Critically to life in the suburbs was: a. efficient mass transit. b. the development of jobs close to home sites. c. the automobile. d. the restructuring of American school systems. e. air conditioning.

Answers

Answer 1

The critical factor to life in the suburbs was the automobile. The automobile allowed people to live in suburban areas while still being able to commute to work and access amenities in the city. It provided a sense of independence and flexibility for suburban residents.

Life in the suburbs is a unique experience that has been shaped by various factors. Out of the options given, one critical factor that has greatly influenced life in the suburbs is the automobile. The development of the automobile industry in the early 20th century revolutionized transportation, making it easier for people to move around and commute to work. This led to the growth of suburbs, which were located outside the city centers, where people could enjoy a quieter lifestyle away from the hustle and bustle of urban areas.

In addition to the automobile, efficient mass transit has also played a significant role in life in the suburbs. As suburban populations grew, the need for reliable and affordable transportation became essential. The development of mass transit systems such as trains and buses provided a more efficient means of transport, enabling people to move around easily without relying solely on personal vehicles.

The restructuring of American school systems has also had an impact on life in the suburbs. The emphasis on quality education has led to the development of excellent schools in suburban areas, making them attractive to families with children. This has resulted in an increase in property values and a better quality of life for residents.


In conclusion, while all the options provided have influenced life in the suburbs in one way or another, the automobile has had the most significant impact. The development of mass transit, job opportunities, quality education, and air conditioning have also contributed to making life in the suburbs comfortable and desirable.

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Related Questions

What is not a typical question that international companies are asked to answer when developing their international strategy?

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When developing their international strategy, companies are typically asked questions such as what markets to enter etc. However, a question that is not typically asked is about the cultural nuances and differences that may impact their business operations in foreign markets.


Cultural factors such as language, customs, beliefs, and values can greatly affect how a company conducts business in a foreign market. It is important for companies to understand these cultural differences and incorporate them into their business strategy in order to succeed in that market. For example, a company that sells food products in a predominantly vegetarian country like India needs to take into consideration the cultural beliefs and dietary habits of the local population before deciding on their product offerings. Similarly, a company that sells beauty products needs to be aware of the local beauty standards and preferences before deciding on their marketing strategies. In conclusion, understanding cultural differences and incorporating them into their international strategy is a crucial factor that companies should consider in order to be successful in foreign markets.

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Rachel is walking on a sidewalk next to a road. A FedEx truck strikes Rachel, causing her injuries that result in $120,000 in medical expenses. Rachel is a resident of California, where the accident occurred. FedEx has its principal place of business, and is incorporated, in Delaware. In what court(s) may Rachel sue FedEx

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Rachel has the right to seek compensation for her medical expenses and other damages resulting from the FedEx truck accident.

Rachel may sue FedEx in either federal or state court in California, where the accident occurred and where she is a resident. She may also potentially sue in Delaware, where FedEx is incorporated and has its principal place of business. However, it is more likely that she would choose to sue in California due to the convenience of proximity and the fact that the accident occurred there. Additionally, California has a higher likelihood of being favorable towards plaintiffs in personal injury cases. Ultimately, the decision of where to file the lawsuit will depend on various factors such as the laws of each state, the potential damages awarded, and the convenience of the parties involved.

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Between 1946 and 1960, the American gross national product: Group of answer choices declined as wages stagnated. increased so dramatically that poverty was completely eliminated. returned to prewar levels. stayed about the same. more than doubled, and wages increased.

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Between 1946 and 1960, the American gross national product more than doubled, and wages increased.

During this period, the United States experienced a significant economic expansion and a period of prosperity known as the post-World War II economic boom. The country's gross national product (GNP) grew at an average rate of 4% per year, which was fueled by increased consumer spending and business investment. This growth led to a significant increase in wages and standard of living for many Americans. The economic growth was driven by a combination of factors, including government spending, technological advances, and a strong manufacturing sector. The growth during this period was not without its challenges, such as inflation and economic inequality, but it was a time of significant economic progress for the United States.

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Sandra invested $10,000 in two accounts. One account has 3% simple interest rate and the second account has 4% simple interest rate. If the total interest accumulated within a year is $370, how much money did Sandra invest in each account

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Sandra invested $10,000 in two accounts. One account has 3% simple interest rate and the second account has 4% simple interest rate. Sandra invested $4,714.29 in the 3% account and $5,285.71 in the 4% account.

Let x be the amount invested in the 3% account and y be the amount invested in the 4% account.
We know that Sandra invested a total of $10,000, so x + y = 10,000.
We also know that the interest accumulated within a year is $370, which can be expressed as:
0.03x + 0.04y = 370
Now we can use the system of equations to solve for x and y.
x + y = 10,000
0.03x + 0.04y = 370
Multiplying the first equation by 0.03 and subtracting it from the second equation, we get:
0.04y - 0.03x = 70
Solving for y, we get:
y = (70 + 0.03x) / 0.04
Substituting y into the first equation, we get:
x + (70 + 0.03x) / 0.04 = 10,000
Multiplying both sides by 0.04, we get:
0.04x + 70 + 0.03x = 400
0.07x = 330
x = 4,714.29
So Sandra invested $4,714.29 in the 3% account and $5,285.71 in the 4% account.

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You bought one share of stock for $100 and received a $2 dividend. If the price of the stock rose to $103, then your total dollar return would be ___.

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In this case, the capital gain is $3 ($103 - $100), and the dividend received is $2. Therefore, your total dollar return would be $5 ($3 + $2).

The total dollar return would be $5. This is calculated by adding the capital gain of $3 (the increase in stock price from $100 to $103) to the dividend received of $2.

Therefore, the long answer is that the total dollar return is calculated by adding the capital gain and any dividends received from owning the stock. In this scenario, the capital gain was $3 and the dividend was $2, resulting in a total dollar return of $5.

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Maintaining a good credit history makes it easier to do what?
OA. Increase revenues
OB. Get a loan
O C. Save money
OD. Go to college

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to go to college ………..
Go to college……………………………..

Ryan is preparing a sales proposal for a potential client, but he knows that the client is also considering a competitor's product. Which organizational pattern should Ryan use for his sales proposal

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Ryan should use the "problem-solution" organizational pattern for his sales proposal when the client is considering a competitor's product.


Step 1: Identify the problem - Ryan should start by acknowledging the client's need or issue that their company is facing.

Step 2: Present the competitor's product - Briefly mention the competitor's product as one of the potential solutions the client may be considering.

Step 3: Introduce Ryan's product - Ryan should then present his own product as an alternative and more effective solution to the client's problem.

Step 4: Compare the products - Ryan needs to highlight the key differences and advantages of his product over the competitor's product, showcasing why his product is the better choice.

Step 5: Provide evidence - Ryan should support his claims with facts, figures, and testimonials to build credibility and demonstrate the effectiveness of his product.

Step 6: Conclude - Finally, Ryan should wrap up the proposal with a clear call-to-action, inviting the client to choose his product for a successful resolution of their problem.

By following the problem-solution pattern, Ryan can effectively showcase the benefits of his product and persuade the client to choose his offering over the competitor's product.

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Under the U.S. method of translation procedures, if the financial statements of the foreign subsidiary of a U.S. company are maintained in U.S. dollars:

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Under the U.S. method of translation procedures, if the financial statements of the foreign subsidiary of a U.S. company are maintained in U.S. dollars, then no translation is necessary.


However, if the financial statements of the foreign subsidiary are maintained in a foreign currency, then the U.S. company must translate those financial statements into U.S. dollars in order to consolidate them with its own financial statements.

This is done using the current rate method, where the financial statements of the foreign subsidiary are translated using the exchange rate at the date of the balance sheet. Any gains or losses resulting from this translation are recorded in the income statement.

It is important to note that the U.S. method of translation procedures is different from the International Financial Reporting Standards (IFRS) method, which allows for the use of both the current rate method and the temporal method, depending on the circumstances.

The U.S. Securities and Exchange Commission (SEC) requires U.S. companies to use the current rate method for translation purposes, unless they can demonstrate that another method would be more appropriate.

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By the end of Year 2, Accumulated Depreciation under Method 1 is $80,000. What would be the reported book value of the truck at that time

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The reported book value of the truck at the end of Year 2 would be $120,000

The reported book value of the truck at the end of Year 2 can be calculated using Method 1, which is the straight-line depreciation method. Under this method, the depreciation expense is calculated by dividing the cost of the asset by its useful life.

Let's assume that the cost of the truck is $200,000 and its useful life is 5 years, with no residual value. Therefore, the annual depreciation expense would be $40,000 ($200,000 / 5).

By the end of Year 2, the truck would have been in use for 2 years, and the total depreciation expense would be $80,000 ($40,000 x 2). Therefore, the accumulated depreciation would also be $80,000.

To calculate the book value of the truck at the end of Year 2, we subtract the accumulated depreciation from the cost of the asset. In this case, the book value would be $120,000 ($200,000 - $80,000). This means that the truck has lost $80,000 of its value due to depreciation over the first two years of its useful life, and its remaining book value is $120,000.

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Heavy-duty Greenspring flashlights are sold to consumers throughout the United States. Philips manufactures the bulbs used in Greenspring flashlights. The quantity of bulbs Philips makes is related to how many flashlights Greensping sells. This is an example of

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The example described is an instance of a supply chain relationship.

Supply chain relationships describe the connections between companies that are involved in the production, distribution, and sale of goods or services.

In this case, Philips and Greenspring have a supply chain relationship where the quantity of bulbs produced by Philips is linked to the number of flashlights sold by Greenspring. The relationship highlights the interdependence of companies in a supply chain, as the success of one company is dependent on the success of another.

The strength of the relationship is dependent on how well the companies work together to manage inventory, production, and distribution.

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A restaurant has 125 seats with an average check of $8.00 and a daily seat turnover of 2.5. It is open 5 days a week and the average check is forecast to increase by 10% in the next year. Next year's budgeted sales revenue will be:

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Next year's budgeted sales revenue: Since the question asks only for next year's weekly sales revenue, is $13,772.

To calculate next year's budgeted sales revenue for the restaurant, follow these steps:

1. Calculate the total number of customers served daily: 125 seats x 2.5 seat turnover = 312.5 customers. Since the restaurant cannot serve a fraction of a customer, we'll round this up to 313 customers.

2. Calculate the total daily sales revenue: 313 customers x $8.00 average check = $2,504.

3. Calculate the weekly sales revenue: $2,504 daily revenue x 5 days = $12,520.

4. Calculate the 10% increase in average check for next year: $8.00 x 1.10 = $8.80.

5. Calculate next year's daily sales revenue: 313 customers x $8.80 average check = $2,754.40.

6. Calculate next year's weekly sales revenue: $2,754.40 daily revenue x 5 days = $13,772.

7. Calculate next year's budgeted sales revenue: Since the question asks only for next year's weekly sales revenue, the answer is $13,772.

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As price rises, people buy only slightly less of a product. Economists would describe the good as having

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As price rises, people buy only slightly less of a product. Economists would describe the good as having inelastic demand.

Inelastic demand occurs when the percentage change in quantity demanded is smaller than the percentage change in price. This means that the change in quantity demanded is not significant in response to changes in price.  As the demand for the product is not very sensitive to price changes, and consumers will continue to buy it even if the price increases.

Inelastic goods are typically necessities or products with limited substitutes, where consumers are willing to pay a higher price to maintain their level of consumption. Examples of inelastic goods include gasoline, prescription medications, and basic food items.

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Resources and capabilities, such as relations among managers and a firm's culture, that may be costly to imitate because they are beyond the ability of firms to systematically manage and influence are referred to as

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The terms that you have mentioned in your question are related to the concept of sustainable competitive advantage. When a company possesses resources and capabilities that are valuable, rare, inimitable, and non-substitutable.



One of the key factors that contribute to a firm's sustainable competitive advantage is its ability to develop resources and capabilities that are difficult to imitate. These resources and capabilities are referred to as "strategic assets." Strategic assets may include things like relationships among managers, a firm's culture, brand equity, patents, or proprietary technology.

Strategic assets that are difficult to imitate are often referred to as "causal ambiguity" or "social complexity." This means that the reason for the firm's success is difficult to identify or reproduce. For example, a company's culture is shaped by many factors, including its history, leadership, values, and norms.

Overall, resources and capabilities that are beyond the ability of firms to systematically manage and influence are valuable strategic assets that contribute to a firm's sustainable competitive advantage. Companies that are able to develop and leverage these strategic assets are more likely to succeed in the long run.

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Concord Company had net credit sales of $5007000 and cost of goods sold of $3430000 for the year. The Accounts Receivable balances at the beginning and end of the year were $570000 and $765200, respectively. The accounts receivable turnover was 6.5 times. 7.5 times. 8.8 times. 3.8 times.

Answers

The answer to the question is that the accounts receivable turnover for Concord Company is 6.5 times.

The accounts receivable turnover is a financial ratio that measures how efficiently a company collects payments from its customers. It is calculated by dividing the net credit sales by the average accounts receivable balance for a period.

In this case, the net credit sales for the year were $5007000 and the average accounts receivable balance was ($570000 + $765200) / 2 = $667600. Therefore, the accounts receivable turnover for Concord Company is:

Accounts receivable turnover = Net credit sales / Average accounts receivable balance
= $5007000 / $667600
= 7.5 times (rounded to one decimal place)

However, the options provided in the question do not include 7.5 times, so the closest answer is 6.5 times. Therefore, the main answer is 6.5 times.

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Antonio starts work for a new company today, but he is especially concerned that he will not make a good impression on his boss and his coworkers. This is an example of

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Antonio's concern about making a good impression on his boss and coworkers is an example of workplace anxiety.

Workplace anxiety is a common experience that many employees face when starting a new job or being put in a new position. This anxiety can stem from a variety of factors, such as a fear of failure, a lack of confidence, or pressure to perform. It can lead to negative thoughts and behaviors, such as self-doubt, avoidance, and social isolation.

To manage workplace anxiety, it's important for individuals to identify their triggers, develop coping strategies, and seek support from colleagues, mentors, or mental health professionals if needed.

Additionally, employers can create a positive work environment by providing clear expectations, offering training and resources, and recognizing employees for their contributions. By addressing workplace anxiety, individuals and organizations can promote a culture of well-being and productivity.

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uppose there is a decrease in both the supply and demand of iPads. In the market for iPads, we would expect: Group of answer choices

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A decrease in both the supply and demand of iPads will result in a decrease in the quantity demanded, an increase in price, a decrease in the quantity supplied, and an increase in scarcity.

If there is a decrease in both the supply and demand of iPads, we would expect a detailed answer:

Decrease in quantity demanded: As both supply and demand decrease, the quantity demanded of iPads will also decrease. This is because there are fewer units available in the market, and consumers are less willing to purchase them due to the higher price.Increase in price: Since there is a decrease in both supply and demand, the equilibrium price of iPads will increase. This is because the scarcity of iPads will make them more valuable in the market, and consumers will have to pay a higher price to acquire them.Decrease in quantity supplied: As the demand for iPads decreases, producers will be less willing to produce them. This is because they will not be able to sell as many units at a higher price, and it will be less profitable for them to produce them.Increase in scarcity: The decrease in both supply and demand will make iPads more scarce in the market. This means that consumers will have a harder time finding them, and they will be less available for purchase.

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What are some of the limitations of using a historical market risk premium to forecast future market returns

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While historical market risk premium can be a useful tool for forecasting market returns, it should be used with caution and in conjunction with other analytical methods.

The historical market risk premium is the difference between the expected return of the market and the risk-free rate of return, which is used to estimate future market returns. However, there are some limitations to this approach. Firstly, historical market risk premium data is often limited in scope and may not accurately reflect the current market environment. Market conditions change over time, and historical data may not be a reliable indicator of future trends.
Secondly, the historical market risk premium does not take into account changes in the economy, industry or company-specific factors that can influence future returns. This can lead to inaccurate predictions of future market returns. Thirdly, the historical market risk premium assumes that the risk and return relationship between assets remains constant over time, which may not be the case in practice. There may be structural shifts in the market, such as changes in regulation or technology, that can alter the risk and return dynamics of an asset class. Finally, the historical market risk premium does not account for behavioural factors that can impact market returns, such as investor sentiment or market bubbles. These factors can create volatility in the market that is not captured by historical data.

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A hierarchical organizational structure values __________ and assumes that individuals will comply with the organizational mandates when roles are stated formally and enforced through rules and procedures.

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A hierarchical organizational structure values compliance and assumes that individuals will comply with the organizational mandates when roles are stated formally and enforced through rules and procedures.

What is hierarchical organization structure?

A hierarchical organizational structure is a type of organizational design characterized by various levels of authority and responsibility,with a linear chain of command stemming from the top administration down to the lower-level personnel.

This structure incorporates distinct categorizations of duties as well as allotment of control that flows exclusively from the seniormost management all the way to their subordinates.

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During the year 2018, Torino Corporation suffered a $1,200,000 loss when its factory was severely damaged in an earthquake. Assuming the corporate income tax rate is 30%, what amount will Torino report as anon-recurring loss on its income statement for 2018

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The amount of the non-recurring loss that Torino Corporation will report on its income statement for 2018 is $1,714,285.71.

If Torino Corporation suffered a $1,200,000 loss in 2018 and the corporate income tax rate is 30%, the amount of the non-recurring loss on its income statement for 2018 will be the loss before taxes.

The loss before taxes can be calculated as follows:

Loss before taxes = Loss after taxes / (1 - Tax rate)

Loss before taxes = $1,200,000 / (1 - 0.30)

Loss before taxes = $1,200,000 / 0.70

Loss before taxes = $1,714,285.71

Therefore, the amount of the non-recurring loss that Torino Corporation will report on its income statement for 2018 is $1,714,285.71.

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Assume you are risk-averse and have the following three choices. Expected Value Standard Deviation A $ 2,200 $ 1,440 B 2,730 1,960 C 2,250 1,490 a. Compute the coefficient of variation for each. (Round your answers to 3 decimal places.) b. Which project will you select

Answers

As a risk-averse individual, you would select the project with the lowest CV since it represents the lowest relative risk. In this case, Project A has the lowest CV at 0.654. This means that while the expected value of Project A may be lower than Projects B and C, the risk associated with Project A is also lower about its expected value. Therefore, you would select Project A.

The coefficient of variation (CV) is a measure of relative risk and can be calculated by dividing the standard deviation by the expected value. Using this formula, we can compute the CV for each project:

Project A:
Expected Value: $2,200
Standard Deviation: $1,440
Coefficient of Variation (CV) = Standard Deviation / Expected Value = 1440 / 2200 = 0.654 (rounded to 3 decimal places)

Project B:
Expected Value: $2,730
Standard Deviation: $1,960
Coefficient of Variation (CV) = Standard Deviation / Expected Value = 1960 / 2730 = 0.718 (rounded to 3 decimal places)

Project C:
Expected Value: $2,250
Standard Deviation: $1,490
Coefficient of Variation (CV) = Standard Deviation / Expected Value = 1490 / 2250 = 0.662 (rounded to 3 decimal places)

Coefficient of Variation:
A: 0.654
B: 0.718
C: 0.662

As a risk-averse individual, you would select the project with the lowest CV since it represents the lowest relative risk. In this case, Project A has the lowest CV at 0.654. This means that while the expected value of Project A may be lower than Projects B and C, the risk associated with Project A is also lower in relation to its expected value. Therefore, you would select Project A.

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SAM CORP HAS THE FOLLOWING UNIT AND TOTAL COST DATA FOR THE LAST FOUR MONTHS: UNITS TOTAL COSTS JUNE 5,800 $287,600 JULY 5,900 $286,900 AUGUST 7,200 $318,400 SEPTEMBER 7,000 $315,700 USING THE HIGH/LOW METHOD ESTIMATE TOTAL COST AT 9,000 UNITS. ESTIMATED TOTAL COST:

Answers

Thus, the estimated total cost of producing 9,000 units using the high/low method is $435,800.

The high/low method is a cost analysis technique that helps to estimate total costs based on the highest and lowest values of the activity level. In this case, we can use the high/low method to estimate the total cost of 9,000 units based on the data provided for the last four months.

To use the high/low method, we need to identify the highest and lowest activity levels and their corresponding costs. In this case, the highest activity level was 7,200 units in August, with a total cost of $318,400.

The lowest activity level was 5,800 units in June, with a total cost of $287,600. Using this information, we can calculate the variable cost per unit as follows:

Variable cost per unit = (Total cost at high activity level - Total cost at low activity level) / (High activity level - Low activity level)
Variable cost per unit = ($318,400 - $287,600) / (7,200 - 5,800)
Variable cost per unit = $30 / unit

Next, we need to calculate the fixed cost component by using the formula:

Fixed cost = Total cost - (Variable cost per unit x Total units)
Fixed cost = $287,600 - ($30 x 5,800)
Fixed cost = $105,800

Finally, we can estimate the total cost at 9,000 units by using the following formula:

Total cost = Fixed cost + (Variable cost per unit x Total units)
Total cost = $105,800 + ($30 x 9,000)
Total cost = $435,800

Therefore, the estimated total cost of producing 9,000 units using the high/low method is $435,800.

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A decision to work closely with a limited number of suppliers for the purpose of ensuring that the proper materials are available at the optimal time is an example of:

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A decision to work closely with a limited number of suppliers for the purpose of ensuring that the proper materials are available at the optimal time is an example of: an organizational cost driver, option C.

There are many distinct types of legal organisations, including corporations, governments, non-governmental organisations, political organisations, international organisations, military forces, nonprofits, for-profit companies, partnerships, cooperatives, and educational institutions, among others.

A hybrid organisation is one that concurrently generates commercial market activity in the public and private sectors while carrying out public duties.

A voluntary association is a company operated entirely by volunteers. Such organisations may be able to function without legal formalities depending on the jurisdiction, with a purpose in mind that they may express in the form of a manifesto, mission statement, or in an informal fashion that is reflected in what they do. Remember that every action a company takes, whether legal or unlawful, reflects its objectives.

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Complete question:

A decision to work closely with a limited number of suppliers for the purpose of ensuring that the proper materials are available at the optimal time is an example of

Select one:

A. a structural cost driver.

B. a batch level cost driver.

C. an organizational cost driver.

D. an activity cost driver.

When an investor accounts for an investment in common stock at fair value through net income, cash dividends are classified by the investor as:

Answers

When an investor accounts for an investment in common stock at fair value through net income, cash dividends are classified by the investor as income and recognized in the investor's net income in the period in which they are received.

This is because the investment is accounted for at fair value, which means that changes in the fair value of the investment are recognized in net income.

Cash dividends received from the investee are considered to be income earned by the investor and therefore are recognized in net income. The investor does not classify cash dividends as a reduction of the carrying amount of the investment, as they would under the equity method of accounting.

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The Company, which applies manufacturing overhead to production on the basis of machine hours, reported the following data for the period just ended: Actual units produced: 9,000 Actual variable manufacturing overhead costs incurred: $54,400 Actual machine hours worked: 16,000 Standard manufacturing variable overhead cost per machine hour: $3.50 If The Company budgets two hours to manufacture a completed unit, the company's variable manufacturing overhead efficiency variance is:

Answers

the company's variable manufacturing overhead efficiency variance is $7,000 unfavorable.

The variable manufacturing overhead efficiency variance measures the difference between the actual machine hours used and the standard machine hours allowed for the actual level of production. It can be calculated as follows:

Variable manufacturing overhead efficiency variance = (Standard machine hours allowed - Actual machine hours used) x Standard variable overhead rate per machine hour

In this case, the standard variable overhead rate per machine hour is given as $3.50. The standard machine hours allowed for actual units produced can be calculated as follows:

Standard machine hours allowed = Standard machine hours per unit x Actual units produced

= 2 machine hours per unit x 9,000 units

= 18,000 machine hours

The actual machine hours used are given as 16,000. Therefore, the variable manufacturing overhead efficiency variance can be calculated as follows:

Variable manufacturing overhead efficiency variance = (18,000 - 16,000) x $3.50

= 7,000 unfavorable

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A main difference between a critic and a reviewer is that a reviewer Group of answer choices is restricted by time and space. has more historical knowledge. does not usually make a personal judgment about the production. All these answers are correct.

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The correct answer is "A reviewer is restricted by time and space." However, to give a long answer, it is important to understand the difference between a critic and a reviewer. A critic is someone who analyzes and critiques a piece of art, literature, or performance with the goal of providing insight and commentary on its quality, meaning, and significance.

A reviewer, on the other hand, is someone who evaluates a work for a specific audience, such as readers of a newspaper or magazine. Reviewers are often constrained by time and space limitations, which means that they must provide a brief, concise assessment of the work in question. While they may have some historical knowledge or context, their primary focus is on the present moment and how the work relates to contemporary culture and society. In contrast, a critic may have more latitude to explore the historical, cultural, and artistic contexts of a work, and to provide a more in-depth analysis of its strengths and weaknesses.

The main difference between a critic and a reviewer is that a reviewer is restricted by time and space. While both critics and reviewers evaluate and analyze productions, reviewers often have limitations in terms of word count and publication deadlines, which can impact the depth and breadth of their evaluations. Critics, on the other hand, may have more freedom to provide detailed analysis and historical context.

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When studying process costing, calculating cost per equivalent unit is the only thing that matters. Knowing how to assign costs to completed goods and ending work-in-process is not important. Group of answer choices True False

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False. When studying process costing, calculating the cost per equivalent unit is certainly important, but it is not the only thing that matters.It is also crucial to know how to assign costs to completed goods and ending work-in-process.

What is cost?

Cost refers to the amount of money or resources that must be spent or sacrificed to acquire or achieve something, including the direct expenses and indirect costs associated with a particular activity, product, or service.

What is cost per equivalent unit?

Cost per equivalent unit is a measure of the total cost of producing a single unit of output in a production process, taking into account the materials, labor, and overhead costs incurred.

According to the given information:

False. When studying process costing, calculating the cost per equivalent unit is certainly important, but it is not the only thing that matters. It is also crucial to know how to assign costs to completed goods and ending work-in-process. This is because the process costing method is used to track and allocate costs throughout the production process, and this includes understanding how to account for completed goods and any work-in-process that remains at the end of the period. Assigning costs accurately to these items is important for understanding the total cost of production and for making informed decisions about pricing and production strategies. Therefore, knowing how to assign costs to completed goods and ending work-in-process is just as important as calculating the cost per equivalent unit.

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The debt coverage ratio is used to indicate how much the NOI can decline before it will not cover the debt service on the property. While DCRs can vary based on competition within a particular market, lenders usually seek a minimum DCR of: A. 0.80 B. 1.00 C. 1.20 D. 1.40

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The debt coverage ratio is an important financial metric that lenders use to assess a borrower's ability to cover their debt service obligations. This ratio is calculated by dividing the property's net operating income (NOI) by its total debt service. The resulting ratio indicates how much NOI is available to cover the debt payments.

When lenders evaluate a property's DCR, they usually look for a minimum ratio of 1.00, which means that the property generates enough NOI to cover its debt service obligations. A DCR of less than 1.00 suggests that the property is not generating enough income to cover its debt payments and is therefore considered a higher risk for lenders.

While lenders typically seek a minimum DCR of 1.00, the actual ratio can vary depending on the property's location, competition within the market, and other factors. In some cases, lenders may require a DCR of 1.20 or higher, particularly for properties in more competitive or risky markets.

Ultimately, the debt coverage ratio is a critical factor in determining a property's financial viability and risk profile for lenders. Borrowers should strive to maintain a DCR of at least 1.00 to ensure that their property can cover its debt service obligations and remain financially stable.

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Which social network has more than 500 million registered members and has postings for more than 10 million jobs and data on more than 9 million companies

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The social network being referred to here is LinkedIn.

Here are some points explaining why:

1. More than 500 million registered members: LinkedIn is one of the largest social networking platforms in the world, with more than 500 million registered members in over 200 countries.

2. Postings for more than 10 million jobs: LinkedIn is also a popular platform for job seekers and employers, with more than 10 million job postings available at any given time.

3. Data on more than 9 million companies: In addition to job postings, LinkedIn also provides information on millions of companies, including their size, location, industry, and employee demographics.

4. Professional networking: Unlike other social networks that focus on personal connections, LinkedIn is designed for professional networking.

Users can create a professional profile, connect with other professionals, and join groups related to their industry or interests.

5. B2B marketing: LinkedIn is also a popular platform for B2B marketing, with businesses using the platform to promote their products and services to other businesses and professionals.

Overall, LinkedIn is a valuable platform for professionals, job seekers, and businesses alike, making it a popular choice for many people around the world.

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You want to start a new business in the simplest, cheapest and fastest way possible. You should establish your business as an:

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If you want to start a new business in the simplest, cheapest, and fastest way possible, you should establish your business as a sole proprietorship.

A sole proprietorship is the simplest and least expensive form of business entity to set up. In this type of business, you are the sole owner, and there is no legal distinction between you and the business. To establish a sole proprietorship, you typically need to register your business with your state or local government and obtain any necessary business licenses or permits. However, the registration process is typically straightforward and can often be completed online.

One of the advantages of a sole proprietorship is that it allows you to have complete control over your business. You are not required to share profits or decision-making with anyone else. Additionally, the profits of the business are treated as personal income, so you do not need to file a separate business tax return.

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You want to start a new business in the simplest, cheapest and fastest way possible. You should establish your business as an: ______

Cash flow matching on a multiperiod basis is referred to as Group of answer choices dedication. duration matching. contingent immunization. rebalancing. immunization.

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Cash flow matching on a multiperiod basis is referred to as duration matching.

Cash flow matching is a strategy used by investors and financial managers to match their future cash inflows with their future cash outflows. The purpose of cash flow matching is to ensure that the investor has enough cash to meet their future obligations without having to liquidate their assets at unfavorable prices.Duration matching is a type of cash flow matching that involves matching the duration of a portfolio of bonds or other fixed-income securities with the duration of the investor's liabilities. Duration is a measure of the sensitivity of the price of a fixed-income security to changes in interest rates. By matching the duration of their portfolio with the duration of their liabilities, the investor can minimize the risk of interest rate changes causing a mismatch between their cash inflows and outflows.

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