple relationship between the production of one good and another. The curve shows the limits to production efficiency and the constraints imposed by a given set of limited resources. It is a useful tool for assessing efficiency gains due to technological advances, change in labor skills, and movement to a more productive economy.

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"


Subsidies are a price-based policy tool intended to the externality generated through the adoption of technologies that reduce pollution, generating goods. Subsidies work because they the price of the___________
"

Answers

The correct answer is Subsidies work by lowering the price of subsidized goods or services.

Subsidies work because they lower the price of the subsidized goods or services. By providing financial support to producers or consumers, subsidies effectively reduce the cost of adopting technologies or practices that mitigate pollution or generate public goods. This price reduction encourages increased adoption and consumption of the subsidized goods or services, making them more attractive and accessible to businesses and consumers.

Subsidies can create market incentives that drive the adoption of environmentally friendly technologies, leading to reduced pollution levels and improved sustainability. By reducing the price barrier, subsidies aim to promote the desired behaviors or outcomes and address market failures associated with externalities.

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If my revenue is 1,000,000 and my expenses are 1,386,000, what's my profit in percentage

Answers

If my revenue is 1,000,000 and my expenses are 1,386,000, The profit in percentage is : -38.6%

Profit in percentage

Given :

Revenue = $1,000,000

Expenses = $1, 386,000

First step is to calculate the Net profit or  Net loss using this formula

Net profit or  Net loss  = Revenue - Expenses

Let plug in the formula

Net profit or  Net loss = $1,000,000 - $1,386,000

Net profit or  Net loss  = - $386,000

Now let determine the profit in percentage

Profit in percentage = -$386,000 / $1,000,000 × 100

Profit in percentage = -38.6%

Therefore the profit or loss is -38.6%.

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International trade organizations promote free trade by encouraging countries to:__.
a. maintain their tariffs. b. establish their trade quotas. c. limit their protectionism policies. d. develop their products.

Answers

Answer:

a

Explanation:

edge 2023

International trade organizations promote free trade by encouraging countries to maintain their tariffs. Thus the correct option is A.

What is trade?

Trade refers to the exchange of goods and services with money to perform an economic exchange. When this trade takes place across borders it is called international trade.

To lower or remove tariffs and other trade obstacles, International trade organizations encourage nations  which may make it simpler for nations to export and import products and services. This is how they promote free trade.

Additionally, these organizations offer technical support and other forms of aid to help countries take part in international trade more successfully.

Therefore, option A maintaining their tariffs is appropriate.

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The federal reserve can affect you through

Answers

As the Federal Reserve conducts monetary policy, it influences employment and inflation primarily through using its policy tools to influence the availability and cost of credit in the economy.

Shondra is thinking of making payments for her laptop by setting up automatic withdrawals with the store. What must
Shondra consider before she decides to pay with automatic withdrawals?
Shondra should be sure she will remember to call the store each month to make the payment.
Shondra should check her credit history to be sure she has a good credit score.
Shondra should be sure she will have enough in her account to be able to make the monthly payments.
Shondra should consult with a credit counseling service.

Answers

Answer:

Shondra should be sure she will have enough in her account to be able to make the monthly payments.

Explanation:

She need to consider and makes sure she have enough in her account to be able to make the monthly payments.

What is an automatic withdrawals?

This is a financial procedure that is used when someone grant their bank the permission to make a payment to a creditor their your bank account.

Hence, there is need to makes sure she have enough in her account to be able to make the monthly payments to the creditor.

Therefore, the Option C is correct.

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Trade policies Group of answer choices alter the trade balance because they alter imports of the country that implemented them. alter the trade balance because they alter net capital outflow of the country that implemented them. do not alter the trade balance because they cannot alter the national saving or domestic investment of the country that implements them. do not alter the trade balance because they cannot alter the real exchange rate of the currency of the country that implements them.

Answers

Answer:

do not alter the trade balance because they cannot alter the national saving or domestic investment of the country that implements them.

Explanation:

Trade policy explains rules, regulations, and standards that are relevant to trade relations between two countries. Trade policy is also called the Commercial policy.

Trade policies do not alter the trade balance because they cannot alter the national saving or domestic investment of the country that implements them.

A T-bill quote sheet has 60-day T-bill quotes with a 5.43 ask and a 5.37 bid. If the bill has a $10,000 face value, an investor could sell this bill for _____. multiple choice $10,000 $9,910.50 $9,911.73 $9,909.50

Answers

An investor could sell this 60-day T-bill for approximately $9,911.73.

To determine the amount an investor could sell the 60-day T-bill for, we need to calculate the bid price. The bid price represents the price at which an investor can sell the T-bill.

Given information:

Face value of the T-bill: $10,000

Ask quote: 5.43%

Bid quote: 5.37%

To calculate the bid price, we use the formula:

Bid price = Face value / (1 + (Bid quote * Days to maturity / 360))

Days to maturity: 60 days

Let's calculate the bid price:

Bid price = $10,000 / (1 + (0.0537 * 60 / 360))

Bid price = $10,000 / (1 + 0.00895)

Bid price = $10,000 / 1.00895

Bid price ≈ $9,911.73

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A US based company is attempting to merge with a French National conglomerate. With IFRS and GAAP being so different, what would be some of the challenges the two sides may face with the merger from an accounting standpoint?

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The merger between a US-based company and a French National conglomerate can pose several challenges from an accounting standpoint due to the differences between International Financial Reporting Standards (IFRS) and Generally Accepted Accounting Principles (GAAP). Some of the challenges they may face include:

Accounting Principles: IFRS and GAAP have different underlying principles and concepts. IFRS is principles-based, emphasizing substance over form, while GAAP is rules-based, providing specific guidelines for various transactions. The differences in accounting principles can lead to variations in the recognition, measurement, and presentation of financial information.

Financial Statement Presentation: IFRS and GAAP have different requirements for financial statement presentation. The formats and classifications of items on the balance sheet, income statement, and cash flow statement may vary between the two sets of standards. This can make the comparison and consolidation of financial statements challenging.

Revenue Recognition: IFRS and GAAP have differing guidance on revenue recognition, particularly in areas such as the timing of revenue recognition, multiple-element arrangements, and percentage-of-completion method for long-term contracts. Aligning the revenue recognition policies of the merging entities can be a complex task.

Valuation of Assets and Liabilities: IFRS and GAAP may have different rules for the valuation of assets and liabilities, such as inventory, property, plant, and equipment, intangible assets, and financial instruments. Differences in valuation methodologies can impact the reported values of assets and liabilities, which can have implications for financial ratios, financial performance, and tax implications.

Business Combinations and Goodwill: IFRS and GAAP have different requirements for accounting for business combinations and the subsequent treatment of goodwill. For example, IFRS allows for the option of measuring goodwill at cost or using the impairment model, while GAAP follows a more strict impairment-only model. This can result in differences in the recognition and measurement of goodwill and the related impact on financial statements.

Disclosures: IFRS and GAAP have varying disclosure requirements, with differences in the level of detail and specific disclosures mandated for certain transactions and events. Harmonizing the disclosure requirements can be a complex task to ensure compliance with both sets of standards.

These are just a few examples of the challenges that may arise during the merger process from an accounting standpoint. It is crucial for the merging entities to have a thorough understanding of the differences between IFRS and GAAP and work closely with accounting professionals and advisors to address these challenges effectively and ensure accurate financial reporting and compliance with relevant regulations.

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he left the clinic. start's with that

Answers

Answer:

sí, salió de la clínica

Explanation:

Operating activities in the cash flow statement reflect the inflow and outflow of cash from ___ assets and liabilities. Investing activities recognize the buying and selling of ___

assets.

1. a. tangible b. current c. intangible
2.a. intangible b. current c. fixed

Answers

Answer:

1. Current.

2. Fixed.

Explanation:

A financial statement can be defined as a written report used by financial experts or accountants to quantitatively describes the financial health of a company. Under the financial statements is a cash-flow statement, which is used to record the cash inflow and cash equivalents leaving a business firm.

Cash flow statement, also known as the statement of cash flows, contains financial information about operating, financial and investing activities.

Operating activities in the cash flow statement reflect the inflow and outflow of cash from current assets and liabilities. Thus, all the net income or cash from all operational business activities of a company is recorded as operating activities. Some examples of operating activities are cash paid as an expense for merchandise, cash revenue generated from the sales of finished goods etc.

Investing activities recognize the buying and selling of fixed assets.

Generally, investing activities comprises of purchasing fixed or physical assets, investing in securities and the sale of assets or securities associated with the company.

if trade barriers hurt the average worker in an economy (due to lower wages), why does government create trade barriers?

Answers

To safeguard the home economy and subsequently the jobs of those who rely on it. Governments can decide what types of goods and how much of each should enter the country by using trade barriers to either boost or limit (control) foreign commerce.

By lowering average salaries across the economy, trade barriers increase earnings in protected industries. Trade based on comparative advantage raises the average wage rate economically by lowering the income of industries that substitute imports. In contrast, "trade barriers" work against a nation's comparative advantage. To shield native producers from foreign competition, the Indian government erected barriers to foreign investment and commerce after gaining its independence.

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skinderma, a popular skincare company, apologized to all its customers when a large number of its products were tested positive for banned substances. however, the company failed to take any further action as against the expectations of its customers. this is an example of a(n) .

Answers

To the dismay of its clients, the corporation did not, however, take any more action. An illustration of a defensive strategy is this.

A marketing approach known as a defensive strategy aids businesses in keeping hold of valuable clients who may otherwise be attracted by rival businesses. Competitors are businesses that operate in the same industry or that cater to the same clientele and provide comparable goods.

To repel aggressive attacks is the goal of a defensive company strategy. You face a serious issue since you put your company at danger if you don't have a defensive strategy or if you can't halt an attack.

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There are two types of handwarmers available in the market - a. Disposable hand warmer b. Re-usable hand warmer EXPLAIN the differences between these two hand warmers (ingredients; function; cost; effectiveness; durability....etc)

Answers

Disposable hand warmers: One-time use, chemical reaction, limited lifespan. Reusable hand warmers: Multiple uses, phase-change materials, longer-lasting.

What are the differences between disposable and reusable hand warmers?

Disposable hand warmers are inexpensive and generate heat through a chemical reaction when exposed to air, providing instant warmth for a limited time.

They cannot be reused or turned off once activated. On the other hand, reusable hand warmers are initially more expensive but offer longer-lasting heat, can be reheated or cooled multiple times, and are more durable.

They use phase-change materials or gels to release or absorb heat as needed.

The choice between the two depends on budget, desired duration of warmth, and the need for reusability.

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Sheldon company had owner investments of $1,000; net income during the period of $5,000; and owner withdrawals of $250. the ending balance in the owner's capital account is:__________

Answers

The ending balance in the owner's capital account is $5,750.

What is the ending balance?

The owner's capital account is an equity account that appears on the balance sheet. The owner's capital account shows the net ownership interest of investors in the business.

The ending balance in the owner's capital account is the sum of investments, net income less any withdrawals. The owner's capital account is used to determine the amount of wealth of the owner.

Net income and owner's investment increase the value of the owner's capital account. While, withdrawals reduce the value of the owner's capital account.

The ending balance = investment + net income - withdrawals

$1000 + $5000 = $250 = $5,750

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When a recession reaches an economy driving down consumer incomes, the demand for generic brand tinned beef tends to increase. This suggests that generic brand tinned beef is a(n) in excess supply inferior good normal good complementary good Question 8 1pts As the price of Wizzles increases, we see an increase in the demand for Floozles. This suggests that Wizzles and Floozles are Substitutes Complements Normal Goods inferior goods

Answers

Economy is the management of the resources of a community, nation, or region in terms of production, distribution, and consumption. Income is the earnings of a person or entity received for services rendered or the sale of goods.

When a recession occurs and the economy drives down consumer incomes, the demand for generic brand tinned beef tends to increase. This suggests that it is an inferior good.Generally, the relationship between income and quantity demanded is positive, particularly for normal products, while it is negative for inferior goods.

People tend to substitute high-priced items for low-priced goods as their incomes increase; they demand more of high-priced goods and less of low-priced ones. Inferior goods, on the other hand, are low-cost substitutes for higher-priced goods.

Thus, as the economy declines, people's incomes decrease, making the inferior goods comparatively more expensive than their normal counterparts, resulting in an increase in their demand.In addition, as the price of Wizzles increases, we see an increase in the demand for Floozles. This suggests that Wizzles and Floozles are complementary goods.

Two goods are said to be complementary goods if the quantity demanded of one good rises when the price of another good falls. These goods are often used together to fulfil a particular need. Therefore, the demand for Floozles will increase if the price of Wizzles increases since they are complementary goods.

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Which statement best describes appreciation in a home?
A. Appreciation is guaranteed.
B. Appreciation is the amount of taxes you pay on your home.
C. Appreciation is an increase in value of your home over time.
D. Appreciation occurs at a fixed percentage rate.

Thank you!

Answers

Answer:

C. Appreciation is an increase in value of your home over time.

Faylene underwent heart surgery that included, among other measures, the implantation of a pacemaker in her chest. Faylene later alleged that the surgeon's negligence resulted in a serious infection. Faylene's insurance company stated that the Uniform Commercial Code (UCC) governed the dispute because at issue was a contract for a pacemaker, which is a good. The hospital responded that the claim was based on a contract for a surgery, which is a service, and was therefore covered by the common law. What result is most likely?

Answers

Answer: The court will apply the predominant purpose test and will probably hold that this was a contract for a service.

Explanation:

Any agreement written in a contract which binds two parties are usually followed strictly. Whatever is written in the contract cannot be changed or influenced in the court room because it would have been believed that both parties went through the contract terms before signing it. Even though one party wants to challenge it in court it would hold no water for a challenge.

The case between Faylene and the hospital was signed in a contract for a peacemaker surgery, the effects of it and being taken to court would yield no effect since it's what Faylene wanted and entered agreement into.

Q2. You manage 100MAUM and are considering the following overnight cash and 2 zero coupon bonds below:
Maturity Overnight 5 10
Yield 3.5% 4.25% 4.0%

Q2d. What is the dur and convexity effect of 5 bps steepening caused by 5Y down 15bps;20Y down 10 bps for the $400M long 5Y position hedged using 10Y ? (4 pts)

Q2e. What is the dur and convexity effect of 5 bps flattening caused by 5Y up 15 bps; 10Y up 10 bps for the 5Y vs 10Y trade above? (4 pts)

Answers

A2d.
1. Calculate the modified duration of the 5Y position:
  - Given that the yield change is -15 bps, we need to convert it to a decimal by dividing it by 10,000: -0.0015.
  - The modified duration of the 5Y position can be calculated by multiplying the Macaulay duration (which is the average time until cash flows are received) by (1 + yield change): Modified Duration = Macaulay Duration * (1 + Yield Change).
  - The Macaulay duration can be estimated as the maturity of the bond (5 years) divided by (1 + yield): Macaulay Duration ≈ Maturity / (1 + Yield).
  - For the 5Y position, the yield is 4.25%, so the Macaulay duration ≈ 5 / (1 + 0.0425) = 4.80 years.
  - Therefore, the modified duration of the 5Y position = 4.80 * (1 + (-0.0015)) = 4.73 years.

2. Calculate the modified duration of the 10Y hedge bond:
  - The 10Y bond has a yield of 4.0%, so the Macaulay duration ≈ 10 / (1 + 0.04) = 9.62 years.
  - Therefore, the modified duration of the 10Y hedge bond ≈ 9.62 * (1 + (-0.0015)) = 9.59 years.

3. Calculate the weighted average modified duration:
  - Multiply the modified duration of each position by its market value.
  - For the 5Y position, the market value is $400 million, so the weighted modified duration = 4.73 * $400 million = $1,892 million.
  - For the 10Y hedge bond, the market value is $400 million, so the weighted modified duration = 9.59 * $400 million = $3,836 million.
  - The total market value = $400 million + $400 million = $800 million.
  - Therefore, the weighted average modified duration = ($1,892 million + $3,836 million) / $800 million = 7.93 years.

4. Calculate the duration effect of the yield change:
  - The duration effect is given by the formula: Duration Effect = (-1) * Weighted Average Modified Duration * Yield Change.
  - The yield change is 5 bps, so we divide it by 10,000 to convert it to a decimal: 0.0005.
  - Therefore, the duration effect = (-1) * 7.93 * 0.0005 = -0.00397 years or -0.397 basis points.

5. Calculate the convexity effect of the yield change:
  - The convexity effect is given by the formula: Convexity Effect = 0.5 * Convexity * (Yield Change)^2.
  - The convexity for the 5Y position can be approximated as the square of the Macaulay duration divided by (1 + yield)^2: Convexity ≈ (Macaulay Duration)^2 / (1 + Yield)^2.
  - For the 5Y position, the Macaulay duration = 4.80 years and the yield = 4.25%, so the convexity ≈ (4.80)^2 / (1 + 0.0425)^2 = 23.15.
  - Therefore, the convexity effect = 0.5 * 23.15 * (0.0005)^2 = 0.00000579 years or 0.579 basis points.

Therefore, the dur and convexity effect of the 5 bps steepening caused by the 5Y down 15 bps and 20Y down 10 bps for the $400M long 5Y position hedged using 10Y are:
- Duration effect: -0.397 basis points.
- Convexity effect: 0.579 basis points.


A2e. Similarly:
Step 1:

Modified 5Y yield: 4.25% + 0.15% = 4.40% (5Y up 15 bps)

The modified duration of the 5Y position: Modified Duration = Macaulay Duration * (1 + Yield Change).

The Macaulay duration can be approximated as the maturity of the bond (5 years) divided by (1 + yield): Macaulay Duration ≈ Maturity / (1 + Yield).

For the 5Y position, the yield is 4.40%, so the Macaulay duration ≈ 5 / (1 + 0.044) = 4.79 years.

Therefore, the modified duration of the 5Y position = 4.79 * (1 + 0.0015) = 4.80 years.

Step 2:

The 10Y bond has an initial yield of 4.0%, and the yield increased by 10 bps, so the modified 10Y yield = 4.10% (10Y up 10 bps).

Using the same formula as above, the Macaulay duration ≈ 10 / (1 + 0.041) = 9.71 years.

Therefore, the modified duration of the 10Y hedge bond ≈ 9.71 * (1 + 0.0010) = 9.72 years.

Step 3:

Multiply the modified duration of each position by its market value.

For the 5Y position, the market value is $400 million, so the weighted modified duration = 4.80 * $400 million = $1,920 million.

For the 10Y hedge bond, the market value is also $400 million, so the weighted modified duration = 9.72 * $400 million = $3,888 million.

The total market value remains $800 million.

Therefore, the weighted average modified duration = ($1,920 million + $3,888 million) / $800 million = 7.98 years.

Step 4:

The duration effect is given by the formula: Duration Effect = (-1) * Weighted Average Modified Duration * Yield Change.

The yield change is 5 bps, so we divide it by 10,000 to convert it to a decimal: 0.0005.

Therefore, the duration effect = (-1) * 7.98 * 0.0005 = -0.00399 years or -0.399 basis points.

Step 5:

The convexity effect is given by the formula: Convexity Effect = 0.5 * Convexity * (Yield Change)^2.

The convexity for the 5Y position: Convexity ≈ (Macaulay Duration)^2 / (1 + Yield)^2.

For the 5Y position, the Macaulay duration = 4.79 years and the yield = 4.40%, so the convexity ≈ (4.79)^2 / (1 + 0.044)^2 = 22.83.

Therefore, the convexity effect = 0.5 * 22.83 * (0.0005)^2 = 0.00000571 years or 0.571 basis points.

Therefore:

Duration effect: -0.399 basis points.

Convexity effect: 0.571 basis points.

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You are considering a 5/1 ARM. What does the 1 represent?
A. The number of years between adjustments in the interest rate
B. The interest rate of the initial fixed-rate loan period
C. The total number of years in the loan D. The number of years that a fixed interest rate will be applied to th loan​

Answers

Answer: i would say b

Explanation:

carol has developed a new needle threader for stitching. she has used the needle threader herself and contacted all of the other stitchers in her area. after months of research, she decided that other stitchers were satisfied with the needle threaders they already used and that she couldn't make a profit by selling her new needle threader. this example shows that

Answers

This example shows that C. A segment must be large enough to warrant developing and maintaining a product.

What is a product?

A product can be defined as any physical object (tangible item) that is typically produced by a manufacturer so as to satisfy and meet the demands, needs or wants of every customer.

In Business management, some examples of a product include the following:

Digital cameraRefrigeratorLaptop computerSmartphones or Mobile phonesTelevisionMicrowave ovenSoftwareShampooDrugs

Based on the research conducted by Carol, we can reasonably infer and logically deduce that a market segment must be large enough before a manufacturer (producer) can develop and maintain a product, as well as making profit by selling the product.

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Complete Question:

Carol has developed a new needle threader for stitching. She has used the needle threader herself and contacted all of the other stitchers in her area. After months of research, she decided that other stitchers were satisfied with the needle threaders they already used and that she couldn't make a profit by selling her new needle threader. This example shows that

A. Carol's needle threader didn't work very well

B. People who enjoy cross-stitch and needlepoint do not form a market segment

C. A segment must be large enough to warrant developing and maintaining a product

D. Carol should keep trying to sell her product

What is advertising??

Answers

Answer:

the activity or profession of producing advertisements for commercial products or services.

Explanation:

Answer:

the activity or profession of producing advertisements for commercial products or services.

"movie audiences are receptive to advertising"

advertisements collectively.

"despite being instructed to take the signs down, he says he has no intention of removing the advertising"

Explanation:

dvertising is a means of communication with the users of a product or service. Advertisements are messages paid for by those who send them and are intended to inform or influence people who receive them, as defined by the Advertising Association of the UK.

Ladow Incorporated incurred a $32,000 net operating loss in 2021. If Ladow's 2022 taxable income was $38,000 before NOLs, compute Ladow's 2022 NOL deduction.
Group of answer choices
a. $30,400
b. $25,600
c. $0
d. $32,000

Answers

Ladow's 2022 NOL deduction is $32,000. The correct answer is (d) $32,000.

When a company incurs a net operating loss (NOL), it means that its tax-deductible expenses exceed its taxable income. In other words, the company is operating at a loss for tax purposes.

However, the good news is that the NOL can be carried forward or backward to offset future taxable income and reduce the company's tax liability.
In this case, Ladow Incorporated incurred a $32,000 NOL in 2021.

This means that it had tax-deductible expenses of $32,000 more than its taxable income in 2021.

Now, let's look at Ladow's taxable income in 2022 before considering the NOL.

Ladow's taxable income in 2022 before NOLs is $38,000. This means that it had $38,000 in taxable income for the year.

However, Ladow can use its NOL from 2021 to offset some of this taxable income and reduce its tax liability.

The amount of the NOL deduction depends on how the company chooses to use it. Ladow can either carry the NOL back to prior years or carry it forward to future years.

In this case, we are asked to compute Ladow's NOL deduction for 2022, which means that we need to calculate how much of the NOL can be carried forward to 2022 and used to offset taxable income.


The NOL deduction for 2022 is calculated as follows:
NOL deduction = lesser of (NOL carryforward to 2022, taxable income before NOLs in 2022)

To calculate the NOL carryforward to 2022, we need to determine how much of the 2021 NOL was not used in prior years.

Assuming that Ladow did not carry the NOL back to prior years, the full $32,000 NOL is available to carry forward to 2022.

Therefore, the NOL deduction for 2022 is the lesser of $32,000 and $38,000, which is $32,000. This means that Ladow can use the full amount of its NOL from 2021 to offset its taxable income in 2022 and reduce its tax liability.

In summary, Ladow's 2022 NOL deduction is $32,000. The correct answer is (d) $32,000.

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The information reported in the statement of cash flows is organized by these activities: (select all that apply) a. financing b. accounting c. operating d. investing e. business

Answers

On the cash flow statement, there are three different categories: cash flows from financing activities (OPTION C).

On the cash flow statement, there are three different categories: cash flows from financing activities (OPTION C). Cash flow is the net difference between cash and cash equivalents coming into and going out of a business. Inflows and outflows are represented by the money received and spent, accordingly. Cash flow from operations includes expenditures made as part of daily activities. These cash outflows include, but are not limited to, business expenses, the price of goods sold, rent, and utility costs. If corporate operations are extremely seasonal, cash outflows may vary greatly. A cash flow statement shows the specific quantities of a company's cash inflows and outflows over time.

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On December 1, 20X1, Tigg Mortgage Co. gave Pod Corp. a $200,000, 12% loan. Pod received proceeds of $194,000 after the deduction of a $6,000 nonrefundable loan origination fee. Principal and interest are due in 60 monthly installments of $4,450, beginning January 1, 20X2. The repayments yield an effective interest rate of 12% at a present value of $200,000 and 13.4% at a present value of $194,000. What amount of accrued interest receivable should Tigg include in its December 31, 20X1, balance sheet

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Answer:

$2,000

Explanation:

Accrued interests = loan principal x interest rate x time = $200,000 x 12% x 1/12 (1 month) = $2,000

The adjusting journal entry to record accrued interests should be:

December 31, 20x1, accrued interest receivable

Dr Interest receivable 2,000

    Cr Interest revenue 2,000

Interest receivable is an asset account with a normal debit balance.

Answer:

$2,000

Explanation:

Present value of loan = $200,000

Interest rate = 12%

Therefore, the accrued interest receivable can be calculated using the simple interest formula :

Where the present value of the loan is the principal amount,

Accrued interest = principal * rate * time

Since the period is between December 1st to 31 st December = 1 month = (1/12) years

Accrued interest = $200,000 * (1/12) * 12%

Accrued interest = $200,000 * 0.083333 * 0.12

Accrued interest = $2000

jamie's motor home sales currently sells 110 class a motor homes, 220 class c motor homes, and 280 pop-up trailers each year. they are considering adding a mid-range camper with expected annual sales of 300 units. however, if the new camper is added, class a sales will decline to 85 units and the class c camper sales will decline to 200 units. the sales of pop-ups will not be affected. class a motor homes sell for an average of $140,000 each. class c homes are priced at $59,500, and the pop-ups sell for $5,000 each. the new mid-range camper will sell for $42,900. what is the annual erosion cost of adding the mid-range camper?

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The total annual erosion cost is $4,690,000 after adding the mid-range camper, if  the new mid-range camper will sell for $42,900

Class a motors = 110

Class c motors = 220

Pop-up trailers = 280

Expected annual sales = 300 units

Class a revenue = $140,000

Class c revenue = $59,500,

Pop-up revenue =  $5,000

The present revenue from sales of class A motor homes is calculated as:

present revenue  = 110 units * $140,000 per unit

present revenue = $15,400,000

After adding the new mid-range camper

revenue = 85 units * $140,000 per unit

revenue = $11,900,000

The income lost due to the decline in sales of class A motor is:

Income lost = $15,400,000 - $11,900,000

Income lost = $3,500,000

The current revenue from sales of class C motor homes is:

current revenue = 220 units * $59,500 per unit

current revenue = $13,090,000

After adding the new mid-range camper

revenue  = 200 units * $59,500 per unit

revenue = $11,900,000

The revenue lost  = $13,090,000 - $11,900,000

The revenue lost = $1,190,000

The total annual decline price of adding for the mid-range camper is:

The total annual erosion cost = $3,500,000 + $1,190,000

The total annual erosion cost  = $4,690,000

Therefore we can conclude that the total annual erosion cost is $4,690,000.

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What is a trend in business

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A trend in buisness is to invest

WILL MARK BRAINLIST!

Why is it necessary to prepare a Trial Balance?

A Trial Balance is prepared to check whether the debit balance ___ the credit balance, which is the primary goal of accounting?

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Answer:

Hello! Your answer shall be, BELOW

Explanation:

Preparing a trial balance for a company serves to detect any mathematical errors that have occurred in the double-entry accounting system. If the total debits equal the total credits, the trial balance is considered to be balanced, and there should be no mathematical errors in the ledgers.

A Trial Balance is prepared to check whether the debit balance FOR the credit balance, which is the primary goal of accounting?

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Answer:

Equals

Explanation:

Systemic risk reflects the risk that a particular event could:A)cause losses at a firm due to inadequate management control.B)spread adverse effects among several firms or among financial markets.C)cause a loss in value due to market conditions.D)have a larger effect on the futures position than on the position being hedged

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Systemic risk reflects the risk that a particular event could spread adverse effects among several firms or among financial markets. The correct option is B.

Systemic risk refers to the risk that an event or shock in a specific institution, market, or sector can spread and have adverse effects on other interconnected firms or the entire financial system. It goes beyond the risk associated with individual firms or market conditions and encompasses the potential for contagion and interconnectedness in the financial system. Systemic risk highlights the possibility of a domino effect, where the failure or distress of one entity can have far-reaching consequences, affecting multiple entities and markets. It emphasizes the interdependencies and linkages within the financial system that can amplify and transmit risks.

Systemic risk can arise due to a variety of factors, such as the interconnectedness of financial institutions, excessive leverage, lack of market transparency, and inadequate regulatory oversight, among others. To mitigate systemic risk, regulators often implement measures to increase transparency, reduce leverage, and improve capital requirements for financial institutions.

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