Item 5 You are 18 years old single, and still live at home. What type of life insurance policy should you purchase

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Answer 1

As an 18-year-old single individual still living at home, it may not seem necessary to purchase a life insurance policy. However, investing in a policy now could provide financial protection for loved ones in the event of an unexpected death.

A term life insurance policy may be the most appropriate option as it offers coverage for a specified period of time, typically between 10 and 30 years. This type of policy is generally less expensive than permanent life insurance, making it more affordable for someone just starting out. Additionally, a term policy can be customized to fit your specific needs and can be renewed or converted to a permanent policy later on. It's always best to consult with a licensed insurance agent to determine the best policy for your individual circumstances.


As an 18-year-old single individual still living at home, the type of life insurance policy you should consider purchasing is a term life insurance policy. Term life insurance provides coverage for a specified period, usually 10, 20, or 30 years, and is more affordable compared to whole life insurance. Since you are young and have fewer financial responsibilities, a term policy can offer adequate protection at a lower cost.

This policy can cover expenses like student loans, support your family in case of your unexpected demise, or provide a financial cushion for your future dependents as your needs evolve.

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Related Questions

Arnold Palmer Hospital utilizes a 3 tiered supply chain for some medical needs. How many tiers are involved for their surgical​ packs?

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Without more information, it is difficult to determine exactly how many tiers are involved in Arnold Palmer Hospital's supply chain for surgical packs. However, based on the information provided, we know that they use a 3-tiered supply chain for some of their medical needs.

A 3-tiered supply chain typically involves three levels: the manufacturer, the distributor, and the retailer or end user. The manufacturer produces the product and sells it to the distributor, who then sells it to the retailer or end user.

In the case of surgical packs, the manufacturer could be a company that specializes in producing medical supplies, the distributor could be a company that distributes medical supplies to hospitals, and the end user would be Arnold Palmer Hospital. However, there may be additional tiers involved depending on the specific supply chain for surgical packs used by the hospital.

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The steepness of the short-run aggregate supply curve depends on Group of answer choices the price level a larger than expected simple multiplier a smaller than expected simple multiplier the increase only in labor costs as output expands how sharply production costs increase as output expands

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The steepness of the short-run aggregate supply curve depends on how sharply production costs increase as output expands.

The short-run aggregate supply (SRAS) curve shows the relationship between the price level and the quantity of goods and services that firms are willing to produce and supply in the short run, holding other factors constant. The steepness of the SRAS curve reflects how much production costs increase as output expands. If production costs, such as wages and prices of raw materials, increase significantly as output expands, the SRAS curve will be steep, indicating that a higher price level is required to induce firms to increase output. If production costs remain relatively constant, the SRAS curve will be flatter, indicating that a lower price level is sufficient to induce firms to produce more. Therefore, the steepness of the SRAS curve affects the responsiveness of the economy to changes in aggregate demand and supply shocks.

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Price controls: a. are always popular with consumers because they lower prices. b. are necessary to preserve equity. c. increase producer surplus because firms can now sell a greater quantity of a good at a lower price. d. create shortages.

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The Price controls: create shortages. The correct option is D.

What is Price controls?

Price controls refer to government policies that set a maximum or minimum price that can be charged for a particular good or service. When a price ceiling is set below the equilibrium price, it creates excess demand and a shortage of the good. This is because at the lower price, more consumers want to buy the good, while producers are unwilling or unable to supply the same quantity.

As a result, some consumers will be unable to obtain the good, leading to a shortage.

Price controls also distort incentives, leading to inefficiencies in the market. For instance, when prices are artificially lowered, consumers may waste resources by consuming more of the good than they would if they had to pay the market price.

Similarly, producers may reduce the quality or quantity of their product, or exit the market entirely, if they cannot make a profit at the controlled price. Therefore, price controls can have negative consequences for both consumers and producers, as well as the overall economy.

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What is a technique for establishing a match, or balance, between the source data and the target data warehouse

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One of the most effective techniques for establishing a match or balance between source data and the target data warehouse is the process of data mapping.

Data mapping is a systematic approach used to identify, analyze, and align the data elements from the source to the target data warehouse. This technique is essential for ensuring the accuracy and consistency of the data, reducing errors, and minimizing discrepancies between the two data sets. The data mapping process involves identifying the data fields in the source and target systems, analyzing their formats, and matching them based on their characteristics.

This technique may also include the creation of data transformation rules to convert the source data to the target data format. Another critical aspect of data mapping is the establishment of data lineage, which involves tracking the data flow from the source to the target data warehouse. This technique helps to ensure data quality and compliance, as well as facilitate auditing and reporting activities. By ensuring data consistency, accuracy, and compliance, this process helps to improve the overall effectiveness of data integration and supports better decision-making capabilities.

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Digital marketing helps companies build customer relationships through exceptional customer experiences. Such experiences can be achieved through excellent website design. To add value to the customer, the website must

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Digital marketing helps companies build customer relationships through exceptional customer experiences, which can be achieved through excellent website design. To add value to the customer, the website must be user-friendly, responsive, and engaging, and provide relevant content to meet the customers' needs and expectations.

To add value to the customer, a website must have several key features:

User-friendly interface: The website should be easy to navigate, with a clear and intuitive layout. This can include a well-organized menu, an easy-to-find search bar, and clear labeling of pages and sections.Mobile-friendly design: As more and more people access the internet through their mobile devices, it is essential that the website is optimized for mobile use. This can include features such as responsive design, mobile-friendly images, and easy-to-use touch controls.High-quality content: The website should provide high-quality, relevant, and useful content to visitors. This includes engaging and informative blog posts, helpful product descriptions, and other useful resources that can help visitors make informed decisions.Personalization: To deliver exceptional customer experiences, the website can provide personalization features such as recommendations based on previous purchases or browsing history, customized messages or greetings, and other personalized content.Quick load times: In today's fast-paced digital world, visitors expect websites to load quickly. Therefore, it is essential to optimize website speed and performance by using optimized images and videos, compressing files, and minimizing unnecessary features that slow down the website.Easy checkout process: If the website offers e-commerce, the checkout process must be streamlined, easy to use, and secure. This can include features such as multiple payment options, easy-to-understand forms, and clear information about shipping and returns.

Overall, the website should be designed with the customer in mind and focus on providing exceptional user experiences. By doing so, companies can build strong customer relationships, increase engagement and conversions, and ultimately grow their business.

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The ___________ protects the consumer from being misled or harmed by ensuring that businesses operate legally.

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"consumer protection". Consumer protection ensures that businesses operate within the law and protect consumers from being misled or harmed. Consumer protection laws are in place to safeguard the rights of consumers by regulating business practices and ensuring that businesses operate ethically and legally.

These laws can cover a wide range of issues such as false advertising, product safety, and fraud prevention. The main goal of consumer protection is to create a fair and safe marketplace for consumers, while also promoting healthy competition among businesses.
 "Consumer Protection Laws" protect the consumer from being misled or harmed by ensuring that businesses operate legally.

Consumer protection laws are designed to prevent businesses from engaging in fraudulent practices, providing false or misleading information, and selling unsafe or defective products. These laws regulate various aspects of business-consumer interactions and help maintain a fair marketplace for both parties. By ensuring that businesses operate legally, consumer protection laws safeguard the interests of consumers and promote trust in the marketplace.

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Kay invests $4000 for 5 years at 6% semi-annually. At 3 years she withdraws $1000. How much in in the account at 5 years

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At the end of 5 years, there will be approximately $4262.97 in Kay's account.


To solve this problem, we need to calculate the value of Kay's investment using the formula for compound interest and then account for the withdrawal she made at 3 years.

Step 1: Calculate the value of the investment at 3 years.
Formula for compound interest: A = P(1 + r/n)^(nt)
Where:
A = the future value of the investment
P = the principal amount ($4000)
r = the annual interest rate (0.06)
n = the number of times interest is compounded per year (2 for semi-annually)
t = the time in years (3 for this step)

A = 4000(1 + 0.06/2)^(2*3)
A ≈ $4788.39

Step 2: Account for the $1000 withdrawal at 3 years.
$4788.39 - $1000 = $3788.39 (this is the new principal amount)

Step 3: Calculate the value of the remaining investment at 5 years.
We have 2 more years to reach the 5-year mark, so we'll use t = 2 for this step.

A = 3788.39(1 + 0.06/2)^(2*2)
A ≈ $4262.97

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investments are initially recorded at market value when received as donations and: Select one: A. Any income earned on those investments is reported as permanently restricted.

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Investments are initially recorded at market value when received as donations and any income earned on those investments is reported as permanently restricted.

When a non-profit organization receives investments as donations, they are recorded at their market value on the date they were received. The income generated from these donated investments, such as dividends or interest, is considered permanently restricted.

This means the income must be used in accordance with the donor's restrictions or for the organization's specific purposes, and cannot be used for general operating expenses. This ensures that the donation continues to support the organization's mission and objectives, as intended by the donor.

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The 95.4 percent confidence interval for the historical standard error for the true U.S. equity risk premium should be within ___ percent to ___ percent.

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The 95.4 percent confidence interval for the historical standard error for the true U.S. equity risk premium should be within 1.96 percent to 5.73 percent.

A confidence interval is a range of values that we can be confident contains the true value of the parameter of interest. In this case, the parameter of interest is the historical standard error for the U.S. equity risk premium. The 95.4 percent confidence interval means that if we were to take repeated samples from the population and calculate the standard error for each sample, 95.4 percent of the time the true population standard error would fall within the calculated confidence interval. The values of 1.96 percent and 5.73 percent represent the lower and upper bounds of the confidence interval, respectively. These values are based on the sample size, the level of confidence desired, and the variability of the data. It is important to note that the confidence interval is only an estimate, and there is always a possibility that the true value of the parameter falls outside of the interval. However, the higher the level of confidence and the larger the sample size, the more accurate the estimate is likely to be.

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What agency is responsible for putting together business cycle information, particularly when business economies peak and plummet

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The agency responsible for putting together business cycle information is the National Bureau of Economic Research (NBER).

The NBER is a private, non-profit organization that conducts economic research and provides data analysis on various aspects of the economy. One of the NBER's primary functions is to determine the timing of business cycle peaks and troughs, which are important indicators of the overall health of the economy.

The NBER uses a variety of economic data, such as employment, production, and income levels, to identify when the economy is in a peak or recession. Once a business cycle peak or trough is identified, the NBER works to analyze the causes and effects of the cycle, providing insights into how the economy is functioning and what factors may be contributing to its current state.

In short, the NBER is the agency responsible for providing comprehensive and reliable information on business cycles, including when economies peak and plummet, which can be critical for businesses and policymakers to make informed decisions about their investments and economic policies.

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The information technology department is frustrated because they are constantly training one group on the same issue. The department manager reports it is the ________ to learn the system and not expect repetitive training.

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The information technology department is frustrated because they are constantly training one group on the same issue. The department manager reports it is the responsibility of the group to learn the system and not expect repetitive training.

What is Information technology department?

A group of professionals responsible for managing and maintaining the technology infrastructure and computer systems of an organization.

Who is Department manager?

A person responsible for overseeing and managing a specific department within an organization.

According to the given information:

The information technology department is frustrated because they are constantly training one group on the same issue. The department manager reports it is the responsibility of the users to learn the system and not expect repetitive training. It is important for users to take ownership of their learning and to make an effort to understand the system. This can be achieved through resources such as online tutorials, manuals, and training sessions. It is also important for the IT department to provide support and guidance to users, but ultimately it is up to the users to put in the effort to learn the system and not rely solely on repetitive training sessions. By taking the initiative to learn and improve their skills, users can improve their productivity and reduce the need for constant training.

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All of the following are directly correlated with increased risk except: A) a large amount of technical expertise from project team and information team staff B)

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Having a large amount of technical expertise from project team and information team staff is not directly correlated with increased risk. Option A is correct.

In fact, having highly skilled technical experts can reduce the risk of implementation failure or other technical problems.

On the other hand, options (B), (C), (D), and (E) are directly correlated with increased risk. Spending a large amount of dollars, having a large number of implementation staff, allocating a large amount of time for implementation, or having a large number of organizational units affected can all increase the complexity of a project and the potential for risk.

These factors can impact project timelines, budgets, and overall success.

Therefore, option A is correct.

All of the following are directly correlated with increased risk except:

Group of answer choices:

A) a large amount of technical expertise from project team and information team staff.

B) a large amount of dollars spent.

C) a large number of implementation staff.

D) a large amount of time allocated for implementation.

E) a large number of organizational units affected.

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if an increase in consumer spending of 10 bilion would increase real gdp to 300 billion, what is the marginal propensity to consume

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The marginal propensity to consume is 0.1, or 10%.

To find the marginal propensity to consume (MPC), we need to calculate the ratio of the change in consumer spending to the change in real GDP:

MPC = change in consumer spending / change in real GDP

We are given that an increase in consumer spending of 10 billion would increase real GDP to 300 billion. This means that the change in consumer spending is 10 billion, and the change in real GDP is 100 billion (since the initial real GDP was 200 billion). So:

MPC = 10 billion / 100 billion

MPC = 0.1

Therefore, the marginal propensity to consume is 0.1, or 10%.

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Which of the following is a contributor to the bullwhip effect? a. Vendor managed inventory b. Forward buying c. Using actual demand data d. Smaller order sizes

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The correct answer is b. Forward buying.                                                         Forward buying refers to a situation where a buyer purchases more inventory than needed to take advantage of a promotional discount or to ensure supply availability.

This can lead to an increase in demand variability, as the buyer may not purchase the same amount in the future, leading to higher or lower demand than expected. This demand variability can be magnified and distorted as it moves up the supply chain, leading to the bullwhip effect. Vendor managed inventory (a) can actually help reduce the bullwhip effect by allowing suppliers to monitor inventory levels and adjust production accordingly. Using actual demand data (c) and smaller order sizes (d) can also help reduce the bullwhip effect by providing more accurate and timely information to suppliers, leading to more efficient production and inventory management.

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Managerial accounting Group of answer choices requires companies to provide quarterly and annual financial statements is limited to double-entry accounting focuses on providing information for external users focuses on providing information for internal users

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Managerial accounting focuses on providing information for internal users.

Managerial accounting is the process of identifying, measuring, analyzing, interpreting, and communicating financial information to internal users, such as managers, executives, and employees, to support decision-making, planning, control, and performance evaluation.

Unlike financial accounting, which is focused on providing information to external users, such as investors, creditors, regulators, and the public, managerial accounting is focused on providing information to internal users within the organization.

The information provided by managerial accounting includes cost behavior, cost-volume-profit analysis, budgeting, variance analysis, performance measurement, and decision-making tools, such as relevant costing and capital budgeting.

Managerial accounting is not subject to regulatory requirements, such as the requirement to provide quarterly and annual financial statements, as financial accounting is. Managerial accounting also uses various methods of accounting, including double-entry accounting, but is not limited to it.

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Rarke Company must choose between two alternate transactions. Transaction 1 requires a $20,400 nondeductible cash outlay, while transaction 2 requires a $24,000 deductible cash outlay. Determine the marginal tax rate at which the after-tax costs of the two transactions are equal.

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The marginal tax rate at which the after-tax costs of the two transactions are equal can be determined using the following formula: (1 - Marginal Tax Rate) x Transaction 2 = Transaction 1

Since Transaction 2 has a deductible cash outlay, the after-tax cost of this transaction can be calculated by subtracting the tax savings from the original cost. Let's assume that the company's marginal tax rate is "M".

After-tax cost of Transaction 2 = $24,000 x (1 - M)

On the other hand, since Transaction 1 has a nondeductible cash outlay, the after-tax cost of this transaction is simply the original cost.

After-tax cost of Transaction 1 = $20,400

Now we can set the two after-tax costs equal to each other and solve for "M":

$24,000 x (1 - M) = $20,400

Simplifying the equation, we get:

1 - M = 0.85

M = 0.15 or 15%

The after-tax expenses of the two transactions are therefore equivalent for a marginal tax rate of 15%.

The marginal tax rate at which the after-tax costs of the two transactions are equal is 30%.

To find the marginal tax rate, we need to equate the after-tax costs of both transactions. Let's denote the marginal tax rate as "t".

Transaction 1: After-tax cost = $20,400 (since it's nondeductible)

Transaction 2: After-tax cost = $24,000 * (1 - t) (since it's deductible)

Now, we'll equate the after-tax costs of both transactions:

$20,400 = $24,000 * (1 - t)

To solve for t:

1 - t = $20,400 / $24,000

1 - t = 0.85

t = 0.15 or 15% (as a decimal)

However, this is the savings from the deduction, so we need to find the actual marginal tax rate. Since Transaction 2 costs 15% less due to the deduction, the actual marginal tax rate is the difference between 100% and 15%, which is 30%.

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A 4-year annual coupon bond trades for $1,037, has a face value of $1,000 and a coupon rate of 4%. What is the yield to maturity

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The yield to maturity (YTM) is the rate of return that an investor can expect to earn if they purchase the bond at its current market price and hold it until maturity.

Assuming that the bond pays out its coupon payments annually, we can use the following formula to calculate the Yield To Maturity:
Price = (C1 / (1 + YTM)^1) + (C2 / (1 + YTM)^2) + (C3 / (1 + YTM)^3) + (C4 + FV / (1 + YTM)^4)
Where:
- C1, C2, C3, and C4 are the annual coupon payments for years 1, 2, 3, and 4, respectively
- FV is the face value of the bond
- Price is the current market price of the bond
Using the given information, we can plug in the values:
Price = $1,037
C1 = $40 (4% of $1,000)
C2 = $40
C3 = $40
C4 + FV = $1,040 ($1,000 + $40)
Solving for YTM using a financial calculator or a spreadsheet function, we get a yield to maturity of approximately 3.6%. Therefore, the yield to maturity of this 4-year annual coupon bond is approximately 3.6%.

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An actress creates a line of premium, all-natural baby foods. The products have her backing and detailed information on all the ingredients. This is an example of

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This is an example of Celebrity Endorsement and Transparent Product Information. The actress is leveraging her fame and reputation to promote her line of premium, all-natural baby foods.

Celebrity endorsement and transparent product information:

An actress creates a line of premium, all-natural baby foods with her backing and detailed information on all the ingredients. This is an example of celebrity endorsement and transparent product information.
1. Celebrity endorsement: The actress supports the product, which can increase the product's credibility and consumer trust.
2. Transparent product information: Detailed information on the ingredients allows consumers to make informed choices about the product.

Overall, this strategy combines the power of celebrity influence with a focus on quality and transparency to create a unique and compelling product offering.

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A wealthy, sophisticated investor with a high risk tolerance has just turned extremely bullish on the market. To profit from this, the BEST recommendation to the client would be to: A buy index calls B buy index puts C buy inverse ETFs D buy leveraged ETFs

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If the investor is both wealthy and sophisticated with a high risk tolerance, the best recommendation would be to buy leveraged ETFs.

Leveraged ETFs are designed to amplify the returns of an underlying index, making them an attractive option for investors who are bullish on the market. However, it's important to note that leveraged ETFs are also high risk investments and should only be considered by investors who understand the risks involved.

It's also important to note that leveraged ETFs are not suitable for long-term investments and should only be used for short-term trading strategies. It's important to work with a financial advisor who can help you determine the best investment strategy for your specific needs and goals.

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The ideal advice would be to buy leveraged ETFs if the investor was affluent, educated, and had a high risk tolerance.

Leveraged ETFs are a popular choice for investors who are bullish on the market because they are made to increase the returns of an underlying index. Leveraged ETFs, on the other hand, should only be considered by investors who are aware of the risks associated as they are also high risk investments.

It's also vital to remember that leveraged ETFs should only be utilized for short-term trading techniques and are not ideal for long-term investing. It's crucial to consult with a financial advisor who can assist you in choosing the ideal investment plan for your unique requirements and objectives.

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The financial statements of the Pina Colada Corp. report net sales of $408000 and accounts receivable of $60000 and $31200 at the beginning of the year and the end of the year, respectively. What is the average collection period for accounts receivable in days

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Therefore, the average collection period for accounts receivable for the Pina Colada Corp. is 40.8 days. This means it takes, on average, just over 40 days for the company to collect payment from its customers.

The average collection period for accounts receivable, we first need to determine the average accounts receivable balance for the year. We can do this by taking the average of the beginning and ending accounts receivable balances:

Average accounts receivable = (Beginning accounts receivable + Ending accounts receivable) / 2

= ($60,000 + $31,200) / 2

= $45,600

Next, we can use this average accounts receivable balance and the net sales figure to calculate the average collection period:

Average collection period = (Accounts receivable / Net sales) x Number of days in year

The number of days in a year is typically 365 or 360, depending on the accounting convention used. For this example, we will use 365 days.

Average collection period = ($45,600 / $408,000) x 365

= 40.8 days

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E-mation, Inc. hires Marvin to steal trade secrets from one of its competitors for $10,000. Marvin demands half of the money up front. E-mation pays Marvin $5000 but Marvin decides not to pursue theft of the trade secrets. E-mation sues Marvin for the return of the $5000. What will the court do with this contract

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E-mation can sue Marvin for the return of the $5000 paid to him as it was not a valid payment for a legal contract.

The court is likely to declare this contract as void because the agreement between E-mation, Inc. and Marvin is illegal and against public policy. The contract involves stealing trade secrets, which is considered an unlawful act and goes against the legal framework that protects intellectual property rights.

Marvin's demand for half the money upfront also suggests that he intended to commit the illegal act, which further undermines the legality of the contract.

Furthermore, E-mation's payment of $5000 to Marvin does not constitute a valid consideration for a contract as there is no exchange of legal goods or services. Therefore, the court is likely to rule that the payment made by E-mation to Marvin is void, and Marvin must return the money to E-mation.

In summary, the court is likely to declare this contract as void due to its illegality, lack of consideration, and violation of public policy.

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Sweet Acacia industries had sales in 2021 of $5,600,000 and gross profit of $1.109.000. Management is considering two alternative budget plans to increase its gross profit in 2022. Plan A would increase the selling price per unit from $8.00 to $8.40. Sales volume would decrease by 10% from its 2021 level. Plana would decrease the selling price per unit by $0.50. The marketing department expects that the sales volume would increase by 100,000 units. At the end of 2021, Sweet Acacia has 39,000 units of inventory on hand. If Plan A is accepted, the 2022 ending inventory should be equal to 5% of the 2022 sales. If Plan B is accepted the ending inventory should be equal to 58,000 units. Each unit produced will cost $1.90 in direct labour, $1.20 in direct materials, and $1.20 in variable overhead. The fixed overhead for 2022 should be $1,898,000. Prepare a sales budget for 2022 under each plan. (Round the selling price per unit to 2 decimal places, s. 15.25.) SWEET ACACIA INDUSTRIES Sales Budget For the Year Ending December 31, 2022 Plan A Plan B Expected sales in units 5 Unit selling price $ $ Total sales Prepare a production budget for 2022 under each plan SWEET ACACIA INDUSTRIES Production Budget For the Year Ending December 31, 2022 Plan A Plan B --/4 Question Part Score - / 13 Calculate the production cost per unit under each plan. (Round answers to 2 decimal places, es 15.25) TH Plan A Plan B Production cost per unit Question Part Score Calculate the gross profit under each plan (Round per unit calculations to 2 decimal places, es 15.25 and final answers to decimal places, eg, 1250 SWEET ACACIA INDUSTRIES Budgeted Gross Profit For the Year Ending December 31, 2022 Plan A Plan Expected sales Budgeted cost of goods sold Gross pront $

Answers

Plan A: Expected sales: $37,800,000, Budgeted cost of goods sold: $20,385,000 (4,725,000 x $4.30), Gross profit: $17,415,000. Plan B: Expected sales: $42,750,000, Budgeted cost of goods sold: $24,866,100 (5,797,000 x $4.30), Gross profit: $17,883,900

Sweet Acacia Industries' Sales Budget for the Year Ending December 31, 2022:
Plan A:
- Expected sales in units: 4,500,000 (10% decrease from 2021 level)
- Unit selling price: $8.40
- Total sales: $37,800,000 (4,500,000 x $8.40)
Plan B:
- Expected sales in units: 5,700,000 (100,000 unit increase from 2021 level)
- Unit selling price: $7.50 ($8.00 - $0.50)
- Total sales: $42,750,000 (5,700,000 x $7.50)
Sweet Acacia Industries' Production Budget for the Year Ending December 31, 2022:
Plan A:
- Expected sales in units: 4,500,000
- Ending inventory: 225,000 (5% of 2022 sales)
- Total units needed: 4,725,000
- Add beginning inventory: 39,000
- Total units required: 4,764,000
Plan B:
- Expected sales in units: 5,700,000
- Ending inventory: 58,000
- Total units needed: 5,758,000
- Add beginning inventory: 39,000
- Total units required: 5,797,000
Sweet Acacia Industries' Production Cost per Unit:
- Direct labor: $1.90
- Direct materials: $1.20
- Variable overhead: $1.20
- Total production cost per unit: $4.30
Plan A:
- Expected production cost per unit: $4.30
Plan B:
- Expected production cost per unit: $4.30
Sweet Acacia Industries' Budgeted Gross Profit for the Year Ending December 31, 2022:
Plan A:
- Expected sales: $37,800,000
- Budgeted cost of goods sold: $20,385,000 (4,725,000 x $4.30)
- Gross profit: $17,415,000
Plan B:
- Expected sales: $42,750,000
- Budgeted cost of goods sold: $24,866,100 (5,797,000 x $4.30)
- Gross profit: $17,883,900

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A firm has a machine that can produce a unit every 5 minutes. The machine supervisor things that the machine needs 20% for maintenance. Over the last few years, the firm has produced an average of 200 units per day. What is the management policy waste for this machine per day

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The management policy waste for this machine per day is 19.2 units, resulting from the 20% maintenance time allocation and the firm's average production of 200 units per day.

A firm operates a machine that can produce one unit every 5 minutes. Accounting for the 20% maintenance time, the machine's actual production time is 80% of its total availability. In a typical workday with 8 hours (480 minutes) of operation, the machine would have 384 minutes (480 x 0.8) for production. During this time, the machine can produce 76.8 units (384 / 5). However, the firm has managed to produce an average of 200 units per day. To calculate the management policy waste, we first need to find the maximum production potential without maintenance. Without any maintenance time, the machine could produce 96 units per day (480 / 5). Next, we subtract the actual production capacity (76.8 units) from the maximum potential (96 units), resulting in a difference of 19.2 units. This difference represents the waste in production potential due to the management policy.

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ohnson Inc. produces leather handbags. Johnson Inc. estimates it will use 3,500 square meters of leather in production in August, and 3,750 square meters of leather in production in September. Johnson Inc.'s leather inventory policy is 30% of next month's production needs. What will leather purchases be in August

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Johnson Inc. needs to purchase 4,875 square meters of leather in August.

To calculate the To calculate the leather purchases in August, we need to find out how much leather Johnson Inc. needs to have in inventory for September.

The production needs for September are 3,750 square meters, so 30% of that is:

0.30 x 3,750 = 1,125 square meters

Therefore, Johnson Inc. needs to have 1,125 square meters of leather in inventory at the end of August.

To find out how much leather to purchase in August, we need to add the September production needs (3,750 square meters) to the desired ending inventory (1,125 square meters), and then subtract the beginning inventory (which is not given in the problem). Let's assume the beginning inventory is zero for simplicity:

Leather purchases in August = 3,750 + 1,125 - 0 = 4,875 square meters

Therefore, Johnson Inc. needs to purchase 4,875 square meters of leather in August.s in August, we need to find out how much leather Johnson Inc. needs to have in inventory for September.

The production needs for September are 3,750 square meters, so 30% of that is:

0.30 x 3,750 = 1,125 square meters

Therefore, Johnson Inc. needs to have 1,125 square meters of leather in inventory at the end of August.

To find out how much leather to purchase in August, we need to add the September production needs (3,750 square meters) to the desired ending inventory (1,125 square meters), and then subtract the beginning inventory (which is not given in the problem). Let's assume the beginning inventory is zero for simplicity:

Leather purchases in August = 3,750 + 1,125 - 0 = 4,875 square meters

Therefore, Johnson Inc. needs to purchase 4,875 square meters of leather in August.

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What occurs in the labor market when the prevailing wage (price) exceeds the equilibrium wage (price)

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When the prevailing wage (price) exceeds the equilibrium wage (price) in the labor market, a surplus of labor (unemployment) occurs.

In other words, there will be more workers looking for jobs at the prevailing wage than there are employers willing to hire them at that wage. This can happen for a variety of reasons, such as changes in government policies, shifts in consumer preferences, or changes in the supply and demand of labor. The result is that some workers are unable to find jobs at the prevailing wage, which can lead to social and economic problems.

When the prevailing wage (price) exceeds the equilibrium wage (price) in the labor market, it creates a situation of excess labor supply or surplus, where the number of people willing to work at that wage level exceeds the number of jobs available at that wage level. This can happen due to various reasons, such as an increase in demand for labor, a decrease in the supply of labor, or the implementation of a minimum wage law. As a result, employers may face fewer challenges in finding and retaining workers, while job seekers may face increased competition for a limited number of available jobs. This can lead to lower unemployment rates, but may also result in increased wage inequality, as only certain workers with in-demand skills or experience may be able to command higher wages

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The main trait of a single-period model is that: Group of answer choices inventory has limited value after a certain period of time. it has the largest EOQ sizes. the order quantity should usually equal the expected value of demand. supply is limited. the cost of a shortage cannot be determined accurately.

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The main trait of a single-period model is that the order quantity should usually equal the expected value of demand.

In a single-period model, also known as a newsboy model or a perishable inventory model, the focus is on making a one-time order or production decision for a perishable or time-sensitive product. The main goal is to balance the trade-off between meeting customer demand and minimizing costs associated with excess inventory or stockouts.

In this model, the order quantity should ideally be set to equal the expected value of demand. The objective is to meet the anticipated demand as accurately as possible without incurring excessive inventory costs. The aim is to maximize the expected profit or minimize the expected loss by finding the optimal order quantity that balances these factors.

The other options listed are not specific traits of a single-period model:

- Inventory has limited value after a certain period of time: This statement could be true for certain perishable or time-sensitive products, but it is not a defining trait of a single-period model.

- It has the largest EOQ (Economic Order Quantity) sizes: The Economic Order Quantity is a concept associated with the classic inventory management model, not a single-period model. Single-period models focus on making a one-time order decision rather than determining the optimal order quantity for continuous replenishment.

- Supply is limited: Supply constraints can be present in various inventory management models, but they are not a defining trait of a single-period model.

- The cost of a shortage cannot be determined accurately: The accuracy of determining the cost of a shortage is not specific to a single-period model. It can apply to other inventory management models as well, depending on the specific context and circumstances.

Therefore, the most accurate and defining trait of a single-period model is that the order quantity should usually equal the expected value of demand.

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Anak Chef, Inc. just paid its annual dividend of $1.44 a share. The firm recently announced that all future dividends will be increased by 3.8 percent annually. What is one share of this stock worth to you if you require a 15 percent rate of return

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One share of this stock is worth $12.86 to you if you require a 15 percent rate of return.

To calculate the value of one share of the stock, we can use the dividend discount model which states that the current value of a stock is equal to the present value of all future dividends.

The formula for the present value of a stock using the dividend discount model is:

PV = D / (r - g)

Where:

PV = present value of the stockD = annual dividend per sharer = required rate of returng = annual growth rate of dividends

In this problem, we have:

D = $1.44 (annual dividend per share)

r = 15% (required rate of return)

g = 3.8% (annual growth rate of dividends)

Plugging these values into the formula, we get:

PV = $1.44 / (0.15 - 0.038)

PV = $1.44 / 0.112

PV = $12.86

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Weighted-average unit cost is determined by dividing cost of goods available for sale by Multiple choice question. total quantity available for sale. quantity most recently purchased. quantity in beginning inventory. quantity in ending inventory.

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Weighted-average unit cost is determined by dividing the cost of goods available for sale by A. total quantity available for sale.

To calculate the weighted-average unit cost, we first need to find the cost of goods available for sale, which includes the cost of beginning inventory and the cost of any additional purchases made during the period. Next, we determine the total quantity available for sale, which is the sum of the beginning inventory and any new purchases. Finally, we divide the cost of goods available for sale by the total quantity available for sale to obtain the weighted-average unit cost.

This approach is useful in accounting for inventory costs because it smoothes out the fluctuations that can occur when individual items are purchased at varying costs. By using a weighted average, businesses can better understand their true inventory costs and make more informed decisions about pricing, sales, and inventory management.

In summary, This method helps businesses to better manage their inventory and pricing strategies, while also simplifying accounting procedures. Therefore, the correct option is A.

The question was incomplete, Find the full content below:

Weighted-average unit cost is determined by dividing the cost of goods available for sale by

A. total quantity available for sale.

B. quantity most recently purchased.

C. quantity in beginning inventory.

D. quantity in ending inventory.

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_____ involves increasing government spending, increasing transfer payments, and/or decreasing taxes.

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Fiscal policy is a tool used by governments to influence the economy by adjusting government spending, transfer payments, and tax rates.

Expansionary fiscal policy involves increasing government spending, increasing transfer payments, and/or decreasing taxes. These actions are aimed at stimulating economic growth by increasing the aggregate demand for goods and services. By increasing government spending, transfer payments, or decreasing taxes, people have more disposable income to spend, which in turn boosts business revenues and stimulates economic activity.

The objective of expansionary fiscal policy is to create jobs, increase economic output, and reduce unemployment. It is typically used during times of economic recession or when the economy is experiencing a slowdown.

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Using the national savings and investment identity, if private savings equals $12000, inflow of foreign savings equals $21000, and the government budget deficit equals $17000, what does private investment equal?

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Using the national savings and investment identity, if private savings equals $12000, inflow of foreign savings equals $21000, and the government budget deficit equals $17000, private investment equals $16,000.

Given information:

Private savings = SPrivate investment = IGovernment budget = GTaxes = TExports = XImports = M

Private savings (S) = Private investment (I) + (Government budget (G) - Taxes (T)) + (Exports (X) - Imports (M)).

$12000 = Private investment (I) + (-$17,000) + ($21,000)

$16,000 = Private investment.

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