what is the main advantage of an object classification budget? what are its limitations? how do performance budgets overcome these limitations?

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Answer 1

The main advantage of an object classification budget is that it helps to allocate the resources correctly as per the priority of the project. It can only provide a rough estimate of the resources required for each item, etc.

To overcome the limitations of object classification budgets, performance budgets have been developed.

Object classification budgets are an excellent way of understanding the cost implications of the project and the resources that the project needs to be accomplished.

This type of budget helps in defining the requirements for each item and allocating the appropriate amount of resources accordingly.

There are a few limitations of the object classification budget, including:

It is not an appropriate method for the development of new projects or for those with unclear cost implications;

It may not provide a detailed analysis of the expected outcomes of the project.

It is difficult to predict future requirements or costs with any degree of certainty, making it challenging to use as a planning tool.

Performance budgets focus on the outcome of the project, and how it meets the goals and objectives of the organization.

These budgets are more flexible than object classification budgets and provide a more accurate assessment of the resources required to achieve the desired outcome.

They are more effective than object classification budgets as they are based on the organization's objectives and the resources required to achieve those objectives.

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the two main ways to invest discussed in this class are to (1) buy bonds and (2) own stock. relative to bonds, stocks are typically:

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The two main ways to invest discussed in this class are to (1) buy bonds and (2) own stock. Relative to bonds, stocks are typically riskier but offer the potential for higher returns.

When you own stock in a company, you are essentially buying a piece of that company and have the potential to profit from its success. However, if the company performs poorly, the value of the stock can decline and you may lose money. Bonds, on the other hand, are considered to be less risky investments because they are essentially loans made to a company or government. The borrower is required to pay back the loan with interest, so there is less risk involved for the investor.

However, the returns on bonds are typically lower than those of stocks. Overall, both bonds and stocks have their advantages and disadvantages, and it is up to the individual investor to decide which option is best for them based on their risk tolerance and financial goals. The two main ways to invest discussed in this class are to (1) buy bonds and (2) own stock. Relative to bonds, stocks are typically riskier but offer the potential for higher returns.

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which of the following monetary and fiscal policy combinations would definitely cause an increase in aggregate demand? which of the following monetary and fiscal policy combinations would definitely cause an increase in aggregate demand? reserve requirement- decrease taxes- decrease government spending- increase reserve requirement- decrease taxes- decrease government spending- decrease reserve requirement- increase taxes- decrease government spending- increase reserve requirement- increase taxes- increase government spending- decrease

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Reserve requirement- increase, taxes- decrease and government spending- increase would definitely cause an increase in aggregate demand. So, The correct answer is C)

Aggregate demand (AD) is the total demand for goods and services in an economy at a given time. It is determined by several factors including consumer spending, government spending, investment, and net exports. Both monetary and fiscal policies can influence AD.

In option C, increasing the reserve requirement by the central bank will decrease the amount of money in circulation, leading to a decrease in consumer spending and investment.

Increasing taxes will also reduce consumer spending, but more importantly, it will reduce disposable income and discourage businesses from investing.

Decreasing government spending will decrease the amount of money the government injects into the economy, but will also reduce competition for resources, which can lead to a lower inflation rate.

Therefore, the combination of monetary and fiscal policies in option C will reduce the amount of money in the economy, leading to lower inflation, while increasing aggregate demand by reducing government spending.

Therefore, The correct answer is C) .

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every project has a set of requirements it must satisfy. requirements risks include those issues, events, and conditions that are uniquely related to project or product requirements. of the following, which is not a common type of requirements risk? a.incorrect or missing requirements b.incomplete or over-specification c.scope creep d.patents and copyrights

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The type of requirements risk that is not a common type is patents and copyrights. The correct answer is option d.

What are requirements risks?

Requirements risks refer to the potential issues, events, and conditions that are uniquely related to project or product requirements.

These issues could have a detrimental effect on the project or product if they are not properly addressed or managed.

Types of requirements risks include:

Incorrect or missing requirementsIncomplete or over-specificationScope creepIncorrect or missing requirements

This occurs when the requirements that were provided for the project or product are incorrect, ambiguous, or incomplete.

This can cause confusion, delay, and additional costs to the project.

Incomplete or over-specification

In this type of risk, requirements are either over or under-detailed. When there is under-specification, the requirements are unclear, and the product or project suffers due to a lack of detail.

On the other hand, when over-specification occurs, the requirements are too specific, causing the project or product to suffer from unnecessary additional costs.

Scope creep

Scope creep occurs when additional features, functions, or requirements are added to a project that was initially not included in the requirements. This risk can cause the project to become more complex, leading to additional costs and a longer project timeline.

Patents and copyrights

This is not a common type of requirements risk. Patents and copyrights are related to the protection of intellectual property. They have nothing to do with the requirements of a project or product.

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a company purchased equipment at the beginning of 2024 for $650,000. in 2024 and 2025, the company depreciated the asset on a straight-line basis with an estimated service life of eight years and a $10,000 residual value. at the beginning of 2026, due to changes in technology, the company revised the service life to a total of six years (four more years) with zero residual value. what depreciation expense would the company report for the year 2026 on this equipment?

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The revised annual depreciation expense for 2026 and beyond will be $122,500. Therefore, the company will report a depreciation expense of $122,500 for the year 2026 on this equipment.

When a company revises the estimated service life or residual value of an asset, it must adjust the depreciation expense for the remaining years of the asset’s life. In this case, the company purchased equipment for $650,000 at the beginning of 2024 and initially depreciated it on a straight-line basis over 8 years with a $10,000 residual value.

The annual depreciation expense for 2024 and 2025 would have been ($650,000 - $10,000) / 8 = $80,000. The accumulated depreciation at the end of 2025 would have been $80,000 * 2 = $160,000.

At the beginning of 2026, the company revised the estimated service life to a total of 6 years (4 more years) with zero residual value. The net book value of the equipment at the beginning of 2026 would have been $650,000 - $160,000 = $490,000.

The revised annual depreciation expense for 2026 and beyond would be $490,000 / 4 = $122,500. Therefore, the company would report a depreciation expense of $122,500 for the year 2026 on this equipment.

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when an employer hires an employee to enter into contracts on its behalf, this is known as a(n) blank relationship. multiple choice question.

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When an employer hires an employee to enter into contracts on its behalf, this is known as a(n) principal-agent relationship.

The term "principal-agent relationship" is used when an employer employs an individual, the agent, to carry out acts on behalf of the employer. In this case, the employer will usually delegate certain responsibilities to the agent, who will be allowed to sign and execute contracts and agreements on behalf of the employer. For instance, if an employer employed a lawyer to represent the company, the attorney would be considered an agent of the company and would be able to sign contracts on behalf of the company. Therefore, when an employer hires an employee to enter into contracts on its behalf, this is known as a principal-agent relationship. The employee is the agent, and the employer is the principal.

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one of your customers has just made a purchase in the amount of $29,600. you have agreed to payments of $650 per month and will charge a monthly interest rate of 1.5 percent. how many months will it take for the account to be paid off?

Answers

It will take approximately 52 months to pay off the account.

To calculate the number of months it will take to pay off the account, we can use the formula for the present value of an annuity:

PV = PMT x [1 - (1 + r)^(-n)] / r

where PV is the present value of the purchase, PMT is the monthly payment, r is the monthly interest rate, and n is the number of months.

Plugging in the values given:

PV = $29,600

PMT = $650

r = 0.015 (1.5% as a decimal)

Solving for n:

29,600 = 650 x [1 - (1 + 0.015)^(-n)] / 0.015

Multiplying both sides by 0.015 and simplifying:

444 = 1 - (1 + 0.015)^(-n)

1 - 0.015^(n) = 0.9986

Taking the natural logarithm of both sides:

ln(1 - 0.015^(n)) = ln(0.9986)

-0.015^(n) = -0.0014

Taking the natural logarithm again:

n ln(0.015) = ln(0.0014)

n = ln(0.0014) / ln(0.015)

n ≈ 51.8

Therefore, it will take approximately 52 months to pay off the account.

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salesperson betty was at the local coffee shop with some agents from other offices. the subject of commissions came up, and agents began to compare their commission rates. betty should

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When the topic of commissions was brought up, the agents started comparing their commission fees. Betty should warn her pals that this might be against the Sherman Antitrust Act.

A federal law called as the Sherman Antitrust Act of 1890 forbids actions that restrict interstate trade and market competition. Any agreement, plot, or alliance of commercial interests that restricts international or intrastate trade is forbidden. Every "monopolization, attempted monopolies, conspiracy, or combine to monopolize" is prohibited by the Sherman Act, and so is "any contract, combination, or conspiracy in interference with trade." The United States Congress passed the Sherman Antitrust Act in order to outlaw cartels, monopolies, and trusts. Its goals were to regulate intrastate commerce and advance economic fairness and competition. In 1890, it was sponsored and approved by Ohio U.s. Senator Sherman.

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last year, you earned a rate of return of 11.29 percent on your bond investments. during that time, the inflation rate was 4.6 percent. what was your real rate of return? group of answer choices 5.60 percent 6.40 percent 5.30 percent 6.70 percent 5.75 percent

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The real rate of return was b) 6.40 percent.

To calculate the real rate of return, we need to subtract the inflation rate from the rate of return.

Real rate of return = Rate of return - Inflation rate

Real rate of return = 11.29% - 4.6%

Real rate of return = 6.69%

Therefore, the real rate of return was 6.69%. However, this answer is not one of the options given. To choose the closest option, we need to round the answer to the nearest 0.1%.

Rounding to the nearest 0.1%, we get:

Real rate of return = 6.4%

Therefore, the real rate of return was 6.4%, which is closest to the option of 6.40%.

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when are business letters necessary? check all that apply. information requires fact checking. sensitivity is inconsequential. persuasive, well-considered presentation is important. confidentiality is paramount. recipients are located in another country.

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Business letters are necessary when persuasive, well-considered presentation is important and confidentiality is paramount, and recipients are located in another country.

When it comes to professional communication in business, letters are important as they offer a written record of communication that can be stored and referred to in the future. In particular, business letters are an essential way of communicating with clients, customers, and other external organizations.

Persuasive, well-considered presentation is important means business letters allow you to present your ideas or proposals in a structured and persuasive manner, making them more likely to be considered by the recipient.

Confidentiality is paramount means business letters can be used to convey sensitive information, ensuring that only the intended recipient has access to it. Recipients are located in another country means business letters provide a formal method of communication, which is essential when dealing with international contacts.

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a $1,000 face value bond currently has a yield to maturity of 6.69 percent. the bond matures in 3 years and pays interest annually. the coupon rate is 7 percent. what is the current price of this bond? group of answer choices $1,005.26 $949.60 $948.01 $1,010.13 $1,008.18

Answers

The current price of the bond is approximately $949.20, which is closest to the given choice of $949.60. Option B.


Step 1: Identify the given information
- Face value (FV) = $1,000
- Yield to maturity (YTM) = 6.69% = 0.0669
- Time to maturity (T) = 3 years
- Coupon rate = 7% = 0.07
- Coupon payment (CP) = Face value * Coupon rate = $1,000 * 0.07 = $70
Step 2: Calculate the present value of coupon payments
We need to discount each coupon payment to the present:
PV(CP) = [tex]CP / (1 + YTM)^1 + CP / (1 + YTM)^2 + CP / (1 + YTM)^3[/tex]
PV(CP) = [tex]$70 / (1 + 0.0669)^1 + $70 / (1 + 0.0669)^2 + $70 / (1 + 0.0669)^3[/tex]
Step 3: Calculate the present value of face value
[tex]PV(FV) = FV / (1 + YTM)^T\\PV(FV) = $1,000 / (1 + 0.0669)^3[/tex]
Step 4: Calculate the current price of the bond
Current price = PV(CP) + PV(FV)
After performing the calculations, we get:
PV(CP) ≈ $185.60
PV(FV) ≈ $763.60
Current price ≈ $185.60 + $763.60 = $949.20

Option B.

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which of the following private solutions resolving the externality of pollination took place in this scenario? charities moral codes and social sanctions contracts integration of different types of businesses through merger or acquisition keep in mind that sometimes private solutions to externalities are not achieved. for instance, this could occur when an excessive amount of time or money must be spent for parties to reach an agreement. this describes the problem of . continue without saving

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The type of private solution to the externality of appealing music that occurred is c) Integration of different types of businesses.

The proprietor of the jazz club bought the cafe to internalise the good externality of the appealing music performed in the club, which was the private solution to the externality. By combining various kinds of businesses, the proprietor of a jazz club was able to profit from the beneficial effects on the nearby café as well as the increased customer traffic and income brought about by the music performed in the club.

In the given case, charities, moral standards and societal sanctions, contracts, and other private remedies to externalities do not apply. To handle externalities, charities rely on voluntarily made contributions, but this is unimportant in given context. Moral codes and societal sanctions are unwritten laws and customs that motivate people or organisations to behave morally, but this also has no bearing on the situation at hand. Contrary to what is implied in the scenario, contracts contain clear deals between parties to handle externalities.

Complete Question:

Imagine that a cafe enjoys a large increase in customers whenever the jazz club next door features a band playing appealing music because it can be easily heard from the cafe. The jazz club owner decides to purchase the cafe so that he can internalize this positive externality. Which of the following types of private solution to the externality of appealing music has occurred in this case?

a) Charities

b) Moral codes and social sanctions

c) Integration of different types of businesses

d) Contracts

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ohnson company has the following data about customer orders for the month of june: orders received: 5,000 orders total units ordered: 40,000 units total units delivered: 37,800 total orders delivered complete: 4,600 what was johnson's unit fill rate?

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The Johnson Company was able to have a unit fill rate/ fulfillment rate of B. 94.5 percent.

It is given that,

Total Units Ordered: 40,000 units

Total Units Delivered: 37,800

By using the formula,

Total units delivered / Total units of orders received × 100

Now, putting the given information in the formula. We get:

37,800 divided by 40,000 then multiply by 100

[tex] \frac{37800}{40000} \times 100[/tex]

= 94.5%

The percentage of orders that you can fill using your current inventory without experiencing any lost sales, backorders, or stockouts is known as the fill rate or order fulfillment rate. It's a reliable indicator of your capacity to satisfy customer demand and the general efficiency of your e-commerce operations.

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Note that the full question is:

Johnson Company has the following data about customer orders for the month of June:

Orders Received: 5,000 orders

Total Units Ordered: 40,000 units

Total Units Delivered: 37,800

Total Orders Delivered Complete: 4,600

What was Johnson's unit fill rate?

A. 92 percent

B. 94.5 percent

C. 12.5 percent

D. None of these

internal controls are not designed to safeguard assets from group of answer choices natural disasters. employee theft. robbery. unauthorized use.

Answers

Internal controls are put in place by an organization to protect its assets and resources from various risks and threats. However, natural disasters are beyond the control of an organization and cannot be prevented or avoided by internal controls.

While internal controls can help mitigate risks such as employee theft, robbery, unauthorized use, and other intentional or unintentional acts, they cannot prevent the physical destruction of assets caused by natural disasters like earthquakes, hurricanes, or floods. Instead, organizations may need to have contingency plans in place to deal with such events and minimize their impact. It is important for organizations to regularly review and update their internal controls to ensure they address current and emerging risks.

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an individual taxpayer incurred the following transactions during year 3: april 2 sold for a $6,000 gain, shares of stock purchased on may 1, year 1. may 15 sold for a $2,000 gain, land used in the taxpayer's business which was purchased on july 1, year 1. june 3 sold for a $3,000 loss, equipment used in the taxpayer's business which had been purchased on january 2, year 2. july 9 sold for a $4,000 loss shares of stock inherited on february 22, year 3. what will the taxpayer report on the year 3 tax return from these transactions?

Answers

Based on the information provided, here is how the taxpayer would report the transactions on their year 3 tax return:

1- Sale of shares of stock purchased on May 1, Year 1 (April 2, Year 3):

The taxpayer incurred a $6,000 gain from the sale. This gain would be reported as a long-term capital gain on Schedule D of the taxpayer's Form 1040.

2- Sale of land used in the taxpayer's business purchased on July 1, Year 1 (May 15, Year 3):

The taxpayer incurred a $2,000 gain from the sale. This gain would also be reported as a long-term capital gain on Schedule D of the taxpayer's Form 1040.

3- Sale of equipment used in the taxpayer's business purchased on January 2, Year 2 (June 3, Year 3):

The taxpayer incurred a $3,000 loss from the sale. This loss would be reported as a short-term capital loss on Schedule D of the taxpayer's Form 1040.

4- Sale of shares of stock inherited on February 22, Year 3 (July 9, Year 3):

The taxpayer incurred a $4,000 loss from the sale. This loss would also be reported as a short-term capital loss on Schedule D of the taxpayer's Form 1040.

The taxpayer would report the total of all capital gains and losses on Schedule D of their Form 1040, which would then flow to the appropriate lines on the tax return. It's important to note that the tax treatment of capital gains and losses can be complex and subject to various rules and limitations, so it's recommended to consult a qualified tax professional for accurate and comprehensive tax advice.

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negotiable instruments: a.are generally also gold certificates. b.make business deals more difficult. c.are a substitute for cash. d.are part of federal regulatory controls.

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Negotiable instruments option (c) are a substitute for cash

Negotiable instruments are financial documents that can be transferred from one person to another, and they represent a promise to pay a certain amount of money. They are not generally gold certificates, as they do not necessarily represent a physical commodity.

Negotiable instruments can make business deals easier because they provide a flexible way to exchange funds without requiring the use of cash. For example, a business can use a check to pay a supplier, rather than carrying around large amounts of cash.

Negotiable instruments are not part of federal regulatory controls, but they are subject to certain laws and regulations. For instance, the Uniform Commercial Code (UCC) provides rules for negotiable instruments, including checks, promissory notes, and bills of exchange.

Therefore, the correct option is (c) are a substitute for cash

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which best explains how the invention of money affected the barter system? responses had no effect on the barter system had no effect on the barter system supplemented the barter system by providing a nonperishable medium of exchange supplemented the barter system by providing a nonperishable medium of exchange completely replaced the barter system with a free-market system completely replaced the barter system with a free-market system drastically reduced the value of goods used in the barter system

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The option that best explains how the invention of money affected the barter system is which states that the invention of money supplemented the barter system by providing a nonperishable medium of exchange. (option a).

The barter system was one of the earliest forms of trade in human history, where goods and services were exchanged without the use of money.

Money allowed people to trade more efficiently because it eliminated the need for a double coincidence of wants. In a barter system, for a trade to occur, both parties have to want what the other has. This can be difficult to achieve, as it requires finding someone who has what you want and wants what you have.

In conclusion, the invention of money did not replace the barter system but rather supplemented it.  While the barter system is still used today in some parts of the world, money is the primary medium of exchange in most modern economies.

Hence the correct option is (a).

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Complete Question:

Which of the following best explains how the invention of money affected the barter system?

A. The invention of money supplemented the barter system by providing a nonperishable medium of exchange

B. The invention of money had no effect on the barter system

C. The invention of money completely replaced the barter system with a free-market system

D. The invention of money drastically reduced the value of goods used in the barter system

which rule explains variation in employee conduct through generalizing on the percentage of employees in any given organization who will seek to do right versus how many will be indifferent? question 10 options: 10-30-40-20 20-30-30-20 40-10-10-40 10-40-40-10 80-20

Answers

The rule that explains variation in employee conduct through generalizing on the percentage of employees in any given organization who will seek to do right versus how many will be indifferent is the "20-30-50 rule."

This rule suggests that in any given organization, about 20% of employees will consistently do the right thing, 30% will be indifferent and will do what is required of them, and 50% will be influenced by the prevailing culture and the actions of those around them.

This rule helps organizations to understand that creating a positive culture and promoting ethical behavior can have a significant impact on the behavior of the majority of employees.

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true or false? a hospital has decided to add more services to its health and wellness program. in this case it has undertaken a market modification program.

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In this case, the statement is false. Market modification refers to the process of changing a product's design, packaging, or promotion to better meet the needs of a particular target market.

Adding more services to a health and wellness program does not necessarily involve modifying the market. It may involve product modification or expansion of the product line, but it does not necessarily involve modifying the market. The market modification strategy usually requires more extensive research to identify a new target market, adjust the product to suit the needs of the target market, and develop new marketing strategies to promote the product to the target market.

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if a firm faces a downward-sloping demand curve a. it can control both price and quantity sold. b. it will always make a profit. c. it must reduce its price to sell more units. d. the demand for its product must be inelastic.

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If a firm faces a downward-sloping demand curve:

c. It must reduce its price to sell more units.

A downward-sloping demand curve indicates that as the price of the product increases, the quantity demanded of the product decreases. This means that the firm must reduce its price to increase the quantity demanded of its product.

However, the firm does not have complete control over the price it charges. The price will also depend on factors such as the production cost, competitor pricing, and overall market demand. Therefore, the firm needs to carefully balance the price it charges with the demand for its product to maximize profits.

Furthermore, whether the firm makes a profit or not will depend on the intersection of its demand and cost curves. If the price charged is too low, the firm may not be able to cover its costs and will make a loss. If the price charged is too high, the firm may not be able to sell enough units to cover its costs and will also make a loss. Therefore, the firm needs to find the optimal price that maximizes its profits.

The elasticity of demand will also affect the firm's ability to control the price it charges. If the demand for the product is elastic, a small increase in price will cause a large decrease in quantity demanded, and the firm may not be able to increase its revenue by raising the price. If the demand for the product is inelastic, the firm may be able to raise its prices without a significant decrease in quantity demanded and increase its revenue.

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Research Your Comic Strip
When you are thinking about which careers you would like to pursue, it can be helpful to find out what a typical day in a certain job is like. For this assignment, you will create a “day in the life” comic strip that shows the job duties of someone who has a job in operations management.

“But I’ve never worked in any of those jobs,” you might say. You can research one of those jobs in one or more ways:

Think about what you learned in the unit.
Use some of the research you completed in Activity 1, if you completed that activity.
Interview a friend, family member, or neighbor who has had a job in some type of operations management.
Use different browsers and search engines to find information. For example, you might use search terms such as “quality control manager day in the life” or “purchasing agent everyday tasks.”
You will probably have to use more than one research method to get the information you need.

Step 2: Rough Out Your Script
Most comic book artists create a script before they begin drawing. Here are some steps to help you.

Think about what you have learned.
Put the tasks in time order: What happens early in the workday, in the middle of the day, and before the person leaves work?
Will your comic include dialogue? That means words spoken between people.
What terminology does someone in this job use? Decide whether you will use it in your comic.
What are the most important things you want your reader to know about this job?
Step 3: Draw Your Comic
Now that you know what information you want to include and in what order, start drawing your comic. Don’t worry about being a great artist. You can use stick figures if you want to. Just make sure a reader can understand the sequence of events and learn about this career path.

You can create your comic by folding a piece of paper into sections (one section per panel) or by using illustration software or presentation software (one screen or one slide per panel). If you draw your comic, take a picture of the final comic and submit the image.

Submit your comic to the dropbox.

Answers

Answer:

"Comics" is used as a non-count noun, and thus is used with the singular form of a verb, in the way the words "politics" or "economics" are, to refer to the medium, so that one refers to the "comics industry" rather than the "comic industry".
"Comic" as an adjective also has the meaning of "funny", or as pertaining to comedians, which can cause confusion and is usually avoided in most cases ("comic strip" being a well-entrenched exception).

Explanation:

Comic strip conversations are a technique developed by Carol Gray to help people with autism develop greater social understanding. Comic strip conversations provide visual representations of the different levels of communication that take place in a conversation, using symbols, stick figure drawings and colour.


Comic books also provide authentic material to depict how grammar is used in conversations as opposed to sentences without background. They are funny and will engage the students. It also promotes learning different cultures as comic books are used across the world which will further boost vocabulary.


So let's focus first on the five features that are probably the most important: image style, words and word containers, word-image relationships, undrawn inferences, and layout. You can spend hours exploring them, but here's a brief introduction to each.

rodriguez company pays $389,610 for real estate with land, land improvements, and a building. land is appraised at $207,000; land improvements are appraised at $46,000; and a building is appraised at $207,000. required: 1. allocate the total cost among the three assets. 2. prepare the journal entry to record the purchase.

Answers

The allocation of total cost among the three assets is Land = $175,324.50, Land Improvements = $38,961, and Building = $175,324.50.

The journal entry will include Dr Land $175,324.50, Dr Land Improvements $38,961, Dr Building $175,324.50, and Cr. Cash $389,610.

To allocate the total cost among the three assets, follow these steps:

1. Determine the total appraised value of all assets:

Land ($207,000) + Land Improvements ($46,000) + Building ($207,000) = $460,000

2. Calculate the allocation percentages for each asset:

Land (207,000/460,000) = 45%,

Land Improvements (46,000/460,000) = 10%, and

Building (207,000/460,000) = 45%.

3. Allocate the purchase price of $389,610 based on the allocation percentages:

Land (389,610 x 0.45) = $175,324.50,

Land Improvements (389,610 x 0.10) = $38,961, and

Building (389,610 x 0.45) = $175,324.50.

To record the journal entry for the purchase:

The three assets with their respective allocated costs are debited and cash is credited. Hence, the journal entry is:

1. Debit Land for $175,324.50

2. Debit Land Improvements for $38,961

3. Debit Building for $175,324.50

4. Credit Cash for $389,610 (the total purchase price)

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after working for the company for three years, roberto now qualifies to receive an annual bonus if he achieves the performance goals he has been given. this bonus is an example of blank . multiple choice question.

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After working for the company for three years, roberto now qualifies to receive an annual bonus if he achieves the performance goals he has been given. this bonus is  is "performance-based pay."

Performance-based pay is a type of compensation system that rewards employees based on their performance. This type of pay is often used in sales positions, where commission-based compensation is common.

However, it can also be used in other types of jobs, such as managerial positions, where employees are rewarded for achieving specific goals or targets.

In the given scenario, Roberto is eligible to receive an annual bonus if he achieves the performance goals he has been given, which makes this bonus an example of performance-based pay.

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Complete Question

after working for the company for three years, roberto now qualifies to receive an annual bonus if he achieves the performance goals he has been given. this bonus is an example of blank

gpr, incorporated, has an inventory turnover of 18.96 times, a payables turnover of 11.19 times, and a receivables turnover of 8.26 times. what is the length of the company's cash cycle? assume 365 days per year.

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The length of GPR Incorporated's cash cycle is approximately 30.8 days.

To calculate the length of the company's cash cycle, we first need to find the inventory, payables, and receivables periods using the given turnover ratios.

1. Inventory period = 365 / Inventory turnover = 365 / 18.96 ≈ 19.25 days
2. Payables period = 365 / Payables turnover = 365 / 11.19 ≈ 32.64 days
3. Receivables period = 365 / Receivables turnover = 365 / 8.26 ≈ 44.19 days

Cash cycle = (Inventory period + Receivables period) - Payables period
Cash cycle = (19.25 + 44.19) - 32.64 ≈ 30.8 days

The length of GPR Incorporated's cash cycle is approximately 30.8 days.

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brown cosigned royal's $50,000 note to state bank. if royal is later adjudicated mentally incompetent, what would be brown's liability on the note?

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If the note is a recourse loan, even if Royal is subsequently found to be mentally incompetent, Brown would still be entirely responsible for paying the $50,000 note to the bank.

As a result, Brown would be responsible for paying payments on the loan until it is paid off in full if Royal were unable to do so because of his mental incapacity.

The arrangement Brown made with the bank keeps him completely accountable in the event that Royal defaults, so even if Royal is mentally incompetent, Brown is still legally obligated to pay back the debt.

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berry company purchases a patent on january 1, 2024, for $45,000 and the patent has an expected useful life of five years with no residual value. assuming berry company uses the straight-line method, what is the carrying value of the patent on december 31, 2025?

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The carrying value of the patent on December 31, 2025, is $27,000.

Using the straight-line method, we can allocate the cost of the patent evenly over its expected useful life.

The annual depreciation expense for the patent is calculated as:

Depreciation Expense = (Cost of Patent - Residual Value) / Useful Life

In this case, the patent has no residual value, so the annual depreciation expense is:

Depreciation Expense = $45,000 / 5 years = $9,000 per year

To find the carrying value of the patent on December 31, 2025, we need to subtract the accumulated depreciation from the cost of the patent:

Accumulated Depreciation = Depreciation Expense x Number of Years

The number of years from January 1, 2024, to December 31, 2025, is 2 years.

Accumulated Depreciation = $9,000 x 2 years = $18,000

Carrying Value of Patent = Cost of Patent - Accumulated Depreciation

Carrying Value of Patent = $45,000 - $18,000 = $27,000

Therefore, the carrying value of the patent on December 31, 2025, is $27,000.

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subaru and gm have been working together on the design for the new chevy borrego, a sporty combination of a truck and a car. subaru allowed chevy to use its all-wheel drive platform to build the vehicle, and the two car manufacturers worked together to develop the car's turbo-charged, four-cylinder engine. in this example, subaru and gm working together is an example of a:

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Subaru and GM's collaboration on the Chevy Borrego, a sporty truck-car combination, is an example of a strategic alliance. Option D is corect.

A strategic alliance is a partnership between two or more companies that come together to achieve a specific goal or set of goals. In this case, Subaru and GM collaborated to design and develop the Chevy Borrego, with Subaru providing its all-wheel drive platform and working with GM to create the car's turbocharged, four-cylinder engine.

This type of collaboration allows each company to leverage their strengths and resources to achieve a common objective, in this case, to produce a high-performance vehicle that meets the needs and desires of customers. Strategic alliances can provide numerous benefits, including reduced costs, increased market share, and improved competitiveness in the global marketplace.

D is the correct option.

The complete question:

Subaru and GM have been working together on the design for the new chevy borrego, a sporty combination of a truck and a car. Subaru allowed chevy to use its all-wheel drive platform to build the vehicle, and the two car manufacturers worked together to develop the car's turbo-charged, four-cylinder engine. in this example, subaru and gm working together is an example of a:

a. A co-marketing effortb. A global development strategyc. A shared capital contractd. A strategic alliance

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7th generation utilizes personal development plans in managing its employees. approximately half of the plan entails:

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The exact details of 7th Generation's personal development plans are not provided in the question, but based on the information given, we can assume that the plans focus on developing the skills and abilities of the employees to help them grow and improve in their roles.

The fact that approximately half of the plan is dedicated to this suggests that 7th Generation places a significant emphasis on employee development and recognizes the importance of investing in their employees. This could include training programs, mentoring or coaching, job shadowing, or other forms of professional development.

By providing employees with opportunities to learn and grow, 7th Generation can improve employee satisfaction and retention, as well as enhance the skills and knowledge of its workforce. This can ultimately benefit the company as a whole by increasing productivity, improving customer satisfaction, and fostering a culture of continuous improvement.

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the limitation that a consumer's total expenditure on goods and services purchased cannot exceed the income available is referred to as

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The limitation that a consumer's total expenditure on goods and services purchased cannot exceed the income available is referred to as a budget constraint. A budget constraint represents a limit to how much individuals can consume while still being able to pay their bills.

Budget constraints exist because individuals have limited resources at their disposal. This means that they cannot purchase all the goods and services they want because they simply do not have enough money to do so.The budget constraint can be expressed graphically as a line in a two-dimensional space. The vertical axis represents the quantity of one good that an individual wants to purchase, while the horizontal axis represents the quantity of another good.In order to stay within their budget, individuals must make trade-offs between the goods and services they can afford to purchase.

They must choose which goods and services to buy, and how much of each they want to purchase. This requires individuals to think about their preferences and the opportunity cost of each choice they make.The budget constraint has important implications for firms as well. Firms must be aware of their customers' budgets when pricing their goods and services. If a firm prices its products too high, customers will be unable to purchase them.

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from an initial long-run equilibrium, if aggregate demand grows slower than long-run and short-run aggregate supply, then the proper fiscal policy is to group of answer choices increase lump-sum taxes. increase government purchases. increase the money supply. decrease government purchases and tax rates by the same amount.

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If aggregate demand grows slower than long-run and short-run aggregate supply, then the economy is experiencing a recessionary gap. The correct answer is option : 2.

In this situation, the proper fiscal policy is to increase government purchases or decrease taxes, which would increase aggregate demand and shift it to the right. The increase in government purchases would directly increase aggregate demand, while the decrease in taxes would leave individuals with more disposable income, increasing their consumption and investment expenditures. Increasing lump-sum taxes would have the opposite effect by reducing disposable income and decreasing consumption and investment expenditures. Option: 2 is correct.

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--The complete question is, from an initial long-run equilibrium, if aggregate demand grows slower than long-run and short-run aggregate supply, then the proper fiscal policy is to

increase lump-sum taxes. increase government purchases. increase the money supply.decrease government purchases and tax rates by the same amount.
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a company that develops artificial flavorings for candy manufacturers uses research to refine its market offerings. its studies require participants to make repeated comparisons between pairs of products; in each pair, the products differ on the key attributes of flavoring strength and price. the research approach of this firm is:

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The research approach used by the company is called conjoint analysis.

This approach which is used to understand how people make choices among different products or the services based on the multiple attributes such as price, flavor, size, etc. In this case, the company is using repeated comparisons of product pairs with varying attributes of flavoring strength and the price to determine consumer preferences and optimize their product offerings accordingly.

Conjoint analysis helps businesses identify the most important attributes to consumers and the trade-offs they are willing to make, enabling them to develop more effective marketing strategies and product designs.

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