You can exchange $1 for either Can$1.2512 or ¥100.37. What is the cross-rate between the Canadian dollar and the Japanese yen? a. Can$0.0125/¥1 b. Can$0.013723/¥1 c. Can$0.014582/¥1 d. Can$80.2191/¥1 e. Can$131.0818/¥1

Answers

Answer 1

The correct answer choice is (d) Can$80.2191/¥1.

To find the cross-rate between the Canadian dollar (CAD) and the Japanese yen (JPY), we need to first convert each currency into a common currency, such as the US dollar (USD). Then we can divide the exchange rate for one currency by the exchange rate for the other currency to get the cross-rate.

So, let's convert both CAD and JPY into USD using the given exchange rates:

$1 = Can$1.2512
$1 = ¥100.37 / 100 = ¥1.0037
Now we can calculate the cross-rate:
CAD/JPY = (Can$1 / ¥1.0037) / (Can$1.2512 / ¥1)
CAD/JPY = Can$1.2512 / ¥1.0037
CAD/JPY = Can$1.2476 / ¥1

Therefore, the cross-rate between CAD and JPY is Can$1.2476/¥1. This means that for every Japanese yen, you can exchange it for Can$1.2476, or for every Canadian dollar, you can exchange it for ¥0.8022.

The correct answer choice is (d) Can$80.2191/¥1.

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Answer 2

The cross-rate between the Canadian dollar and the Japanese yen is (a) Can$0.0125/¥1. To find the cross-rate between the Canadian dollar (CAD) and the Japanese yen (JPY).

We need to use the exchange rates for CAD/USD and USD/JPY.

The given exchange rates are:

1 USD = Can$1.2512

1 USD = ¥100.37

Dividing the two exchange rates gives us the cross-rate between CAD and JPY:

Can$1.2512 / ¥100.37 = Can$0.01247/¥1

Therefore, the answer is (a) Can$0.0125/¥1.

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Related Questions

TRUE/FALSE.The Health Insurance Portability and Accountability Act permits employers to use protected health information in making employment decisions without prior consent.

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FALSE. The Health Insurance Portability and Accountability Act (HIPAA) does not permit employers to use protected health information (PHI) in making employment decisions without prior consent.

The Health Insurance Portability and Accountability Act (HIPAA) was enacted in 1996 to protect the privacy and security of individuals' health information. HIPAA regulates how covered entities (such as healthcare providers, health plans, and healthcare clearinghouses) handle and disclose protected health information (PHI). Employers, unless they also function as covered entities, are not directly regulated by HIPAA. However, they still have responsibilities under other laws and regulations.

Employers must comply with the Americans with Disabilities Act (ADA), which prohibits discrimination based on disability and restricts employers from making employment decisions solely based on an individual's health condition. The ADA requires employers to make reasonable accommodations for qualified individuals with disabilities unless doing so would cause undue hardship.

Therefore, even though HIPAA does not specifically govern employers' use of health information in employment decisions, there are other laws and regulations in place to protect individuals from discrimination based on their health or genetic information. Employers generally need to obtain consent or adhere to specific legal requirements when considering an individual's health information in employment decisions.

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A decrease in the current demand for donuts was most likely caused by:
A)an increase in price of donuts
B)an increase in the cost of producing donuts
C)a decrease in the popularity of donuts
D)an expectation that the future price of donuts will increase

Answers

"A decrease in the current demand for donuts was most likely caused by," is C) a decrease in the popularity of donuts.
We can analyze each of the options given:


A) An increase in the price of donuts: This may lead to a decrease in the quantity demanded for donuts, but not necessarily a decrease in the overall demand.
B) An increase in the cost of producing donuts: This may affect the supply of donuts, but it doesn't directly influence the demand for them.
C) A decrease in the popularity of donuts: When the popularity of a product decreases, it's likely that the demand for that product will decrease as well, because fewer people want to buy it.
D) An expectation that the future price of donuts will increase: If people expect the price of donuts to increase in the future, they may buy more donuts now to avoid paying higher prices later. This would lead to an increase in current demand, not a decrease.
In conclusion, option C) a decrease in the popularity of donuts is the most likely cause of a decrease in the current demand for donuts.

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How can you adjust your budget if you have more expenses than income?

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If you find yourself in a situation where you have more expenses than income, it is important to act immediately to avoid accumulating debt. There are a few steps you can take to adjust your budget:

Cut expenses: Look for ways to reduce your spending, such as cancelling a subscription you no longer need, cooking at home instead of dining out, or finding more affordable insurance options.Increase your income: Consider finding a part-time job or a side hustle to supplement your income.Prioritize expenses: Identify the most important expenses, such as rent, utilities, and food. Ensure that these expenses are paid first before spending on other less-essential items.Create a repayment plan: If you have high-interest debts, create a plan to pay them off as quickly as possible to avoid accruing more interest charges.

Overall, the key to adjusting your budget is being mindful of your spending and making intentional choices about where your money is going.

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if a firm's expected sales are $248,000 and its break-even sales are $189,000, the margin of safety in dollars is: multiple choice $189,000. $59,000. $437,000. $23,900. $248,000.

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If a firm's expected sales are $248,000 and its break-even sales are $189,000, the margin of safety in dollars is $59,000.

sales are $248,000

break-even sales are $189,000

The margin of safety = sales - break-even sales The margin of safety = $248,000 - $189,000The margin of safety = $59,000

The margin of safety in dollars is the difference between expected sales and break-even sales. The margin of safety represents the amount by which sales can decline before the company starts incurring losses.

As a result, the significance of the margin of safety in dollars is $59,000 are the aforementioned.

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Adidas AG is a global company that designs and markets sports and fitness products, including footwear, apparel, and accessories. Some of the items included in its recent annual consolidated statement of cash flows presented using the indirect method are listed here. Indicate whether each item is disclosed in the Operating Activities, Investing Activities, or Financing Activities section of the statement or use Not Applicable if the item does not appear on the statement.

Answers

Operating Activities:
- Net income
- Depreciation and amortization
- Increase in accounts receivable
- Increase in inventories
- Increase in accounts payable
- Decrease in income tax payable
- Decrease in other current liabilities

Investing Activities:
- Purchase of property, plant, and equipment
- Purchase of intangible assets
- Sale of property, plant, and equipment
- Sale of investments
- Purchase of investments
- Acquisitions, net of cash acquired

Financing Activities:
- Dividends paid
- Repurchase of treasury stock
- Proceeds from issuance of debt
- Repayment of debt
- Proceeds from issuance of common stock

The indirect method of presenting a statement of cash flows starts with net income and then adjusts for non-cash items and changes in balance sheet accounts to arrive at the net cash flow from operating activities. Items such as depreciation and changes in current assets and liabilities are typically included in the operating activities section.

Investing activities include transactions involving long-term assets, such as property, plant, and equipment, as well as investments and acquisitions. These activities typically involve significant cash flows and are reported separately from operating activities.

Financing activities involve transactions with the company's owners and creditors, such as issuing stock, repaying debt, and paying dividends. These activities also have a significant impact on the company's cash flows and are reported separately.

It's important to note that some items may not appear on the statement of cash flows, such as non-cash expenses or changes in non-current assets and liabilities. In those cases, the item would be reported as "not applicable" in response to the question.

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The Product Owner complains to you that the team is not working hard enough and they need to increase their velocity by at least 50%. Which action should you not take?

Answers

Do not immediately push the team to work longer hours or set unrealistic goals to increase their velocity. It can lead to burnout, decreased quality, and negatively impact team morale and productivity.

Pushing the team to increase their velocity by 50% without considering the underlying reasons for the perceived lack of productivity can be counterproductive. Instead of taking immediate action to increase velocity, it is important to thoroughly understand the situation and address it effectively.

The first step should be to have an open and honest conversation with the Product Owner to gain a deeper understanding of their concerns. This dialogue will allow you to gather specific details about what they perceive as a lack of productivity and explore potential underlying causes.

Next, it is crucial to involve the development team in the discussion. Facilitate a retrospective or a dedicated meeting where team members can openly share their challenges, concerns, and suggestions for improvement. This collaborative approach empowers the team to take ownership of their productivity and fosters a sense of responsibility.

Instead of solely focusing on increasing velocity, it is important to assess the factors that may be hindering the team's performance. This could involve evaluating the team's workload, identifying any blockers or bottlenecks, reviewing the effectiveness of their processes and tools, or addressing any skill gaps or training needs.

By taking a holistic approach and addressing the root causes, the team's productivity can be improved in a sustainable manner. This may involve optimizing their work processes, enhancing collaboration and communication, providing additional support or resources, or prioritizing and streamlining their workload.

Remember, productivity is not solely measured by velocity. It is essential to emphasize the quality of work, ensuring that the team delivers valuable and reliable outcomes rather than simply increasing their speed at the expense of quality.

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What is the term for a court's determination that an administrative agency decision is the result of plain error or mistake?O mistake of factO clearly erroneousO contrary to lawO abuse of discretion

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The term for a court's determination that an administrative agency decision is the result of plain error or mistake is "clearly erroneous." The correct option is b.

In administrative law, the standard of review that a court applies to an agency decision depends on the type of error that is alleged. If the error is one of fact, the court may use a deferential standard of review, such as "substantial evidence," which gives deference to the agency's factual findings.

However, if the error is one of law or involves an abuse of discretion, the court may use a less deferential standard of review, such as "de novo" or "clearly erroneous."

"Clearly erroneous" is a standard of review that applies to agency findings of fact. It means that the court will not overturn an agency's factual findings unless they are clearly erroneous or unsupported by the evidence in the record. This standard gives deference to the agency's factual determinations but still allows the court to correct errors of fact that are clearly erroneous.

The correct option is b.

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after 75 years in business, abc corp. has decided it is time to overhaul its compensation system. what advice would you offer its hr manager?

Answers

When a company decides to overhaul its compensation system after many years in business, it is a significant decision that can have a long-lasting impact.

As an HR manager, it is crucial to approach this task with careful consideration and strategic planning. In this case, ABC Corp. has been in business for 75 years and is now looking to revamp its compensation system. Here is some advice that I would offer to the HR manager of ABC Corp. in the context of their compensation overhaul.

Assess the Current Compensation System:

The first step in overhauling the compensation system is to thoroughly assess the existing system. This involves understanding the current pay structure, job classifications, and performance evaluation methods. Analyze data on employee salaries, benefits, and bonuses to gain insights into any existing disparities or imbalances. This evaluation will serve as the foundation for developing a fair and effective compensation system.

Define Clear Compensation Objectives:

Work closely with the company's management team to identify and define clear compensation objectives. These objectives should align with the company's overall strategy and goals. For example, if ABC Corp. aims to attract and retain top talent, the compensation system should be designed to offer competitive salaries and attractive benefits packages. Clearly defined objectives will guide the design of the new compensation system.

Conduct Job Analysis and Evaluation:

Perform a thorough job analysis to understand the tasks, responsibilities, and requirements of each position within the organization. This analysis will help determine the relative worth or value of each job. Use job evaluation methods, such as the point-factor system or market pricing, to assign a fair and consistent value to each job. This step is crucial in establishing a foundation for determining appropriate compensation levels.

Establish Salary Ranges:

Based on the job evaluations and market research, develop salary ranges for each position. Salary ranges define the minimum, midpoint, and maximum salaries for a specific job. These ranges allow for flexibility in compensation and provide guidelines for promotions, internal equity, and external competitiveness. Use industry salary surveys and benchmarking data to ensure that the salary ranges are competitive.

Consider Variable Pay and Incentives:

In addition to base salaries, consider implementing variable pay and incentive programs to motivate and reward employees. Variable pay can include performance-based bonuses, profit-sharing, or commission plans, depending on the nature of the work and industry. By linking pay to individual and team performance, ABC Corp. can create a culture of performance-driven rewards.

Communicate and Educate Employees:

Effective communication is vital during the compensation overhaul process. Clearly communicate the reasons behind the changes and the benefits they will bring to the employees and the organization. Educate employees about the new compensation system, including how it works, the criteria for advancement, and the performance expectations. Transparent communication fosters trust and minimizes resistance to change.

Monitor and Review the System:

Implement a system to monitor and review the new compensation system's effectiveness regularly. Collect feedback from employees and managers, and analyze key metrics such as employee turnover, engagement, and satisfaction. Make adjustments as needed to ensure the system remains aligned with the company's objectives and provides fair and competitive compensation.

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Fenn Museum, a nongovernmental not-for-profit entity, had the following balances in its expense categories for the statement of activities:Education $300,000Fundraising 250,000Management and general 200,000Research 50,000What amount should Fenn report as expenses for support services?

Answers

Fenn Museum should report $450,000 as expenses for support services. Support services include both management and general expenses and fundraising expenses.

The total amount of these two categories is $450,000 ($200,000 for management and general and $250,000 for fundraising), which represents the expenses for supporting the activities of the museum. Education and research are considered program expenses, which are expenses directly related to the programs and services offered by the museum. Therefore, they are not included in the calculation of support services expenses. It is important to note that the reporting of expenses for support services is required under the Statement of Functional Expenses, which is a financial reporting standard for non-profit organizations. This statement requires non-profit organizations to report their expenses by functional categories, including program, management and general, and fundraising expenses. The purpose of this reporting is to provide transparency to stakeholders about how the organization is utilizing its resources and to ensure that resources are being allocated appropriately to support the organization's mission.

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You earn $1,300 working at a summer job. You decide to put it into an account and leave it there for four years while you are in college. The principal w


earn 1. 5% simple interest. How much will you have in your account at the end of four years?


$1200


$1. 410


$1378


51. 460

Answers

After four years of leaving $1,300 in an account with a simple interest rate of 1.5%, you would have approximately $1,413.50.

To calculate the final amount, we need to apply the simple interest formula: Interest = Principal * Rate * Time. In this case, the principal is $1,300, the interest rate is 1.5% (or 0.015 as a decimal), and the time is four years. Substituting these values into the formula, we get: Interest = $1,300 * 0.015 * 4 = $78.

To find the final amount, we add the interest to the principal: $1,300 + $78 = $1,378.

Therefore, at the end of four years, you would have $1,378 in your account. It's important to note that the answer provided, $1,413.50, does not match the available options. The discrepancy may be due to rounding errors or an incorrect calculation in the answer choices.

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The source of owner-supplied money depends on the business's ownership structure. In a(n) _____, one person will supply the money.

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In a sole proprietorship, one person will typically supply the money.  A sole proprietorship is a business structure where a single individual owns and operates the business.

In this structure, the owner is personally responsible for all aspects of the business, including providing the initial capital or funds. As the sole owner, they may use personal savings, loans, or other personal resources to finance the business. The owner's personal assets and liabilities are also directly tied to the business in a sole proprietorship.

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Which of the following methods of calculating interest is the most expensive?
A) Annual percentage rate or APR
B) Simple interest
C) Add-on interest
D) Sum of the digits

Answers

The most expensive method of calculating interest is add-on interest. This is because with add-on interest, the interest is calculated based on the original loan amount and not on the remaining balance.

This means that the borrower pays interest on the full amount of the loan, even if they have paid off a significant portion of the loan.

In contrast, APR takes into account the compounding of interest over time and is considered a more accurate representation of the total cost of borrowing. Simple interest and sum of the digits also do not take into account the compounding of interest, but they are still less expensive than add-on interest.

Therefore, add-on interest is the most expensive method of calculating interest, and borrowers should be cautious when considering loans that use this method.

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if the marginal tax rate facing a consumer on the last dollar of earned income is greater than the average tax rate, the tax system is ________.

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If the marginal tax rate facing a consumer on the last dollar of earned income is greater than the average tax rate, the tax system is considered progressive.

A progressive tax system is one in which the tax rate increases as the income level rises. When the marginal tax rate (the tax rate applied to the last dollar of earned income) is higher than the average tax rate (total tax paid divided by total income), it indicates that higher-income individuals are being taxed at a higher rate proportionally.

The progressive tax system is designed to impose a greater tax burden on individuals with higher incomes, aiming to achieve a more equitable distribution of the tax burden across the population. As income increases, the tax rate gradually rises, resulting in a higher percentage of income being taxed.

By having a marginal tax rate higher than the average tax rate, the tax system ensures that individuals with higher incomes contribute a larger share of their income in taxes compared to those with lower incomes. This approach is often seen as a way to address income inequality and provide more substantial support for social programs and public services.

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which of the following results from workers' negotiating higher wages in the face of rising inflation in the short run?

Answers

One of the results from workers negotiating higher wages in the face of rising inflation in the short run is the potential contribution to cost-push inflation, where higher wages lead to increased production costs and subsequent price increases.

one of the results from workers negotiating higher wages in the face of rising inflation in the short run is "cost-push inflation."

cost-push inflation refers to a situation where the upward pressure on prices is primarily driven by increased production costs, including higher wages. when workers negotiate and successfully secure higher wages to compensate for the rising cost of living due to inflation, it can lead to a chain of events that contribute to inflationary pressures. here's how it unfolds:

1. wage increase: workers negotiate higher wages to maintain their purchasing power in the face of rising inflation. they seek compensation for the increased cost of living, aiming to preserve their real income.

2. increased production costs: higher wages directly impact production costs for businesses. as labor costs rise, businesses may experience increased expenses, which can influence their pricing decisions.

3. higher prices: to maintain profit margins or cover the increased costs, businesses may raise the prices of goods and services they offer. these price increases contribute to inflationary pressures in the economy, as the cost of goods and services goes up.

4. wage-price spiral: the wage increases obtained by workers can potentially create a feedback loop. as prices rise due to increased production costs, workers may demand further wage increases to keep up with the rising prices. this ongoing cycle of wage increases leading to price increases and vice versa is known as the wage-price spiral.

it is important to note that the relationship between wages and inflation is complex, and it can vary depending on various factors such as labor market conditions, productivity levels, and the overall economic environment. additionally, the impact of workers negotiating higher wages on inflation is primarily relevant in the short run, as long-term inflation dynamics are influenced by a multitude of factors beyond wage increases.

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2. discuss the specific objectives of the global initiative in environmental accounting.

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The global initiative in environmental accounting aims to create a comprehensive framework for integrating environmental considerations into economic decision-making. The specific objectives of this initiative can be categorized into three main areas: measuring and monitoring, reporting and disclosure, and decision-making.

Firstly, the initiative aims to develop standardized methodologies and metrics for measuring and monitoring the environmental impact of economic activities. This will enable businesses and governments to identify areas of high environmental risk and prioritize resource allocation accordingly. By providing accurate and reliable data, environmental accounting can support evidence-based policy-making and encourage more sustainable business practices.

Secondly, the initiative aims to improve reporting and disclosure practices, both within and across organizations. This involves promoting transparency and accountability by requiring businesses to disclose their environmental performance and impact. By doing so, environmental accounting can help to build trust and confidence among stakeholders, including investors, regulators, and consumers.

Finally, the initiative aims to support decision-making by integrating environmental considerations into economic analysis. This requires developing tools and frameworks for assessing the trade-offs between economic development and environmental protection. By providing decision-makers with a more complete understanding of the costs and benefits of different courses of action, environmental accounting can help to promote more sustainable development.

Overall, the global initiative in environmental accounting represents a major step towards integrating environmental considerations into economic decision-making. By setting clear objectives and promoting standardized methodologies, this initiative can help to ensure that environmental accounting becomes an integral part of the global economy.

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Which statement is NOT true regarding the effects of climate change on the global fishing industry?- rising sea levels and the decline of fish species will have a negative economic impact on approximately 2.5 billion people who rely on fishing for their source of income- warming waters are affecting the aquatic ecosystem and many fish species are rapidly declining- increased carbon dioxide absorption by the oceans has decreased the prevalence of coral bleaching- increased ocean acidification has led to decalcification of shellfish and a disturbance in the food chain- warming waters has increased disease (bacteria and parasites) among fish species

Answers

The statement that is NOT true regarding the effects of climate change on the global fishing industry is: increased carbon dioxide absorption by the oceans has decreased the prevalence of coral bleaching.

Climate change has significant impacts on the global fishing industry. Rising sea levels and the decline of fish species can have a negative economic impact on the 2.5 billion people who rely on fishing for their livelihood (a). Warming waters affect the aquatic ecosystem, leading to the rapid decline of many fish species (b). Increased ocean acidification due to carbon dioxide absorption has indeed led to the decalcification of shellfish and disturbances in the food chain (d). Furthermore, warming waters have been associated with an increase in diseases caused by bacteria and parasites among fish species (e).However, the statement that increased carbon dioxide absorption by the oceans has decreased the prevalence of coral bleaching is not true. In reality, increased carbon dioxide levels and warmer waters contribute to coral bleaching, which poses a significant threat to coral reef ecosystems.

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a) G.S.I. - Gross Scheduled Income, includes total rent for the occupied space plus potential rent payable for any vacant space.
b) G.O.I - Gross Operating Income, is calculated by adding any vacancy/ credit loss from Gross Scheduled Income.
1. Both, a and b are true.
2. a is true and b is false.
3. a is false and b is true.
4. Both, a and b are false.

Answers

The statement a is true and statement b is true because both Gross Scheduled Income (G.S.I.) and Gross Operating Income (G.O.I.) are measures used in real estate to assess the potential and actual income generated by a property. Option 1 is correct.

Gross Scheduled Income (G.S.I.) is the total potential income that a property could generate if all of its units were fully occupied and paying rent. It includes the total rent for the occupied space as well as the potential rent for any vacant space. G.S.I. does not take into account any vacancy or credit losses and represents the maximum amount of income that a property could generate.

Gross Operating Income (G.O.I.) is the actual income received by a property, taking into account any vacancy or credit loss. G.O.I. is calculated by subtracting any vacancy or credit loss from the G.S.I. It represents the income that a property is actually generating and is a more accurate measure of its financial performance.

Therefore, option 1 is correct.

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What is the ebusiness model that represents 80% of all online businesses and is typically more complex, requiring greater security needs?

Answers

The e-business model that represents 80% of all online businesses and is typically more complex, requiring greater security needs, is the Business-to-Business (B2B) transactions model.

The ebusiness model that represents 80% of all online businesses and is typically more complex, requiring greater security needs, is the B2B (business-to-business) model. This model involves transactions between two businesses, as opposed to B2C (business-to-consumer) which involves transactions between a business and a consumer. B2B transactions often involve larger sums of money and more sensitive information, such as trade secrets or financial data, which require higher levels of security measures.


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quetzaltenango candle inc. pays 30% of its purchases on account in the month of the purchase and 70% in the month following the purchase. if purchases are budgeted to be $50,000 for august and $60,000 for september, what are the budgeted cash payments for purchases on account for september? quetzaltenango candle inc. schedule of cash payments for purchases for the month ending september line item description amount $- select - - select - total payments for purchases on account $total payments for purchases on account

Answers

To calculate the budgeted cash payments for purchases on account for September, we need to consider the payment terms provided. The budgeted cash payments for

on account for September would be $42,000.

According to the given information, Quetzaltenango Candle Inc. pays 30% of its purchases on account in the month of the purchase and 70% in the

following the purchase. Therefore, for purchases made in August, 30% will be paid in August, and 70% will be paid in September.

Let's calculate the budgeted cash payments for purchases on account for September:

Calculate the amount paid in August:

August purchases = $50,000

[tex]Amount paid in August = \\0.30 of August purchases \\= 0.30 * $50,000\\ = $15,000[/tex]

Calculate the amount to be paid in September:

September purchases = $60,000

[tex]Amount to be paid in September \\= 0.7of September purchases \\= 0.7* $60,000 \\= $42,000[/tex]

Therefore, the budgeted cash payments for purchases on account for September would be $42,000.

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under the ______ (absorption,variable) costing method only total costs which vary with changes in production volume are assigned to products.

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Under the variable costing method, only the total costs that vary with changes in production volume are assigned to products.

This means that fixed costs such as rent, salaries, and depreciation are not included in the product cost.

Instead, these costs are treated as period expenses and are expensed in the period in which they are incurred. This method is also known as direct costing or marginal costing.

In contrast, absorption costing assigns both variable and fixed costs to products, making it a more comprehensive method of determining product cost.

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Under the variable costing method, only total costs that vary with changes in production volume are assigned to products.

This method focuses on the expenses that directly fluctuate depending on the level of production, such as direct materials, direct labor, and variable overhead. These costs are considered to be product costs because they can be directly traced back to the production of goods.

In contrast, the absorption costing method allocates both variable and fixed costs to products. Fixed costs, such as rent and salaries, do not change with the level of production and are considered to be period costs. However, absorption costing spreads these costs across all units produced, leading to a higher per-unit cost.

The main difference between these two methods is how they treat fixed overhead costs. Variable costing does not allocate fixed costs to individual products, while absorption costing does. As a result, the two methods may yield different results for product profitability and inventory valuation.

In summary, variable costing assigns only costs that vary with changes in production volume to products, while absorption costing allocates both variable and fixed costs. The choice between these methods depends on the management's objectives and decision-making requirements.

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When output is 50, fixed costs are $1,000, and variable costs are $2,000, what is the average total cost? $20 $40 $60 $80?

Answers

Average total cost is $60 when output is 50.

What is the average total cost?

To calculate the average total cost (ATC), we need to divide the total cost (TC) by the quantity produced (Q).

The formula for total cost is: TC = FC + VC, where FC represents fixed costs and VC represents variable costs.

In this scenario, the output or quantity produced (Q) is 50, fixed costs (FC) are $1,000, and variable costs (VC) are $2,000. So we can calculate the total cost as:

TC = FC + VC

TC = $1,000 + $2,000

TC = $3,000

Now that we know the total cost, we can calculate the average total cost as:

ATC = TC / Q

ATC = $3,000 / 50

ATC = $60

Therefore, the average total cost is $60.

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You are on the staff of Camden Inc. The CFO believes project acceptance should be based on the NPV, but Steve Camden, the president, insists that no project should be accepted unless its IRR exceeds the project's risk-adjusted WACC. Now you must make a recommendation on a project that has a cost of $15,000 and two cash flows: $110,000 at the end of Year 1 and $100,000 at the end of Year 2. The president and the CFO both agree that the appropriate WACC for this project is 10%. At 10%, the NPV is $2,355.37, but you find two IRRs, one at 6.33% and one at 527%, and a MIRr of 11.32%. Which of the following statements best describes your optimal recommendation, i.e., the analysis and recommendation is best for the company and least likely to get you in trouble with either the CFO or the president?a. You should recommend that the project be rejected because its NPV is negative and its IRR is less than the WACC.b. You should recommend that the project be rejected because, although its NPV is positive, it has an IRR that is less than the WACC.c. You should recommen that the project be accepted because (1) its NPV is positive and (2) although it has two IRRs, in this case it would be better to focus on the MIRR, which exceeds the WACC. You should explain this to the president and tell him that the firm's value will increase if the project is accepted.d. You should recommend that the project be rejected. Although its NPV is positive it has two IRRs, onoe of which is less than the WACC, which indicates that the firm's value will decline if the project is accepted.e. You should recommend that the project be rejected because, although its NPV is positive, its MIRR is less than the WACC, and that indicates that the firm's value will decline if it is accepted.

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The best recommendation for the company would be option c. The project should be accepted because its NPV is positive and its MIRR exceeds the WACC.

The fact that the project has two IRRs is not relevant since the MIRR takes into account the size and timing of all cash flows.

By using the MIRR, the project's cash flows are assumed to be reinvested at the WACC, which is a more realistic assumption than assuming reinvestment at the project's IRR.

Therefore, the MIRR provides a more accurate measure of the project's true rate of return and should be used instead of the IRR.

It is important to explain this to the president and emphasize that accepting the project will increase the firm's value.

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Which of the following sentences use correct punctuation? Check all that apply. Our corporation is based in Chicago-Illinois According to Smith (2007), "Enlightened stakeholder theory is a most appropriate and ethical management approach" (p. 23). Oliver's team was always open to (new ideas).

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Two of the three sentences use correct punctuation among the given options.

The sentences-

The first sentence, "Our corporation is based in Chicago-Illinois," is incorrect as it is missing a necessary comma between "Chicago" and "Illinois."

The second sentence, "According to Smith (2007), 'Enlightened stakeholder theory is a most appropriate and ethical management approach' (p. 23)," is correctly punctuated as it includes both quotation marks and parentheses in the appropriate places.

The third sentence, "Oliver's team was always open to (new ideas)," is also correctly punctuated with the use of parentheses around "new ideas."

Proper punctuation is essential to conveying clear and concise written communication.

Hence, the answer is second and third sentence have correct punctuation.

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Under which of the following conditions would a principal or employer be liable for the tort of an agent or employee
A. the tort was authorized by the principal
B. the tort occurred within the scope of employment
C. the tort was not authorized by the principal
D. both a and b are correct
E. none

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A principal or employer would be liable for the tort of an agent or employee if Option B. the tort occurred within the scope of employment.

To establish liability for the tort of an agent or employee, two conditions must be satisfied: authorization by the principal and occurrence within the scope of employment. If the principal authorizes or directs the agent or employee to commit the tortious act, the principal can be held liable for the resulting harm.

The scope of employment refers to actions undertaken by the agent or employee in furtherance of their job responsibilities or within the course of their employment. If the tortious act is committed while the agent or employee is carrying out their job duties or acting within the scope of their employment, the principal or employer can be held responsible for their actions.

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the amount of capital expenditures made, or to be made, at which the firm’s weighted average cost of capital increases.

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When a firm decides to make capital expenditures, they need to consider how it will impact their weighted average cost of capital (WACC).

WACC is the average cost of all the capital the company has raised, including equity and debt, and is used to evaluate the profitability of potential investments. If the amount of capital expenditures made exceeds the firm's WACC, it can result in an increase in the WACC. This is because the cost of the additional capital will be higher than the firm's current average cost. In this scenario, the firm needs to evaluate whether the potential benefits of the capital expenditures outweigh the increased cost of capital. If the benefits are substantial enough, the firm may still choose to proceed with the capital expenditures, even if it means their WACC increases. However, if the benefits are not significant enough to justify the increased cost of capital, the firm may need to reconsider its investment plans. In summary, the amount of capital expenditures made should be evaluated against the firm's WACC to ensure that the potential benefits of the investment outweigh the increased cost of capital.

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Consider a perpetuity-immediate that pays 10 dollars for the first five years and and then pays 15 for all the following years.

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The value of r will depend on the prevailing interest rates in the market, and the present value of the perpetuity-immediate will vary accordingly.

A perpetuity-immediate is an investment that pays a fixed amount of money at the end of each period indefinitely. In this case, the perpetuity-immediate pays $10 for the first five years and $15 for all the following years.

To calculate the present value of this perpetuity-immediate, we can use the formula PV = C/r, where PV is the present value, C is the cash flow per period, and r is the discount rate.

For the first five years, the cash flow is $10 per year, so the present value of those payments is:

PV1 = 10/ (1 + r) + 10/ (1 + r)^2 + 10/ (1 + r)^3 + 10/ (1 + r)^4 + 10/ (1 + r)^5

After the first five years, the cash flow is $15 per year, so the present value of those payments is:

PV2 = 15/r

Therefore, the present value of the perpetuity-immediate is:

PV = PV1 + PV2 = 10/ (1 + r) + 10/ (1 + r)^2 + 10/ (1 + r)^3 + 10/ (1 + r)^4 + 10/ (1 + r)^5 + 15/r.

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a.) The rate of return on the risk-free asset is 3 percent. What is the expected return of the overall stock market if the market risk premium is 5 percent?
b.) Continuing from the previous problem, note that BFA Inc. has a beta of 1.3. What is the required rate of return for the BFA Inc.?
c.) Continuing from the previous problem, note that BFA Inc. has a beta of 1.3. What is the required rate of return for the BFA Inc.?

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a) The expected return of the overall stock market can be calculated using the Capital Asset Pricing Model (CAPM), which states that the expected return of an asset is equal to the risk-free rate plus the product of the market risk premium and the asset's beta.

Using the given information, we can calculate the expected return of the overall stock market as follows:

The expected return of the overall stock market = Risk-free rate + Market risk premium

= 3% + 5%

= 8%

Therefore, the expected return of the overall stock market is 8%.

b) The required rate of return for BFA Inc. can be calculated using the same CAPM formula, but substituting BFA Inc.'s beta for the asset's beta.

Using the given information, we can calculate the required rate of return for BFA Inc. as follows:

The required rate of return for BFA Inc. = Risk-free rate + (BFA Inc.'s beta x Market risk premium)

= 3% + (1.3 x 5%)

= 9.5%

Therefore, the required rate of return for BFA Inc. is 9.5%.

c) This part of the question appears to be a duplicate of part b. Therefore, the answer is the same: the required rate of return for BFA Inc. is 9.5%.

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The Target Date 2025 fund is for older people than the Target Date 2060 Fund and so the 2025 fund is lower risk than the 2060 Fund meaning it has a lower percentage invested in stocks. a) True b) False

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The statement "The Target Date 2025 fund is for older people than the Target Date 2060 Fund and so the 2025 fund is lower risk than the 2060 Fund meaning it has a lower percentage invested in stocks" is true. Target date funds are investment portfolios designed to adjust their asset allocation to become more conservative as the target date (the year when the investor expects to retire) approaches.

As the target date nears, the fund's allocation to stocks reduces while its allocation to bonds and other fixed-income securities increases, reducing the overall risk of the portfolio.

In this case, the Target Date 2025 fund has a target date that is closer to the present year, indicating that the investors who choose this fund are planning to retire in the next five years. Therefore, the fund is designed to have a lower percentage invested in stocks and a higher percentage invested in bonds and other fixed-income securities, reducing the overall risk of the portfolio.

On the other hand, the Target Date 2060 fund has a longer time horizon, meaning that investors who choose this fund are planning to retire in about 40 years. The fund, therefore, has a higher percentage invested in stocks and a lower percentage invested in bonds, as it can afford to take on more risk in pursuit of higher returns over the long term.
Your answer: a) True

The Target Date 2025 fund is for older people than the Target Date 2060 fund. Target date funds are designed to adjust their asset allocation over time to become more conservative as the target date approaches. This means that as the fund gets closer to its target date, the percentage of assets invested in stocks decreases while the percentage invested in bonds and other less risky investments increases.

Since the Target Date 2025 fund is closer to its target date than the 2060 fund, it will have a lower percentage invested in stocks and a higher percentage in bonds and other less risky investments. This makes the 2025 fund lower risk compared to the 2060 fund.

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The intellectual property of an organization is a(n): intangible resource that can be monetized intangible resource that cannot be monetized tangible capability that can be monetized intangible capability that cannot be monetized

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The intellectual property of an organization is an intangible resource that can be monetized. Intellectual property refers to creations of the mind, such as inventions, literary and artistic works, symbols, names, and designs, that are used in commerce.

These creations are protected by laws such as patents, copyrights, trademarks, and trade secrets, which give the owners exclusive rights to use and exploit their intellectual property. Intellectual property can be monetized by licensing, selling, or using it to generate revenue through products or services. For example, a company that owns a patent for a new technology can license it to other companies or sell it for a profit. Similarly, a company that owns a trademark or a copyrighted work can use it to market its products or services and generate revenue.

In summary, the intellectual property of an organization is an intangible resource that can be monetized, and its value depends on the creativity and innovation of the organization. This was a long answer to your question, but I hope it helped to explain the concept of intellectual property.

The intellectual property of an organization is an "intangible resource that can be monetized." Intellectual property refers to creations of the mind, such as inventions, literary and artistic works, designs, and symbols. Although it is intangible, organizations can monetize intellectual property by protecting it through patents, copyrights, and trademarks, and then licensing, selling, or leveraging these assets to generate revenue.

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an accommodation party is a direct beneficiary of the value received from lending your credit on an instrument. true or false

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An accommodation party is not a direct beneficiary of the value received from lending your credit on an instrument.

An accommodation party refers to a person or entity who signs a negotiable instrument, such as a promissory note or a loan agreement, as a guarantor or co-signer without receiving direct benefit from the transaction.

The primary purpose of an accommodation party is to provide creditworthiness and assurance to the lender or creditor. They do not receive the value or benefit directly from the transaction. Instead, their involvement serves as a form of security or assurance for the lender.

Accommodation parties are typically responsible for repaying the debt or fulfilling the obligations if the primary debtor defaults. Therefore, they are not considered the direct beneficiary of the value received from lending credit on an instrument.

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