Answer:
c. Indirect
d. Fixed
f. Product
Explanation:
Cost of the factory maintenance manager's salary is a manufacturing cost. However, this manufacturing cost is an Indirect and fixed cost. Manufacturing costs are Product costs whereas Non-Manufacturing costs are Period Costs
Which of the following is true if you find a better rate on an external 3rd party channel within 24 hours of making a reservation through one of Marriott's direct channels?
If you find a better rate on an external 3rd party channel within 24 hours of making a reservation through one of Marriott's direct channels, the Marriott’s Best Rate Guarantee policy comes into effect.
Marriott’s Best Rate Guarantee policy is a commitment to providing the lowest rate possible. If you find a lower rate within 24 hours of booking through one of Marriott’s direct channels, Marriott will match that rate and offer an additional discount of 25%.
This policy applies to any Marriott brand including Ritz-Carlton, St. Regis, Westin, Sheraton, Aloft, and othersYou need to first book your reservation through Marriott’s direct channels like Marriott.com, the Marriott Mobile app, Marriott Bonvoy app, the Marriott Reservation Center, or directly with the hotel.
After that, you should look for lower rates on other third-party websites. If you find a lower rate within 24 hours, contact Marriott’s Customer Care team, and they will match that rate plus an additional discount of 25%.The policy does come with some terms and conditions.
The lower rate you find on the third-party website must be for the same hotel, same room type, same dates, same number of guests, same currency, and with the same booking conditions. It also excludes rates that are only available to members of certain groups or organizations, package rates that include flights, car rentals, and other amenities, and rates that are not available to the general public
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how to find the retained earnings if you only have the net income for that year
Retained Earnings are equal to the sum of Beginning Retained Earnings and Net Income, with the difference being the Dividends.
To find the retained earnings for a year with only the net income available, you need to consider the following steps:
Determine the beginning retained earnings: If you have the beginning retained earnings balance from the previous year's financial statements, use that figure. Otherwise, assume it as zero.
Calculate dividends paid: If information about dividends paid during the year is available, subtract the total dividends paid from the net income. Dividends represent the portion of earnings distributed to shareholders and reduce retained earnings.
Adjust for any prior period adjustments: If there are any prior period adjustments or corrections, make the necessary adjustments to the net income.
Add net income and subtract dividends: Add the net income for the year to the beginning retained earnings. Then, subtract any dividends paid during the year.
Retained Earnings = Beginning Retained Earnings + Net Income - Dividends
The resulting figure will be the retained earnings for that year.
In summary, to find retained earnings with only the net income for the year, you need to consider the beginning retained earnings, dividends paid, and any prior period adjustments.
By adding the net income and subtracting dividends from the beginning retained earnings, you can calculate the retained earnings for that year.
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A $100 face value, 30 year 0-coupon bond has a yield to maturity of 5.7%. At what price does it trade?
Kindly solve using a financial calculator. Thanks!
The bond would trade at a price of approximately $308.03.
How did we get the value?Calculating the price of the bond,use the present value formula:
PV = FV / (1 + r)^n
Where:
PV = Present value or price of the bond
FV = Face value of the bond ($100)
r = Yield to maturity (5.7% or 0.057)
n = Number of years until maturity (30)
Using a financial calculator, input these values and solve for PV:
N = 30
I/Y = 5.7
FV = 100
PMT = 0
CPT PV = - $308.03
Therefore, the bond would trade at a price of approximately $308.03.
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please help me I really need the answers :(
Answer: A.
Explanation:
According to the path-goal theory of House and others, what do leaders assume?
Different leaders are needed in different circumstances
Subordinates are motivated by believing that more effort improves job performance.
Leaders should smooth the path towards a fixed goal.
Base on the path-goal theory of House, Subordinates are motivated by believing that more effort improves job performance .
What is path-goal theory?The path-goal theory states stressed that a leader's behavior is contingent on the satisfaction and motivation of their employees.
This is the reason why, Subordinates of the organization are motivated by believing that more effort improves job performance .
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Barriers to effective communication and how to overcome
Answer:
Clarify the Ideas before Communication: ...
Communicate According to the Need of Receiver: ...
Consult others before Communicating: ...
Be aware of Language, Tone and Content of Message: ...
Convey Things of Help and Value to Listeners: ...
Ensure Proper Feedback: ...
Communicate for Present as well as Future: ...
Follow up Communications:
Explanation:
1.Explain where the market equilibrium occurs.
2.How do we show equilibrium graphically?
3.Share an example from your own experience when the market was not in equilibrium for a product or service.
4.Explain why the market was out of equilibrium (what caused it to be out of equilibrium) and what needed to be done to bring the market back to equilibrium.
Answer:
because they are well known
Complete the fish-bone chart by matching each number in the chart with the corresponding reason.
LOADING... Click the icon to view the partially completed fish-bone chart.
Number
Reason
I
▼
II
▼
Traffic jam
Flat tire
Speeding - got stopped
Can't find keys
III
▼
Traffic jam
Can't find keys
Flat tire
Speeding - got stopped
IV
▼
Given the answers for Citi and SVB on the chart answer the following: What hedging strategies would you suggest to the management of Citi and SVB to protect their net interest margins? In particular, discuss possible financial instruments that might be used to hedge current interest rate risks of the two companies and what position you might take (long or short) for each company given each companies risk exposure.
To be able to protect their net interest margins, both Citi as well as SVB could consider using hedging strategies to lower the interest rate risks. A possible financial instruments they can be able to use are:
Interest rate swapsInterest rate futuresInterest rate optionsWhat is the hedging strategies ?An interest rate swap allows parties to agree to pay fixed or floating interest rates, reducing risks for Citi and SVB. Interest rate futures are agreements to buy or sell financial instruments at a predetermined price in the future.
Citi and SVB use interest rate futures to hedge risks. Interest rate options give the holder the right to buy or sell at a predetermined price.
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See text below
Citigroup
Interest Income 74,408,000.00
interest Expense 202,000.00
Net Interest Income 74,206,000.00
1% 742,060.00
SVB
Interest Income 514,668.00
interest Expense 0.00
Net Interest Income 514,668.00
1% 5,146.68
F brown lent us 4000 giving us the money by cheque
Answer:
See below
Explanation:
This transaction is affecting the bank's balance and F brown accounts. It is increasing the bank balance( asset account) by 4000 and increasing accounts payable/F brown ( liabilities account) by 4000.
An increase in assets is debited while an increase in liabilities is credited.
The journal entry will be
Bank A/c Dr. 4000
F brown A/c 4000
How many workers does it take to assemble 27 boxes and nine minutes?
How many workers does it take to assemble 27 boxes and nine minutes are:
Here,
3 workers build 3 boxes in 3 minutes. Then,
1 worker build 3 boxes = 3 X 3 minutes.
Now,
We have to produce 27 boxes in 9 minutes.
As we know that one worker produces 3 boxes in 9 minutes, but we have to produce 27 boxes at the same time, so we require 9 workers to produce these 27 boxes.
So, 9 workers are the right answer.
A worker is a person who works. This generally approach someone who does guide worker, like production goods. In economics there are 3 elements of production. These are labor (the paintings completed with the aid of using workers), land (generally humans want a few areas to supply something), and capital.
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In the sentence They discussed four important issues at the meeting, the word at is a(n) ____.
preposition
adverb
conjunction
adjective
From the sentence, it can be deduced that "at" is used a preposition.
What is a preposition?It should be noted that a preposition simply means a word that is used before a noun or pronoun to show direction, place, time, etc.
In the sentence "They discussed four important issues at the meeting", the word at is a preposition. It is used to show where the issue took place.
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The least expensive type of marketing research method is a(n)
Healthy eating habits have become a high priority for Baby Boomers. Salmon has been identified as a heart-healthy, antioxidant-rich fish.
The price of fresh salmon has increased over the past ten years. According to the law of supply and demand, the quantity of salmon provided should
Increase
.
Supply and demand theory states that there should be more salmon available. Since there would be an increase in demand for fresh salmon, the amount offered should also grow to meet the need.
What is the increase in demand?Please note that demand is all about when the availability of the redesigned product is low and more and more people want the same thing. In that case, there will be increased demand.
Because healthy eating habits have been increased and it has become a priority for baby boomers, they consider salmon to be a heart-healthy and antioxidant fish. Because of this, the demand has increased.
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See picture attached
No matter what economic model we use, national equilibrium can be reached with per capita rates if we use.
What is National Equilibrium?An economy is said to be in a state of national equilibrium when the total supply of goods and services and the total demand for those goods and services are equal. It is the point at which there is neither a shortage nor a surplus of goods and services and the economy is producing to its full potential.
Classical, Keynesian, and monetarist economic models all incorporate the idea of national equilibrium. However, each model's approach to achieving national equilibrium may be different. In most cases, the price level at which the quantity of goods and services demanded equals the quantity supplied is the equilibrium.
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Explain other advantages of the autociatic leadership style. se Se busines
The autocratic leadership style has several advantages in certain business situations. Firstly, it allows for quick decision-making and efficient execution. In an autocratic leadership approach, the leader has the authority to make decisions without consulting others extensively. This can be advantageous in situations where immediate action is needed or when there is limited time for deliberation. By taking charge and making decisions swiftly, autocratic leaders can ensure that tasks are completed efficiently and objectives are met in a timely manner.
Secondly, autocratic leadership provides clear direction and reduces ambiguity. The leader in this style has a strong control over the decision-making process and can provide clear instructions to their team members. This clarity helps employees understand their roles and responsibilities, minimizing confusion and increasing productivity. Autocratic leaders often set specific goals and expectations, which can be beneficial in situations where precision and adherence to guidelines are crucial.
Additionally, the autocratic style can be effective in organizations or industries that require a hierarchical structure or where strict compliance is necessary. Industries such as the military, manufacturing, or emergency services often rely on autocratic leadership to ensure discipline, maintain order, and promote safety.
However, it is important to note that the autocratic leadership style may not be suitable for all situations or business contexts. It can stifle creativity and innovation by limiting input and involvement from team members. It may also lead to decreased employee satisfaction and motivation, as individuals may feel disempowered or undervalued. Therefore, the autocratic style should be used selectively and combined with other leadership approaches to create a balanced and inclusive organizational culture.
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Which federal legislation requires lenders to provide consumers with loan cost information?
O The Credit Card Accountability Responsibility and Disclosure Act
The Fair Credit Reporting Act
O The Fair Debt Collection Practices Act
O The Truth in Lending Act
The federal legislation that requires lenders to provide consumers with loan cost information is: D. The Truth in Lending Act.
What is The Truth in Lending Act?The Truth in Lending Act is a federal agency whose roles and responsibility is to help protect borrowers from lender that may want to cheat them as this this agency ensures that lenders disclosed the terms and condition of a loan to the borrower so as to prevent the borrower from untrue credit billing or credit billing that are not correct.
Which is why The Truth in Lending Act is a very important agency based on the fact that without this agency some of this lender can present untruthful loan information to a borrower.
With truth lending act, it is assured that borrower are protected from untruthful lenders .
Therefore we can conclude that the correct option ids D.
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a. Suppose we have a three year fixed-payment loan with $300 payments made at the end of each year. Given a market interest rate of 6 percent, how much was initially borrowed?
The amount that has been initially borrowed is $802, having an annuity payment of $300 at the end of each year and a market interest rate of 6%.
What is annuity?An annuity is a series of payments made at regular intervals in the financial world. Regular savings account deposits, monthly home mortgage payments, monthly insurance payments, and pension payments are all examples of annuities. The frequency of payment dates distinguishes annuities.
The formula for calculating the present value of an annuity which is actually the sum borrowed is :
V= A/i {1-(1+i)^-n} , where,
A= fixed payment of annuity,
i= market rate of interest, and
n = number of years
V= 300/0.06{1-(1+0.06)^-3}
= 300/0.06{1-0.8396}
= 300/0.06 × 0.1604
= $802
Therefore, $802 was initially borrowed.
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week 1 2 3 4 5 6 7 8 9 10 11 12 sales(1000s of gallons) 17 21 19 23 18 16 20 18 22 20 15 22 using a weight of 1/2 for the most recent observation,
1. The 3-week weighted moving average is predicted to be 19,000 gallons of gasoline.
2. The Mean Square Error (MSE) is calculated to be 6.2.
What is the mean square error?The mean square error or the average squared deviation (MSD) is a regression measurement that helps to check how close estimates or forecasts are to their actual values.
We can find the MSE by:
Taking the observed valueSubtracting the predicted valueSquaring that difference.This process is repeated for all observations before summing all the squared values and dividing by the number of observations.
Week 1 2 3 4 5 6 7 8 9 10 11 12
Sales
(1000s of gallons) 17 21 19 23 18 16 20 18 22 20 15 22
Most recent observations:
Week 12 = 22 x 1/2 = 11
Week 11 = 15 x 1/3 = 5
Week 10 = 20 x 1/6 = 3
3-week moving average or predicted value = 19 (11 + 5 + 3)
Period Observation Predicted Difference Squared
Value Difference
Week 1 17 19 -2 4
Week 2 21 19 2 4
Week 3 19 19 0 0
Week 4 23 19 4 16
Week 5 18 19 1 1
Week 6 16 19 -3 9
Week 7 20 19 1 1
Week 8 18 19 -2 4
Week 9 22 19 3 9
Week 10 20 19 1 1
Week 11 15 19 -4 16
Week 12 22 19 3 9
Total 74
Number of observations = 12
Mean Square Error (MSE) = 6.2 (74 ÷ 12)
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Question Completion:To calculate forecasts use a weight of 1/2 for the most recent observation, 1/3 for the second most recent, and 1/6 for the third most recent and compute a 3-week weighted moving average for the time series. Calculate the MSE.
when sam increases smoothie production from 4 gallons to 5 gallons, his total cost of production increases from $32.50 to $36.85. calculate sam's marginal cost of producing smoothies.
When Sam increases smoothie production from 4 gallons to 5 gallons, his total cost of production increases from $32.50 to $36.85, Sam's marginal cost of producing smoothies is $4.35.
What is marginal cost?The marginal cost in economics is the change in total cost that occurs when the quantity produced is increased, or the cost of producing additional quantity.
All costs that vary with the level of production are included in the marginal cost. For example, if a company needs to construct a completely new factory in order to produce more goods, the cost of doing so is a marginal cost. The amount of marginal cost varies with the quantity of the good produced.
The marginal cost will be:
= ($36.85 - $32.60) / (5 - 4)
= $4.35
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In cell Q4, enter a formula using the VLOOKUP function to display a staff member’s years of service. Look up the staff ID listed in cell Q2. Use a structured reference to retrieve the value in the 4th column of the CBFStaff table. Since the formula is looking for a specific staff member’s data, find an exact match
In cell Q4, the formula using the VLOOKUP function is VLOOKUP(Q2,CBFStaff,4,FAlse).
A function is defined as a relation among a fixed of inputs having one output every. In simple phrases, a feature is a courting among inputs in which each input is associated with precisely one output.
Every function has a site and codomain or variety. A feature is normally denoted by f(x) in which x is the input.
A function is truely a “bite” of code that you can use time and again once more, instead of writing it out a couple of times. capabilities enable programmers to break down or decompose a hassle into smaller chunks, each of which plays a selected undertaking.
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Type the correct answer in the box. Spell all words correctly. Which option in a presentation program contains the formatting and placeholders for all of the items that appear on a slide? The ____ option contains the formatting and placeholders for all of the items that appear on a slide.
The "Slide Master option contains the formatting and placeholders for all of the items that appear on a slide.
The Slide Master is a feature available in presentation software, such as Microsoft PowerPoint or Slides, that allows users to define and apply consistent formatting and layout to all slides in a presentation. It serves as a template or blueprint for the design and structure of each slide.
By accessing the Slide Master, users can customize the background, fonts, colors, and other design elements that will be applied to all slides in the presentation. It also contains placeholders for various items commonly found on slides, such as titles, text boxes, images, logos, and footer information.
The advantage of using the Slide Master is that it ensures consistency and efficiency when creating and editing slides. Instead of manually applying formatting and placeholders to each slide individually, users can make changes to the Slide Master, and those changes will be reflected across all slides in the presentation.
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10 roles of insurance in a business
Considering the benefits and importance of insurance, the ten roles of insurance in a business include "security and safety."
The other roles of insurance in a business are:Mitigation of riskProvision of insurance service by the insurance company Protection from unexpected lossesEase of getting loansProvision of social cooperationIt enhances saving habitsIt aids some contracts that require it.There are tax benefits.Promotion of trades and industry, etc.Hence, in this case, it is concluded that insurance plays various roles in business.
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Suppose that the demand and supply for good X are
=60−2 +0.01+7 !"#
=−600+10 $"
Where = quantity demand; = quantity supply; =Price of X; = Average !$"
consumer income; and = Price of a related good R #
(i) Is good X normal or inferior? Explain.
(ii) Are goods X and R substitutes or complements? Explain.
(iii) Suppose that = 40,000 and = 20, what are the equilibrium price and
quantity?
(iv) What happens to equilibrium price and quantity if supply shift to:
=−360+10
(i) Good X is an normal good as it is directly proportional to average consumer income. When consumer income increases, demand for good X also increases.
What is consumer income ?Consumer income is the money that a person or household earns from wages, salaries, investments, pensions, and other sources. It is the money that is available to be spent on goods and services, such as food, housing, clothing, entertainment, and other necessities. Consumer income is closely linked to GDP, as it is one of the major drivers of economic activity. As consumer income increases, people are more likely to spend money, which stimulates the economy.
(ii) Goods X and R are substitutes since a rise in the price of one will lead to a rise in the demand for the other. A change in the price of one good will affect the demand for the other.
(iii) If = 40,000 and = 20, then the equilibrium price and quantity of Good X can be determined by solving the equation:
60−2 +0.01*40000+7*20 = −600+10*20
This gives the equilibrium price of X to be $58 and the equilibrium quantity to be 800.
(iv) If the supply shifts to =−360+10, then the equilibrium price and quantity of Good X can be determined by solving the equation:
60−2 +0.01*40000+7*20 = −360+10*20
This gives the equilibrium price of X to be $48 and the equilibrium quantity to be 600. As the supply has shifted, the equilibrium price of Good X has decreased from $58 to $48 and the equilibrium quantity has decreased from 800 to 600.
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A firm has the following sales figures: Year 2011: $2.1 million. Year 2012: $2.3 million. Year 2013 $2.5 million. Year 2014 $2.2 million. Year 2015 $3.1 million. Using the naive approach, determine the forecast for next year's sales. A. $3.2 million. B. $3.1 million. C. $3.4 million. D. $2.5 million
Answer:
3.1 million
Explanation:
naive approach assumes that your projected data point is just your most recent one
because we have 3.1 million last year we assume that it's going to be that this year
Suppose the real risk-free rate is 3.50%, the average future inflation rate is 2.50%, a maturity premium of 0.20% per year to maturity applies, i.e., MRP = 0.20%(t), where t is the years to maturity. Suppose also that a liquidity premium of 0.50% and a default risk premium of 0.80% applies to A-rated corporate bonds. What is the difference in the yields on a 5-year A-rated corporate bond and on a 10-year Treasury bond? Here we assume that the pure expectations theory is NOT valid, and disregard any cross-product terms, i.e., if averaging is required, use the arithmetic average.
The difference in the yields on a 5-year A-rated corporate bond and on a 10-year Treasury bond is 0.3%
Elaborating :
step1: calculate yield on 5-year A = rated bonds
MRP of 5-year bonds = 0.20% × 5 = 1%
yield on A_rated bond = r* + IP + MRP + DRP + LP
= 3.5% + 2.5% + 1% + 0.8% + 0.5%
= 8.3%
step2: calculate yield on 10-year treasury bonds
MRP on 10-year bonds = 0.20% × 10 = 2%
yield on treasury bond
= r* + IP + MRP
= 3.5% + 2.5% + 2%
= 8%
step 3: calculate difference
difference = 8.3% - 8% = 0.3%
Treasury bonds: what are they?
Treasury bonds are government-issued debt securities. By buying a bond with a fixed interest rate, you basically lend money to the government. In return, the government will reimburse you for a predetermined period of time with a fixed interest rate.
Are Treasury bonds a good investment?Those seeking security and a fixed interest rate that is paid semiannually until the bond's maturity may find Treasury bonds to be a good investment. Because of their steady return, bonds are an important part of an investment portfolio's asset allocation because it helps offset the volatility of equity prices.
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5. Which of the following describes a business want?
a higher ROMI
increased profits
a new advertising campaign
decreased expenses
Answer:
so its increased profits
Eight years ago you bought your house for $115,000. You just sold it for $267,000. What was the average annual appreciation of your home
Answer:
$19,000
Explanation:
appreciation is the difference between the price at which the house was bought and the price at which the house was sold
$267,000 - $115,000 = $152,000.
Average annual appreciation = $152,000 / 8 =$19,000
Answer:
(C) y = 115,000(1.05)x
Explanation:
i just took the test
The following information was reported in the December 31, 2012, financial statements of Southeast Airlines, Inc. (listed alphabetically, amounts in millions)
Accounts Payable 4,460
Accounts Receivable 620
Aircraft Fuel Expense 9,100
Cash 3,010
Common Stock 1,240
Dividends 40
Equipment 14,850
Income Tax Expense 230
Interest Expense 170
Landing Fees Expense 3,500
Notes Payable 6,970
Repairs and Maintenance Expense 1,600
Retained Earnings (as of December 31, 2012) 6,510
Salaries and Wages 3,340
Expense Supplies 7000
Ticket Revenues 19,100
Prepare a balance sheet at December 31, 2012. (Enter your answers in millions (i.e., 10,000,000 should be entered as 10.)
Answer and Explanation:
The preparation of the balance sheet is presented below:
Airlines, Inc.
Balance sheet
For the year ended December 31,2012
Liabilities & Equity Amount Assets Amount
Accounts Payable $4,460 Accounts Receivable $620
Notes Payable $6,970 Cash $3,010
Common Stock $1,240 Equipment $14,850
Retained Earnings $6,510 Supplies $700
Total liabilities & equity $19,180 Total assets $19,180
2 words that ryme on the same line is called?
Answer:A couplet usually consists of two successive lines that rhyme and have the same metre. A couplet may be formal (closed) or run-on (open). In a formal (or closed) couplet, each of the two lines is end-stopped, implying that there is a grammatical pause at the end of a line of verse.
Explanation:Hoped this helped u kind sir or ma'am and have an great day! And also may i plz have brainlist?