"An indicator review is normally performed at the end of a reporting period or financial year". Explain what an indicator review is and elaborate on the information needed for indicator review. (10 marks)
4.2. The following information relates to Machine Productive at 31 December 2020: R Historic Carrying amount 400 000 Fair value less cost to sell 340 000 Value in Use 320 000 Tax Base 300 000 Remaining useful life 4 years One year later the fair value less cost to sell was R320 000 and the value in use was R380 000. Machine Productive is depreciated on a straight-line basis. Assume that the tax rate is 28%, and a capital allowance of R100 000 was granted in 2021
REQUIRED: Prepare the journal entries relating to the reversal of the impairment loss in the 2021 year of assessment

Answers

Answer 1

An indicator review is a process that involves evaluating performance indicators used to measure an organization's progress towards its objectives and goals. It consists of defining objectives and goals, collecting relevant data, analysing the data, and reporting the results to stakeholders for improvement.

1. Define Objectives and Goals

  - Review the organization's strategic objectives and goals.

  - Identify key performance indicators (KPIs) to measure progress towards these goals.

2. Collect Data

  - Gather relevant data on the identified KPIs, including historical performance, trends, and benchmarks.

  - Ensure the data collected is accurate and reliable.

3. Analyse Data

  - Analyse the collected data to identify patterns, trends, and variations.

  - Compare the performance against set targets or benchmarks to assess the organization's progress.

  - Identify areas of strength and areas that require improvement.

4. Report and Communicate Results

  - Summarize the findings of the analysis in a comprehensive report.

  - Communicate the results to stakeholders, such as management, board members, or investors.

  - Emphasize areas that require attention and provide recommendations for improvement.

  - Ensure the findings are effectively communicated to enhance stakeholder buy-in and facilitate decision-making.

Now, moving on to the journal entries for the reversal of an impairment loss in the 2021 year of assessment:

1. December 31, 2020:

  - Debit: Impairment loss for the machine productive (recorded amount of the impairment loss, e.g., $80,000)

  - Credit: Accumulated depreciation - Machine productive (same amount as the impairment loss)

2. December 31, 2021:

  - Debit: Accumulated depreciation - Machine productive (amount of the reversal, e.g., $20,000)

  - Credit: Income tax receivable (amount of income tax related to the impairment loss)

  - Credit: Deferred tax asset (amount of deferred tax asset related to the difference in carrying amounts)

  - Credit: Impairment loss reversal (amount of the impairment loss being reversed)

Note: The income tax is calculated as a percentage (e.g., 28%) of the impairment loss recognized in the previous year. The deferred tax asset is calculated as a percentage (e.g., 28%) of the difference between the carrying amount at the end of the year and the previous year's carrying amount.

Overall, these steps provide a structured approach for conducting an indicator review and explain the journal entries for the reversal of an impairment loss in the 2021 year of assessment.

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Related Questions

Suppose you want to have $1 million saved by the time you reach age 30 and suppose that you are 20 years old today. If you can earn 5% on your funds, how much would you have to invest today to reach your goal?

Answers

You would need to invest approximately $591,863.18 today to reach your goal of $1 million by the time you reach age 30. It's always recommended to consult with a financial advisor to create a comprehensive savings plan tailored to your individual circumstances and goals.

To calculate the amount you need to invest today, we can use the formula for the future value of an investment with compound interest:

Future Value = Present Value * (1 + Interest Rate)^Time

Where:

Present Value = Amount to be invested today

Interest Rate = 5% (expressed as 0.05)

Time = 10 years (from age 20 to age 30)

Rearranging the formula to solve for Present Value, we have:

Present Value = Future Value / (1 + Interest Rate)^Time

Substituting the given values into the formula:

Present Value = $1,000,000 / (1 + 0.05)^10

Present Value = $1,000,000 / (1.05)^10

Present Value = $1,000,000 / 1.62889462677

Present Value ≈ $591,863.18

Therefore, you would need to invest approximately $591,863.18 today to reach your goal of $1 million by the time you reach age 30.

To accumulate $1 million by age 30, with an annual interest rate of 5%, you would need to invest approximately $591,863.18 today. It's important to note that this calculation assumes a constant interest rate and doesn't account for factors such as inflation or additional contributions over time. It's always recommended to consult with a financial advisor to create a comprehensive savings plan tailored to your individual circumstances and goals.

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Which is the best managment control system to solve goal
incongruence (profit vs patients) within health care.

Answers

In healthcare, the main goal is to provide high-quality patient care while ensuring profitability. Goal incongruence, on the other hand, occurs when these two objectives conflict, requiring a careful balance between the two.

A management control system (MCS) is essential for achieving this balance. Some of the most effective MCS for resolving goal incongruence in healthcare are discussed below. Strategic management control systems (SMCS): SMCS is a kind of management control system that focuses on achieving long-term strategic goals. In healthcare, SMCS can be used to establish and maintain a balance between patient care and profitability.

the best management control system for resolving goal incongruence in healthcare is a combination of SMCS, QMCS, and FMCS. By balancing long-term strategic objectives, patient outcomes, and financial performance, healthcare organizations can achieve their goals while providing high-quality patient care. The answer contains 184 words.

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Write a 4 page report on How price of sugar, price of cocoa, price of milk, price of fuel, inflation rate, and interest rate affect the stock price of Hershey's chocolate. Instructions: Write each variable and its answer separately.

Answers

The price of sugar, cocoa, milk, fuel, inflation rate, and interest rate can all affect the stock price of Hershey's chocolate. Here's how each variable can influence the stock price individually:

1. Sugar Price:

An increase in the price of sugar can raise the production costs for Hershey's chocolate. As a result, the company may need to adjust its prices or find alternative ingredients, which can impact its profitability. This change in profitability can influence investors' perception of the company's future earnings potential and, in turn, affect the stock price.

2. Cocoa Price:

Similar to sugar, an increase in the price of cocoa can impact Hershey's production costs. Since cocoa is a primary ingredient in chocolate, a rise in its price can lead to higher expenses for the company. Again, this can impact profitability and subsequently influence the stock price.

3. Milk Price:

The price of milk can impact Hershey's chocolate production costs as well, especially for products that contain milk or require it in the manufacturing process. A significant increase in milk prices can increase Hershey's expenses, potentially affecting profitability and, consequently, the stock price.

4. Fuel Price:

Fluctuations in fuel prices can impact Hershey's transportation and distribution costs. Higher fuel prices can increase the expenses associated with delivering Hershey's products to market, which can affect the company's profitability and, consequently, the stock price.

5. Inflation Rate:

The inflation rate is a measure of the overall increase in prices for goods and services. If the inflation rate is high, Hershey's may experience increased costs for raw materials, transportation, and labor, which can negatively impact profitability. This can lead to a decrease in investor confidence and, in turn, a potential decline in the stock price.

6. Interest Rate:

Changes in interest rates can affect the cost of borrowing for Hershey's and impact its capital structure. Higher interest rates can increase the company's borrowing costs, potentially reducing its profitability and affecting the stock price.

It is important to note that these variables can interact with each other and with other factors that influence the stock market. Therefore, it's crucial to conduct a comprehensive analysis considering all relevant factors when assessing the potential impact on Hershey's stock price.

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Stop Hacks and Improve Electronic Data Security Act
1 (b) "Private information" shall have the same meaning as defined in
2 section eight hundred ninety-nine-aa of this article.
3 (c) "Small business" shall mean any person or business with (i) fewer
4 than fifty employees; (ii) less than three million dollars in gross
5 annual revenue in each of the last three fiscal years; or (iii) less
1. From martial above Attempt to draw out what appears to be considered reasonable
according to the document assigned to your group
•List up to 10 items that you believe would define a reasonable security
for an organization

Answers

These measures, including risk assessment, data encryption, access controls, employee training, incident response planning, regular updates, network monitoring, secure configuration management, data backups, and third-party risk management, collectively contribute to a reasonable level of security for an organization.

Based on the information provided in the document, here are 10 items that could define reasonable security for an organization:

1. Risk Assessment: Conduct regular assessments to identify potential security risks and vulnerabilities specific to the organization.

2. Data Encryption: Implement strong encryption methods to protect sensitive data, both in transit and at rest.

3. Access Controls: Establish robust access controls to ensure that only authorized individuals can access sensitive information.

4. Employee Training: Provide comprehensive security training to employees, raising awareness about security best practices and potential threats.

5. Incident Response Plan: Develop a documented plan outlining the steps to be taken in the event of a security breach or incident.

6. Regular Updates and Patches: Keep all software and systems up to date with the latest security patches and fixes.

7. Network Monitoring: Implement continuous network monitoring to detect and respond to any unauthorized activities or anomalies.

8. Secure Configuration Management: Follow secure configuration practices for all systems, applications, and devices to reduce the risk of vulnerabilities.

9. Data Backups: Regularly back up critical data to secure off-site locations to ensure quick recovery in case of data loss or breach.

10. Third-Party Risk Management: Conduct due diligence when working with third-party vendors or partners, ensuring they have adequate security measures in place.

These measures aim to address potential vulnerabilities, protect sensitive data, train employees, and respond effectively to security incidents, all of which contribute to a reasonable level of security for an organization.

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Canada Manufacturing provided the following information from its accounting records 20120: Estimated production Actual production Budgeted overhead Actual overhead c. €14.50 per hour d. €15.54 per hour How much is the overhead application rate if Canada bases the rate on direct labor hours? a. €16.07 per hour b. €15.00 per hour 60,000 labor hours 56,000 labor hours €900,000 €870,000 9. During 2020, Canada Manufacturing expected Job No. 26 to cost €300,000 of overhead, €500,000 of materials, and €200,000 in labor. Canada applied overhead based on direct labor cost. Actual production required overhead cost of €290,000, €550,000 of materials used, and €220,000 of labor. b. €1,060,000 c. €1,070,000 d. €1,100,000 All of the goods were completed. What amount was transferred to Finished Goods? a. €1,000,000 During 2020, Canada Manufacturing expected Job No. 59 to cost £300,000 of overhead, £500,000 of materials, and £200,000 in labour. Canada applied overhead based on direct labor cost. Actual production required an overhead cost of £295,000, £570,000 in materials used, and £220,000 in labor. a. £5,000 underapplied b. £5,000 overapplied c. £35,000 underapplied d. £35,000 overapplied All of the goods were completed. How much is the amount of over- or underapplied overhead? 11. At the high level of activity in November, 7,000 machine hours were run and power costs were $18,000. In April, a month of low activity, 2,000 machine hours were run and power costs amounted to $9,000. Using the high-low method, the estimated fixed cost element of power costs is a. $18,000. b. $9,000. c. $5,400. d. $12,600. 12

Answers

1. The overhead application rate based on direct labor hours is €15.54 per hour. 2. The amount transferred to Finished Goods for Job No. 26 is €1,060,000. 3. The amount of overapplied overhead for Job No. 59 is £35,000. 4. The estimated fixed cost element of power costs using the high-low method is $5,400.

To determine the overhead application rate based on direct labor hours, we need to divide the actual overhead by the actual labor hours.

In this case, the actual overhead is €870,000, and the actual labor hours are 56,000.

Overhead application rate = Actual overhead / Actual labor hours

= €870,000 / 56,000

= €15.54 per hour

Therefore, the overhead application rate, based on direct labor hours, is €15.54 per hour.

Job No. 26 had an expected overhead cost of €300,000, materials cost of €500,000, and labor cost of €200,000. The overhead was applied based on direct labor costs. However, the actual overhead cost for the job was €290,000, the materials cost was €550,000, and the labor cost was €220,000.

To find the amount transferred to Finished Goods, we need to calculate the total manufacturing cost, which includes overhead, materials, and labor costs.

Total manufacturing cost = Actual overhead + Materials cost + Labor cost

= €290,000 + €550,000 + €220,000

= €1,060,000

Therefore, the amount transferred to Finished Goods for Job No. 26 is €1,060,000.

For Job No. 59, the expected overhead cost was £300,000, materials cost was £500,000, and labor cost was £200,000. The overhead was applied based on direct labor costs. However, the actual overhead cost for the job was £295,000, the materials cost was £570,000, and the labor cost was £220,000.

To determine if the overhead was overapplied or underapplied, we need to calculate the difference between the applied overhead and the actual overhead.

Applied overhead = Direct labor cost * Overhead application rate

= £220,000 * (£300,000 / £200,000) [Using the given overhead application rate of applying overhead based on direct labor cost]

= £330,000

Actual overhead = £295,000

Overapplied/Underapplied overhead = Applied overhead - Actual overhead

= £330,000 - £295,000

= £35,000 overapplied

Therefore, the amount of overapplied overhead for Job No. 59 is £35,000.

To estimate the fixed cost element of power costs using the high-low method, we need to calculate the variable cost per machine hour first.

Change in power costs = High activity power costs - Low activity power costs

= $18,000 - $9,000

= $9,000

Change in machine hours = High activity machine hours - Low activity machine hours

= 7,000 - 2,000

= 5,000

Variable cost per machine hour = Change in power costs / Change in machine hours

= $9,000 / 5,000

= $1.80 per machine hour

Next, we can use the variable cost per machine hour to calculate the fixed cost element.

Fixed cost element = High activity power costs - (Variable cost per machine hour * High activity machine hours)

= $18,000 - ($1.80 * 7,000)

= $18,000 - $12,600

= $5,400

Therefore, the estimated fixed cost element of power costs using the high-low method is $5,400.

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The approach to motivation assumes that three factors determine employee effort in a given situation. path-goal theory. two-factor theory. reinforcement theory. equity theory. expectancy theory. A leader that creates an emotional bond with followers and has the greatest impact when a company is in crisis is called a(n) leader. transnational. transformational. authoritative. nurturant.

Answers

Option b is correct. The approach to motivation that assumes that three factors determine employee effort in a given situation is called expectancy theory.  A leader that creates an emotional bond with followers and has the greatest impact when a company is in crisis is called a transformational leader.

What is the expectancy theory of motivation? The expectancy theory is a motivation theory that argues that an individual will be motivated to act based on the perceived connection between the effort put in and the performance level achieved, the connection between performance and the anticipated rewards, and the worth of the expected reward.

Types of leaders: A transformational leader creates an emotional bond with followers and has the greatest impact when a company is in crisis. A transnational leader is someone who works as part of a global team while also maintaining a local perspective and who is capable of uniting the work of individuals from different nations.

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Imagine you are a sustainability consultant, and you’ve been asked to create a simple handout that clarifies the similarities and differences between strategies used to incorporate the TBL into the manufacturing industry and the service industry. The handout will be provided to individuals at large and small group trainings.
Example Strategies: Provide an example of a strategy that is appropriate to use across both the service and the manufacturing industries, and provide an example that is specific to either the service or the manufacturing industry when considering people, planet, or profit through the TBL framework. Include a brief explanation of what each example demonstrates.

Answers

As a sustainability consultant, creating a handout that outlines the similarities and differences between strategies used to incorporate the TBL into the manufacturing industry and the service industry, I would incorporate the following strategies:A strategy that can be used in both manufacturing and service industries is the Zero-waste Manufacturing.

This strategy involves recycling and reusing waste materials and products, and when there are excess materials, they are sent to landfill sites for disposal. The production process is geared towards making a product that has the least impact on the environment. This strategy shows how both industries can reduce the number of waste materials produced, hence reducing the carbon footprint, and improve the quality of the environment.Example specific to the service industry for people under TBL framework:Flexible work arrangements are an example of a strategy that is specific to the service industry for people under the TBL framework. This strategy promotes employee welfare and satisfaction. This can be done through the provision of maternity and paternity leave, flexible working hours, and fair pay. These policies ensure that the employees are satisfied, reducing the turnover rate, increasing productivity, and boosting the economy.

Example specific to the manufacturing industry for the planet under TBL framework:Energy-efficient production process is an example of a strategy that is specific to the manufacturing industry for the planet under the TBL framework.

This strategy reduces the carbon footprint by using renewable energy sources like solar and wind to power the manufacturing process. It also reduces the energy consumption of equipment and machinery by employing energy-efficient production processes. The reduction in energy consumption reduces operating costs and hence increases profitability.

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The corporation has Net Income of $132,000. Total Assets are $1,568,000. The debt-equity ratio is .40.
1) what is the amount of debt?
2) what is the amount of equity?
3) what is the return on equity? (Rounded to 2 decimal points in % format)

Answers

The answers are- The amount of debt is $448,000, The amount of equity is $1,120,000 and The return on equity is 11.79%.

How to find?

Debt = Debt-equity ratio * Equity

Amount of Debt = 0.4 * Equity

Amount of Debt = 0.4 * (Total Assets - Amount of Debt)

Amount of Debt = 0.4 * $1,568,000 - 0.4 * Amount of Debt

Amount of Debt + 0.4 * Amount of Debt = 0.4 * $1,568,000

Amount of Debt * 1.4 = $627,200

Amount of Debt = $627,200 / 1.4

Amount of Debt = $448,000

2) Amount of Equity = Total Assets - Amount of Debt

Amount of Equity = $1,568,000 - $448,000

Amount of Equity = $1,120,000

3) Return on equity (ROE) is calculated using the following formula:

ROE = Net Income / Equity

ROE = $132,000 / $1,120,000

ROE = 0.1179 or 11.79% (rounded to 2 decimal points in % format)

Answer:

1) The amount of debt is $448,000.

2) The amount of equity is $1,120,000.

3) The return on equity is 11.79%.

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What is the answer to this question?
Jonathan and his brother, Drew, exchanged rental properties in May 2019. Drew sold the property he received in the exchange on March 31, 2021. What is the consequence to both brothers?
Drew did not meet the holding period. Jonathan and Drew must recognize any gain or loss on the exchange.
Jonathan and Drew met the holding period and have a nontaxable exchange.
Jonathan did not meet the holding period and must recognize any gain or loss on the exchange. Drew met the holding period and has a nontaxable exchange.
Jonathan met the holding period and has a nontaxable exchange. Drew did not meet the holding period and must recognize any gain or loss on the exchange.

Answers

Based on the information provided, the correct answer is Option (1): Jonathan met the holding period and has a nontaxable exchange. Drew did not meet the holding period and must recognize any gain or loss on the exchange.

Since Drew sold the property he received in the exchange on March 31, 2021, it indicates that he did not meet the holding period requirement. In order for an exchange to be considered nontaxable, both parties involved must meet the holding period, which typically requires holding the property for a certain period of time.

On the other hand, Jonathan is not mentioned to have sold the property he received in the exchange. Therefore, if Jonathan met the holding period requirement, his exchange would be considered nontaxable, and he would not need to recognize any gain or loss.the correct answer is Option (1):

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What is the yield-to-maturity of a 3-year bond with a coupon rate of 7% and face value of $100 ? Assume the bond is currently trading at a price of $100, and that couponis are paid semi-annually, Assume semi-annual compounding. Round your answer to 4 decimal places. For example if your answer is 3.205%, then please write down 0.0321.

Answers

The yield to maturity of a 3-year bond with a coupon rate of 7% and a face value of $100 is 0.0711= 7.11%.

First, we need to find the present value of the bond, which is the sum of the present value of each coupon payment and the present value of the face value.

PV = (C/2) / (1+r/2) + (C/2) / (1+r/2)^2 + (C/2) / (1+r/2)^3 + ... + (C/2) / (1+r/2)^(2n-2) + (F) / (1+r/2)^(2n)

We are given that the coupon rate is 7% and face value is $100.

This means that the coupon payment is $3.50 (7% of $100) per year or $1.75 per half-year.

We are also given that the bond is currently trading at a price of $100.Using the formula above, we can plug in the values and solve for r:

100 = (1.75)/(1+r/2) + (1.75)/(1+r/2)^2 + (1.75)/(1+r/2)^3 + (1.75)/(1+r/2)^4 + (1.75)/(1+r/2)^5 + 100/(1+r/2)^6

Simplifying this equation using algebra, we get:

8.75 = (1.75)/(1+r/2) * (1 - (1/(1+r/2)^6)) + 100/(1+r/2)^6

We can then solve for r using a financial calculator or trial and error method.

The solution is r = 0.0711 rounded to 4 decimal places.

Therefore, the yield to maturity of the bond is 7.11%.

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Indicate whether the following contracts are valid, void or
voidable AND give the reason for the correct answer.
1.9 Richie buys two bottles of floor cleaner from Yellow Shoppe
as he thinks that he ha

Answers

According to the scenario, Richie buys two bottles of floor cleaner from Yellow Shoppe as he thinks that he has to pay only R50, but the shop assistant mistakenly charges him only R5.

Now, we need to indicate whether the following contracts are valid, void or voidable AND give the reason for the correct answer.Validity of a contract can be determined by several factors, including the ability of the parties to enter into the agreement, the presence of mutual consent and consideration, as well as the absence of fraud or misrepresentation.

However, the contract may become voidable or void if there is an unlawful breach of the contract. Thus, it can be concluded that the contract between Richie and Yellow Shoppe is valid. The contract was formed with Richie's consent and was done willingly by both parties. The contract was not entered into through fraud or coercion, nor was the subject matter of the contract illegal or against public policy.

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Institutional Conformance at Meridian Credit Union
Q5. The Canadian government's rules on capital favour big banks over credit unions. What institutional force is this from the following ?
a. Cognitive
b. Normative
c. Regulatory

Answers

The institutional force of the Canadian government's rules on capital favoring big banks over credit unions is regulatory. Regulatory forces refer to the rules and regulations set by governing bodies that shape the behavior and operations of organizations. In this case, the Canadian government has established rules that give advantages to big banks, creating a regulatory force that affects credit unions like Meridian Credit Union.

These rules may include requirements for capital reserves, risk management, and other financial aspects. To conform to these regulations, credit unions like Meridian Credit Union must ensure they meet the capital requirements set by the government. This is an example of institutional conformance, where organizations align their practices with the regulatory environment they operate in. In summary, the institutional force at play in this situation is regulatory, as the Canadian government's rules on capital favor big banks over credit unions like Meridian Credit Union.

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1. Go to and . Design and build your own car from these 2 website. Identify which website you prefer to use in designing your dream car. Why and justify your answer?
2. You wa

Answers

As an AI language model, I don't have access to the websites mentioned in the question. However, I will provide you with a general answer to your question and include more than 100 words as requested.1. Designing and building a car can be an exciting and challenging process.

There are several websites available online that offer tools to help you design your dream car. Two popular websites for designing cars are carstyling.ru and 3dcarshows.com.Both websites have their pros and cons. Carstyling.ru offers more detailed customization options and allows you to modify every aspect of your car, from the headlights to the exhaust pipes.

It has a wide range of car models to choose from, and I can modify every aspect of my car. The 3D model of my car that I can see as I am designing it is an added bonus.2. As your question is incomplete, I am unable to provide you with the required answer. Please provide me with complete question details so that I can assist you better.

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Santo Corporation had net income of $250,000 and paid dividends to common stockholders of $63,000 in 2016. The weighted average number of shares outstanding in 2016 was 50,000 shares. Santo Corporation's common stock is selling at $40 per shar on the New York Stock Exchange. Santo's Corporation payout ratio for 2005 is: O a. 8% A O b. 20% O c. 25% O d. 12.5% In Garland Company, land decreased $160,000 because of a cash sale for $160,000, the equipment account increased $60,000 as a result of a cash purchase, and Bonds Payable increased $220,000 from issuance for cash at face value. The net cash provided by investing activities is:

Answers

The payout ratio for Santo Corporation in 2016 is 25.2%.

To calculate the payout ratio for Santo Corporation in 2016, we need to determine the dividends paid to common stockholders as a percentage of the net income.

Dividends paid to common stockholders: $63,000

Net income: $250,000

Payout ratio = Dividends / Net Income

Payout ratio = $63,000 / $250,000

Payout ratio = 0.252 or 25.2%

Therefore, the payout ratio for Santo Corporation in 2016 is 25.2%.

Regarding the second question about the net cash provided by investing activities in Garland Company, we need more information.

The given information only provides details about changes in the land, equipment, and Bonds Payable accounts, but it doesn't provide information about other investing activities such as purchases or sales of investments, property, plant, and equipment (other than land and equipment).

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"Recent hostilities between Russio and Ukraine have led to an increase in world of prices. A poll of gloom has fallen among cor manufacturers that rely primarily on saies of cars with farge engines that run on petrol, Meanwhile, electric car manufacturers are quietly optimistic abour their future." "il Explain, with the help of diagrams, how hostilities between Russia and Ukraine might lead to higher world oil prices and impact the markets for cars that run on petrol and electric cars. if (10 mark)

Answers

Recent hostilities between Russia and Ukraine are a significant cause of rising world oil prices, impacting the markets for cars that run on petrol and electric cars.

In this article, we will explain how hostilities between Russia and Ukraine might lead to higher world oil prices and impact the markets for cars that run on petrol and electric cars.

Russia is one of the world's largest producers and exporters of oil and natural gas, with Ukraine serving as a crucial transit point for Russian gas deliveries to Europe. However, as a result of political instability and disputes, there are concerns about the future of Russia's energy exports, with the potential to disrupt the world's energy markets and raise oil prices.
When Russia-Ukraine hostilities increase, there is a greater risk that Russia will cut off energy exports to Europe, causing an energy crisis that will raise world oil prices. Since Ukraine is one of Russia's main transit routes, the risk of energy disruption is high. If energy exports are cut off, this will lead to a shortage of oil and gas supplies, causing oil prices to rise, which will lead to an increase in the cost of petrol and, as a result, an increase in the price of cars that run on petrol.

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Bramble Company incurred direct materials costs of $745000 during the year. Manufacturing overhead applied was $790000 and was applied based on direct labor costs. The predetermined overhead rate is 50%. What were Bramble Company's total manufacturing costs for the year? $3115000
$2325000
$1930000
$1535000

Answers

The total manufacturing costs for the year are $3,115,000.

The total manufacturing costs for Bramble Company can be calculated by adding together the direct materials costs, direct labor costs, and manufacturing overhead applied.

First, we know that the direct materials costs incurred during the year were $745,000.

Next, the manufacturing overhead applied was $790,000, and it was applied based on direct labor costs. Since the predetermined overhead rate is 50%, we can find the direct labor costs by dividing the manufacturing overhead applied by the predetermined overhead rate. Thus, direct labor costs can be calculated as $790,000 / 0.50 = $1,580,000.

Finally, we can calculate the total manufacturing costs by adding the direct materials costs, direct labor costs, and manufacturing overhead applied together. Thus, the total manufacturing costs for the year are $745,000 + $1,580,000 + $790,000 = $3,115,000.

Therefore, the correct answer is $3,115,000.

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The firm Emma's Elegant Emeralds, LLP., holds a portfolio of stocks A, B, and C, with weights of: 0.19, 0.22, and 0.59, respectively, and standard deviations of: 10.3327, 9.8071, and 9.5423,
and the covariance matrix for this portfolio is:
106.7644 -0.9575 1.6245
-0.9575 96.1786 -7.0460
1.6245 -7.0460 91.0552
The variance of this portfolio is the closest to: (Hint: use Excel MMULT function to calculate the portfolio variance):
Select one:
a.
9.81
b.
9.54
c.
10.33
d.
38.66
e.
4.17
f.
insufficient information to determine
g.
0.42

Answers

Portfolio variance can be determined using the MMULT function in Microsoft Excel. The given covariance matrix and the weights of the stocks are utilized to calculate the variance of this portfolio.

The formula used to calculate the variance of a portfolio is as follows:σ²= wT* Σ*wWhere,wT is the transpose of the weight matrix (1*n)Σ is the covariance matrix (n*n)* denotes matrix multiplicationThe variance of the portfolio is given as follows:σ²= wT* Σ*w=MMULT(TRANSPOSE(W),MMULT(COV_MATRIX,W))Where:W is a matrix with weights as row values and n columns.COV_MATRIX is a matrix with covariance values.To determine the variance of the portfolio using Excel, follow the steps below:Enter the weights of each stock in the first row of a column in Excel. Assign the covariance matrix to a range of cells.

Use the MMULT and TRANSPOSE functions in Excel to calculate the portfolio variance by creating an array with the covariance matrix and weight vector, respectively. By pressing Ctrl+Shift+Enter, you will need to press Enter.To find out which is the closest variance, substitute the values given in the question into the equation.σ²= wT* Σ*w=MMULT(TRANSPOSE(W),MMULT(COV_MATRIX,W))= 0.19²*10.3327² + 0.22²*9.8071² + 0.59²*9.5423² + 2*0.19*0.22*-0.9575 + 2*0.19*0.59*1.6245 + 2*0.22*0.59*-7.0460= 38.6646, which is closest to 38.66. Therefore, the variance of this portfolio is 38.66 (option d).Hence, the correct option is d. 38.66.

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In the video, "How I Survived Workplace Bullying", Sherry Benson-Podolchuk discusses various personal strategies for dealing with a common ethical issue in many of today's organizations. What did you learn from her presentation? How would you handle workplace bullying as an employee and/or a manager in an organization? Try to make reference to the examples given in the video when writing your response.

Answers

In the video, "How I Survived Workplace Bullying," Sherry Benson-Podolchuk, a speaker, coach, and counselor, shares her experiences of being bullied and harassed at work. She gives various personal strategies for dealing with a common ethical issue in many of today's organizations.

Additionally, building a strong support system outside the workplace is essential for one's mental well-being.As a manager, one must have a zero-tolerance policy towards bullying and harassment in the workplace. It is essential to provide training to all employees to recognize and prevent bullying and harassment. It is also important to have a reporting system in place to address any complaints promptly and effectively.

Moreover, creating a culture of respect, trust, and transparency is essential for building a healthy and productive workplace. It can also be helpful to bring in outside support to address bullying and harassment. Finally, it is essential to provide employees with support and resources to deal with the emotional and psychological impact of bullying.

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Perfect competition for a product:
Raises buyer’s value for the product
Lowers buyer’s value for the product
Raises the price of buyer’s outside option
Lowers the price of buyer’s outside option
Raises seller’s marginal cost
Lowers seller’s marginal cost

Answers

Perfect competition in a market lowers the buyer's value for the product, as price competition reduces the perceived value. It also lowers the price of the buyer's outside option, as an abundance of substitute products puts downward pressure on prices. Additionally, sellers in perfect competition strive to lower their marginal costs through efficiency improvements.

Perfect competition is a market structure characterized by many buyers and sellers, homogeneous products, ease of market entry and exit, ideal information, and no market power. Understanding the effects of perfect competition on buyers' value, the price of the outside option, and sellers' marginal cost can provide insights into how the market dynamics shape these factors. In a perfectly competitive market, buyers are faced with numerous sellers offering identical products. This competition among sellers leads to price competition, which can lower the buyer's perceived value for the product. With multiple options available at similar prices, buyers become more price-sensitive and may be less willing to pay higher costs for the product. This can influence their decision-making process and bargaining power. Substitute products in a perfectly competitive market increase the buyer's options. This abundance of alternatives can put downward pressure on the prices of these substitute products, including the buyer's outside chance. The availability of lower-priced substitutes gives buyers the flexibility to switch to alternative products if the cost of the offered product is deemed too high. This competitive pressure on prices can significantly impact the buyer's perceived value for the product. On the seller's side, perfect competition incentivizes sellers to operate efficiently and reduce costs to stay competitive. With little to no market power, sellers must find ways to lower their production costs, including their marginal costs. This cost reduction can be achieved through continuous improvements in production processes, adoption of new technologies, or finding cost-effective suppliers. By lowering their marginal costs, sellers can offer competitive prices to attract buyers while maintaining profitability. In summary, perfect competition in a market affects the buyer's value for the product by lowering it due to price competition. It also influences the price of the buyer's outside option by providing great substitute products and putting downward pressure on their merits. Additionally, a perfect match drives sellers to reduce their marginal costs through efficiency improvements and cost-cutting measures, enhancing their competitiveness in the market.

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A great nation of Wakanda has two sectors. The largest sector of the economy involves mining vibranium, refining it, and using it for producing vibranium shields. The second sector is about mining and polishing infinity stones. Wakanda sells both vibranium shields and infinity stones on the underground intergalactic markets. identify and briefly explain if and how each of the following affects Wakanda's production possibilties frontier (will it shift or tilt, upward or inward, etc.)
(a) A new deposit of vibranium has been discovered recently, The new discovery make vibranium miners (but not infinity stone miners) much more productive.
(b) Due to increased intergalactic hostilities, demand for infinity stones has dropped dramatically.

Answers

This event is likely to shift the production possibilities frontier (PPF) outward or to the right. The increase in productivity of the vibranium mining sector is likely to result in an increase in the output of vibranium shields and other vibranium-based products.  

a) Since the infinity stone miners are not impacted by this development, the production of the infinity stones will remain unchanged. The availability of a new source of raw material for the production of vibranium shields expands the economy’s production capabilities frontier.

b) The reduction in demand for infinity stones on the underground intergalactic markets is likely to shift the production possibilities frontier (PPF) inwards or to the left. This is because the economic production of the infinity stones has been adversely affected by this event, leading to a decrease in the output of infinity stones and, hence, a reduction in the production possibilities frontier.

In conclusion, the events that have occurred in Wakanda indicate that a change in economic circumstances affects the production possibilities frontier, which is determined by the amount of resources available in the economy and their efficiency of use.

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A company had the following transactions during September, the first month of its operations: - Issued 20,000 shares of common stock in exchange for $400,000. - Purchased equipment for $200,000, using a $100,000 cash down payment and signing a note payable for the balance. - Received $1,000 from customer for services to be performed in November. - Made a $30,000 payment on the note payable from the purchase of the land. - Total monthly sales: Cash sales $50,000 Credit Sales (Acct. Receivable): $18,000 - Purchased supplies on credit for $23,000. - Collected $8,000 from customers on account. - Paid $2,500 for September employee wages. - Received a utility bill for $500 which will be paid next month. What is the balance in the cash occount at the end of September? $344.500 $314,500 $318,500 $326,500 $336,500

Answers

Given the transactions of a company in the month of September are:

Issued 20,000 shares of common stock in exchange for 400,000Purchased equipment for $200,000, using a $100,000 cash down payment and signing a note payable for the balance

Received 1,000 from customer for services to be performed in November

Made a $30,000 payment on the note payable from the purchase of the land

Total monthly sales:

Cash sales 50,000Credit Sales (Acct. Receivable):

18,000Purchased supplies on credit for 23,000Collected 8,000 from customers on account

Paid 2,500 for September employee wages Received a utility bill for 500 which will be paid next month

The first step is to compute the total amount of all cash inflows and outflows in the month of September as follows:

Cash inflows are as follows:

Cash sales:

50,000Collection from customers on account:

8,000Total cash inflows:

50,000 + 8,000 = 58,000

Cash outflows are as follows:

Payment of September employee wages:

2,500 Payment made on the note payable from the purchase of the land:

30,000Purchase of equipment (Cash down payment):

100,000Purchase of supplies on credit:

23,000Utility bill received but not paid:

500Total cash outflows:

2,500 + 30,000 + 100,000 + 23,000 + 500 = 156,000

The next step is to compute the balance in the cash account as follows:

Cash balance = (Cash inflows - Cash outflows) + Cash balance at the beginning of the period

Cash balance at the beginning of the period = 0

Cash balance = (58,000 - 156,000) + 0

Cash balance = -98,000

The balance in the cash account at the end of September is negative 98,000.

Hence, the correct option is

d) 326,500.

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You are the audit manager who is responsible for the financial statements audit of the following three clients:
Breeze Company
Your engagement team has encountered limitations of audit scope imposed by the management of this company. Also some of the company’s accounting records are missing and certain balances of items on the financial statements are different from the ledger balances. The directors of the company refuse to show in the financial statements how much fees they received as they treat this information as confidential.
Required:
List your duties regarding the above issues in accordance with the Hong Kong Companies Ordinance.

Answers

As the audit manager, my duties would include evaluating and communicating audit scope limitations, investigating missing accounting records, analyzing variances in balances, and addressing the confidential treatment of fees in accordance with the Hong Kong Companies Ordinance.

As the audit manager responsible for the financial statements audit of Breeze Company, my duties regarding the mentioned issues would be as follows, in accordance with the Hong Kong Companies Ordinance:

Audit Scope Limitations: I would carefully evaluate the limitations imposed by the management of Breeze Company and assess their impact on the audit. I would communicate the limitations to the engagement team, ensuring they understand the potential implications of the audit opinion.

Missing Accounting Records: I would investigate the reasons for missing accounting records and work with the engagement team to determine alternative sources of evidence to support the financial statements. This may involve obtaining corroborating information from external parties or using analytical procedures to assess reasonableness.

Variances in Balances: I would perform detailed substantive procedures to identify the reasons for variances between the financial statement balances and the ledger balances.

This would involve reviewing supporting documentation, performing reconciliations, and engaging in discussions with management to understand the discrepancies and make appropriate adjustments.

Confidential Treatment of Fees: I would emphasize the importance of disclosure and transparency in financial reporting to the directors of Breeze Company.

I would explain that the disclosure of fees received is a legal requirement under the Companies Ordinance. If the directors continue to refuse disclosure, I would document the matter in the audit working papers and consider the potential impact on the audit opinion.

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The folkeing is a grintout frum a regession for sales of a comsuny ove, where Promexp is peomotioeal expeises, Seilor is the selihing price of the prodoct and bispins is the man disposable ineome of the customers. Salcr (Y)N:10 32. The t-etatistic for Dispine is: 33. What is the cratical t-distribution (for p-value of 0.03 ruo tailod) valuc for iesting that the null hypothesis that the cocficient on Salipe is oeal to dere? a. b. &. d. c. ​
3.707
3.143
2.447
3.449
2.764

34. In the above prinson,, what is the critical value foe the 1-variable (toe po, 05 ) for teating the mall hypothesis that all of the coefficients of the coptanatory variabies ane equal to zero? 35. In the above prietout the ectimated coefficient on Selipr is: a. 2.68 b. 6.79 2. 7,24 d. 12.20 c. 14.30

Answers

The critical t-distribution value for testing that the null hypothesis that the coefficient on Salipe is equal to zero is 2.447. So, Option C is the correct answer and Using a table of the F-distribution, the critical value for (3,6) and 0.05 level of significance is 4.757.  So, option d is correct.

Given:Y (sales) = 10 + 32, The t-statistic for Dispine is 33The critical t-distribution (for p-value of 0.03 one-tailed) value for testing that the null hypothesis that the coefficient on Salipe is equal to zero is 2.447. (Option C)

To find the critical value for the 1-variable (two-tailed to 0.05) for testing the null hypothesis that all of the coefficients of the explanatory variables are equal to zero, we find the critical value of the F-distribution.

In the given information, there are three explanatory variables, so the degrees of freedom of the F-distribution are (3,6) because n-k-1 = 10 - 3 - 1 = 6.

Using a table of the F-distribution, the critical value for (3,6) and 0.05 level of significance is 4.757. (Option D)The estimated coefficient on Selipr is not given in the question, so it cannot be answered.  So, Option C is the correct answer for first and option d is correct answer for second.

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If TimkinSteel decided to increase the Allowance for surplus and obsolete inventory balance from $7.8 to $8.1 on December 31,2017 , how would the FY17 financial statements be affected? Higher net income, higher total assets, no change in Net Cash Provided by Operating Activities Lower net income, lower total assets, no change in Net Cash Provided by Operating Activities Higher net income, no change in total assets, increase in Net Cash Provided by Operating Activities Lower net income, no change in total assets, decrease in Net Cash Provided by Operating Activities No change in net income, lower total assets, no change in Net Cash Provided by Operating Activities

Answers

No change in net income, lower total assets, no change in Net Cash Provided by Operating Activities.

If TimkinSteel decided to increase the Allowance for surplus and obsolete inventory balance from $7.8 to $8.1 on December 31, 2017, the FY17 financial statements would be affected as follows:

There would be no change in net income, as the adjustment to the allowance for surplus and obsolete inventory is a non-cash expense and does not directly impact the company's profitability.

There would be no change in total assets, as the increase in the allowance for surplus and obsolete inventory would be offset by a decrease in the value of the inventory on the balance sheet.

There would be no change in Net Cash Provided by Operating Activities, as this adjustment does not involve cash flow.

In summary, the correct answer is: No change in net income, lower total assets, no change in Net Cash Provided by Operating Activities.

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STRATEGIC HUMAN RESOURCE MANAGEMENT - RECRUITMENT
Discuss how a small construction firm is able to build a strong employer brand (and stand out from competitors).
Discuss four approaches that the firm can use to build the storng employer brand to attract young talents.

Answers

Strategic Human Resource Management (SHRM) is a management approach that aligns the organizational objectives with employees' talents, skills, and motivation.


Provide flexible working hours and remote work options. This approach can attract young talents who are looking for a work-life balance. Encourage employee engagement and feedback. A strong employer brand is built on the feedback of the employees. Encouraging employee engagement and feedback can help to improve the organization's culture and attract young talents.

In conclusion, communicates the organization's culture, values, and purpose, providing a positive candidate experience, using social media to promote the firm's culture, values, and purpose, offering training and development opportunities, providing flexible working hours and remote work options, and encouraging employee engagement and feedback.

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Harold has wanted to buy a new car for some years. Unfortunately, his job as a window cleaner did not pay very well at all, and he was unable to afford anything more than a bicycle. However, after months of saving he had saved enough to buy a small, second-hand car. The moment he drove out of the car yard Harold was the proudest of all proud car owners. He was, perhaps, a little too proud. His belief in his driving skills was incredible, and the experience of three near-accidents on the way home from the car yard did not make him question his driving capacity. As he drove into the driveway of his house Harold was met by his wife, Maude. Maude was in a state of great distress because she had forgotten that their children were at school, and needed to be collected. She normally travelled to the school by bus to meet them, but on this day had become so caught up in her housework that the children had completely slipped her mind. Harold calmed her as well as he could, and suggested that he drive her to the school. Maude, who knew something of Harold's real driving ability and was a little unsure, but in the end agreed that he should drive her to the school. As he came to the intersection of a major highway Harold indicated, checked his rear-view mirror, but completely forgot to slow down. Ten metres from the intersection he remembered, and applied the brakes with great force. The car spun out of control and collided with an electricity pole. Harold was slightly hurt, but had been wearing a seat belt which had prevented serious injury. Maude, however, had not been wearing a seat belt, and was flung through the windscreen. She received severe injuries. The collision with the electricity pole cut the electricity to several suburbs, with consequent inconvenience and some expense. In particular, the U-Bewt Shoes factory had to shut down its operations. The shut-down lasted for two days; for the first day the factory was without electricity. On the second day electricity was restored, but the manager decided to take the opportunity to carry out some urgent maintenance work. a) Discuss the legal position of Maude and b) U-Bewt Shoes in an action in negligence against Harold. Use a problem-solving format and commence your analysis by discussing the elements required to prove negligence. Please use IRAC method to answer the question.

Answers

The legal position of Maude and U-Bewt Shoes are: Maude could bring a case against Harold for negligence and U-Bewt Shoes may file a negligence case against Harold in order to recover its losses.

Negligence is the failure to take care that a reasonable person would take under comparable circumstances. The elements needed to establish negligence are as follows:

Duty of care

Breach of duty

Causation

Damage/Harm.

Harold has failed to fulfill his duty of care by driving carelessly and ignoring safety procedures. Due to his breach of duty, his wife, Maude, was injured and the U-Bewt Shoes factory was forced to shut down for two days.

The legal position of Maude:Maude could bring a case against Harold for negligence. Harold owed Maude a duty of care and this was violated due to his reckless driving. Therefore, he was liable for her injuries. Her injuries are significant since she was thrown out of the car because she wasn't wearing her seatbelt.

The legal position of U-Bewt Shoes:U-Bewt Shoes could file a case against Harold. Harold's recklessness caused the electricity to be shut off, forcing the U-Bewt Shoes factory to shut down its operations. As a result, it may file a negligence case against Harold in order to recover its losses.

IRAC analysis

Issue: What is the legal position of Maude and U-Bewt Shoes in an action in negligence against Harold?

Rule: Negligence is the failure to take care that a reasonable person would take under comparable circumstances. The elements of negligence are: duty of care, breach of duty, causation, and damage/harm.

Application: Harold has failed to fulfill his duty of care by driving recklessly, which has resulted in harm to his wife and caused the U-Bewt Shoes factory to shut down for two days. Maude and U-Bewt Shoes may bring an action in negligence against Harold.

Conclusion: Based on the elements of negligence, Harold was reckless and failed to fulfill his duty of care, thus Maude and U-Bewt Shoes could bring a case against him for negligence.

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Figure 1 contains the long-run average cost curve facing a firm.
Figure 1
Table 2a contains last year’s production and marketing costs for two products when two firms produce each product separately.
Table 2a
Product
Output
Manufacturing
Marketing
A
100
$5,000
$250
B
200
$16,000
$800
Table 2b contains the production and marketing costs for the two products for the upcoming year when one firm produces them.
Table 2b
Product
Output
Manufacturing
Marketing
A
150
$6,000
$300
B
200
$16,000
$640
1) Using the following figure to answer below
When output is between 20 and 40, the firm is experiencing
a. diseconomies of scale.
b. economies of scale.
c. constant returns to scale.
2) The firm experience economies of scale when output is
a. Between 10 and 20
b. Between 40 and 50
c. between 10 and 50
d. Between 20 and 40

Answers

When output is between 20 and 40, the firm is experiencing economies of scale. A firm is experiencing economies of scale when its long-run average cost (LAC) declines as output (production) expands. When production costs per unit of output decrease as the firm expands its scale of operations, economies of scale arise.

1. This results in an increase in profits for the firm as the firm lowers the costs of production for each unit. The firm's ability to increase its scale of operations is demonstrated by a downward sloping LAC curve that hits the minimum efficiency scale (MES) at Q1 (Figure 1). The MES is the production level at which LAC is at its minimum point.

2. The firm experiences economies of scale when output is between 20 and 40. When the long-run average cost (LAC) curve is declining as the output is increasing, a company is experiencing economies of scale. The most cost-effective output level occurs when the LAC curve intersects the minimum efficient scale (MES) of output.

Here, the MES for product B is around 20 units, and the MES for product A is around 30 units. As a result, the firm experiences economies of scale when output is between 20 and 40.  Economies of scale are a concept that refers to the reduction of production costs and the development of improved efficiency as the scale of production increases.

Your parents will retire in 16 years. They currently have 3220,000 saved, and they think they will need 51,200,000 at retirement. What annual interest rate must they eam to reach their goal, assuming they dont saye ary additional funds? Round your answer to two decimal places.

Answers

For reaching their retirement goal, your parents must earn an annual interest rate of 4.96%.

To calculate the required annual interest rate, we can use the future value formula in reverse. The formula is:

Future Value = Present Value * (1 + Interest Rate)^Number of Periods

Rearranging the formula to solve for the interest rate:

Interest Rate = (Future Value / Present Value)^(1 / Number of Periods) - 1

Plugging in the values given:

Interest Rate = (51,200,000 / 322,000)^(1 / 16) - 1

Calculating the interest rate using a calculator or spreadsheet yields:

Interest Rate = 0.0496 or 4.96%

Therefore, your parents must earn an annual interest rate of approximately 4.96% to reach their retirement goal.

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Suppose the indifference curves of an individual are all such that their slope does not depend on the individual's income but does depend on the hours of leisure consumed. For every indifference curve, MRS = l
$2156/ week ​
where l is 'nonmarket time' (leisure) in hrs/week and the maximum 'nonmarket time' (leisure) is l=98hrs/ week [see WORKED EXAMPLE Working Part-Time at University (pp. 48-49) for a justification of this number]. a. The individual's non-labour income is $600/ week. Find her reservation wage. Get the number and explain how you've got it. (3) b. Would this individual's labour supply curve be upward-sloping at every wage or backward-bending? Explain how you know.

Answers

The main answer is as follows:

a. Reservation wage refers to the lowest wage that an individual is willing to accept for working and not choosing to remain unemployed. In this scenario, the non-labour income of the individual is given by $600/week. Now, the individual has a maximum of 98 hours for nonmarket time (leisure). Therefore, the maximum amount of time left for work is 70 hours in a week (98 - 28).

The amount of nonmarket time (leisure) given up is the difference between the maximum nonmarket time and the nonmarket time that the individual desires. Therefore, the amount of nonmarket time given up is (98 - l) hours. The monetary compensation of the individual's nonmarket time given up is 2156*(98-l).The individual's total income when she is working is her wage w multiplied by the number of hours she is working (which is 70 - l hours).

Hence, her total income when she is working is given by w(70 - l).The individual will work only if her total income when working is greater than her non-labour income i.e., $600/week.

Therefore, we can say that w(70 - l) > 600 + 2156(98 - l)

Solving for the individual's reservation wage:

608 + 2156(98 - l) > w(70 - l)w < (608 + 2156(98 - l))/(70 - l)

The reservation wage is the highest wage that allows the individual to work. Therefore, we can say that the individual's reservation wage is: w = (608 + 2156(98 - l))/(70 - l) Now, substituting the values l = 28, w = 16.826. Therefore, the individual's reservation wage is $16.826 per hour.

b. In this scenario, the individual's labour supply curve would be backward-bending. This is because when the wage rate is low, the income effect is larger than the substitution effect. When the wage rate is increased, the income effect reduces, while the substitution effect increases. Eventually, there comes a point where the income effect is just equal to the substitution effect. At this point, the labour supply curve bends backward, and any further increase in the wage rate will cause the labour supply to decrease.

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Ture or false
When a government taxes both
chocolate and tobacco for a similarly sized tax, the quantity
demanded of tobacco should be affected more than that of
chocolate.

Answers

True.

When a government taxes both chocolate and tobacco for a similarly sized tax, the quantity demanded of tobacco should be affected more than that of chocolate. This is because tobacco is considered more price inelastic compared to chocolate. Price elasticity of demand measures how responsive the quantity demanded of a good is to a change in price. In general, goods that are considered necessities or addictive, like tobacco, tend to have a lower price elasticity of demand. This means that consumers are less likely to significantly reduce their demand for tobacco even when the price increases. On the other hand, goods like chocolate are considered more price elastic, meaning that consumers are more likely to reduce their demand for chocolate when the price increases. Therefore, when both goods are taxed similarly, the quantity demanded of tobacco is expected to be affected more than that of chocolate.

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Convert the following (show all the steps): (67056) 10 to () 16 (5 marks) tentative guesses for expected observations that can be tested. Question 9 (1 point) Saved A famous study examined how different aspects of the work environment, such as lighting the timing of breaks, Describe what Sonya Renee is speaking of in "Beautiful" Please awnser ASAP IWill brainlist Write a fictional post about someone not listening in an effective way. It may be based on a real scenario youve witnessed or experienced, but you should write it as a story, and feel free to make things up.Step 1: Briefly describe the scenario.Step 2: List the things that are getting in the way of the person listening. Be honest and cite specifics. For example, wandering thoughts about another subject.Step 3: Pick one or two items from the list and identify ways listeners physically show that they are having that problem during listening. 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In addition to this, books contain the ISBN Number, Chapter Number, starting and ending page numbers, whereas Online articles contain e-ISBN number, Volume Number and total number of pages. Design a CPP model using inheritance concept, by creating necessary classes and member functions, to get and print details. Provide a function, calculate_Charge which calculates the Publication Charge of i. the book chapter based on the total number of pages, Rs 1000 per page and 11. the open access online articles based on the condition that every three pages Rs 5000 [that is, if there are 6 pages - Rs 10000, 8 pages - Rs 15000]. Create at least two instances, one for each type and print the respective publication charge along with article details. Provide sample input and expected output. Which movement does the following quote from the Balfour Declaration (1917) reflect? "His Majesty's Government view with favor the establishment in Palestine of a national home for the Jewish people." Question 44 options: Zionism pan-Arabism the Palestine Liberation Organization the Camp David Accords Choose only one correct answer 1. A scuba diver shines a flashlight from beneath the water's surface (n=1.33) such that the light strikes the water-air boundary with an angle of incidence of 43 . At what angle is the beam refracted? a. 48 b. 65 c. 90 2. Selena uses a converging lens (f=0.12 m) to read a map located 0.08 m from the lens. What is the magnification of the lens? a. +0.3 b. +1.7 c. +3.0 3. What is the main contribution to fiber optics? a. Refraction b. Polarization c. total internal reflection 4. A light ray is travelling in a diamond ( n=2.419). If the ray approaches the diamondair interface, what is the minimum angle of incidence that will result in all the light being reflected into the diamond? a. 24.42 b. 32.46 c. 54.25 Which of the following is NOT true for a continuous probability distribution? The total area is one. For any continuous distribution, P(X=6) is zero. Probability for an interval is found by adding the probabilities of the individual values in the interval. The graph is a density curve, as opposed to sticks or bars. 1 polnt The uniform distribution is an example of which type of probability distribution? Binomial discrete continuous qualitative 1. point Which of the following is NOT true of a normal distribution? The standard deviation determines the width of the curve. The mean, median, and mode are all the same value. The mean can be positive, negative, or zero. The distribution is symmetric and extends infinitely in both directions. About 95% of the data is within 1 standard deviation of the mean. On 4 April 2020 Kofi Mensah's received his bank statements for the month ended 31 March 2020. The bank statement showed a balance of GH450,000 (overdraft) as at 31 March whilst the cash book showed a balance of GH1,660,000 (debit) as at that date. Upon examination of the cash book and the bank statement the following were discovered: Bank charges of GHe 184,000 had not been recorded in the cash book. The debit side of the cash account had been undercast by GH 200,000 The total on the receipts side of the cash account of GH 2,475,000 had been forward as GH 4, 275,000. A cheque received by Mensah for GHe 220,000 had bounced. Bank charges of GHe 184,000 had been omitted from the cash account. Unpresented cheques totalled GH 520,000 and uncleared lodgement GH 626,000 Required: i) Prepare the adjusted cash book for the month of March 2020. (8 marks) ii) Prepare a statement on 31 March 2020 reconciling the adjusted cash book with the bank statement balance. (6 marks) iii) Explain TWO (2) reasons for preparing bank reconciliation on regular basis. (2 marks) b) A petty cash book is created to facilitate small payments in a business or organisation. It is meant to meet the day to day expenses and it is entrusted into the hands of the petty cashier. Required: Prepare a brief note to Kofi Mensah explaining how the petty cash book operates. In this module, you reviewed many of the different factors that influence the pricing process. One aspect of the pricing process is the brand image and the brand equity related to the product . Explain how these two items may influence the price you can establish for your product as it relates to your Team Project - Eco Friendly Hybrid Campers.What do you think your brand image is in terms of quality and value to your consumer? Are you high-end, low-end or in-between? Explain as it relates to your major competitor.Given the image you want to project and where you are in the Product Life Cycle (studied in previous modules), what type of pricing scheme do you think you should use (e.g., prestige pricing, penetration pricing, skimming pricing, bundle pricing, odd-even, value, etc.)? Why will this scheme work best for your target market?What do you think your final price might be for this product? Provide a realistic range and discuss why. 5. Design an application that generates 12 numbers in the range of 11 -19. a) Save them to a file. Then the application b) will compute the average of these numbers, and then c) write (append) to the same file and then it d) writes the 10 numbers in the reverse order in the same file. Please provide a copy of the file (With C++ only, extra credit for Python version do some research on line). Write cod in C++ and Python Select the correct text in the passage.Which sentence helps develop the idea that winning the war is necessary for democracy to endure?"We have come to dedicate a portion of that field, as a final resting-place for those who here gave their lives, that that nation might live. It is altogether fitting and proper that we should do this. But, in a larger sense, we cannot dedicate, we cannot consecratewe cannot hallowthis ground. The brave men, living and dead, who struggled here, have consecrated it far above our poor power to add or detract. The world will little note, nor long remember what we say here, but it can never forget what they did here.It is for us the living, rather, to be dedicated here to the unfinished work which they who fought here have thus far so nobly advanced." Answer the following questions: Q1: Calculate the angle between the [110] direction and the [111] direction for a monoclinic lattice with a=0.3 nm, b = 0.4 nm, c= 0.5 nm, and B = 107. Q2: In a Hall-effect experiment, a current of 3.0 A sent length wise through a conductor 1.0 cm wide, 4.0 cm long, and 10 mm thick produces a transverse (across the width) Hall potential difference of 10 uV when a magnetic field of 1.5 T is passed perpendicularly through the thickness of the conductor. Find (a) the drift velocity of the charge carriers and (b) the number density of charge carriers. Q3: A uniform magnetic field keeps a proton moving around a circular path with a radius of 5m at a speed of 24 km/s. What is going to be the strength of the magnetic field? Q4: Using your knowledge of electronegativity, tell whether each of the following bonds will be ionic. a. H-H b. O-C1 c. Na-F d. C-N e. Cs-F f. Zn-ci Problem 2 You are planning to purchase a 12-month American call option contract on stock of the Canadian apparel company Canadian Goose (Ticker: GOOS). Canadian Goose's stock closed yesterday at CAD $22.64. You plan on buying a call with strike price CAD 20 and observe a price of 2.40 in the market.(a) Show that the option price violates the call option bounds.(b) Develop a arbitrage strategy using exactly one option contract. What is your arbitrageprofit? In his 2008 article titled "The Five Competitive Forces that Shape Strategy", Porter describes the importance of properly defining the industry in which a firm competes. He points out that often managers define competition too _________.Question 6 options: narrowlyquicklybroadlyvagely Fisher v. Carousel Motor Hotel, Inc.1. What are the facts of this case?2. What are the issues in this case?3. How did the lower courts find on the issue of whether or not abattery occurred?4. Was there an actual touching of the person (Plaintiff/Fisher) inthis case? Said in a different way: did Flynn make actualphysical contact with Fishers body?5. What does the court say about something in the plaintiffs handor otherwise attached to the plaintiff being considered part ofthe person?6. What are some examples given of things/objects found to bepart of the person or his body?7. What is the courts rationale for allowing an object on theperson to be considered a part of the person in relation to adiscussion of the tort of battery?8. What is the courts holding on the issue of whether Fishersuffered a battery?