Oaktree Company purchased new equipment and made the following expenditures: Purchase price Sales tax Freight charges for shipment of equipment Insurance on the equipment for the first year Installation of equipment $56,000 3,300 810 1,010 2,100 The equipment, including sales tax, was purchased on open account, with payment due in 30 days. The other expenditures listed above were paid in cash. Required: Prepare the necessary journal entries to record the above expenditures. (If no entry is required for a transaction/event, select "No journal entry required" in the first account field.)

Answers

Answer 1

To record the expenditures related to the purchase of equipment by Oaktree Company, the following journal entries are required:

Purchase of Equipment: Equipment (Asset) $56,000 ,Accounts Payable

Payment of Sales Tax: Accounts Payable $3,300, Cash

Payment of Freight Charges: Equipment (Asset) $810,Cash

Payment of Insurance: Prepaid Insurance (Asset) $1,010,Cash

Payment of Installation Charges: Equipment (Asset) $2,100 ,Cash

The first journal entry records the purchase of equipment on open account, which increases the equipment asset account and creates an accounts payable liability.

The second journal entry reflects the payment of sales tax in cash, reducing the accounts payable liability.

The third journal entry records the payment of freight charges in cash, which increases the cost of the equipment asset.

The fourth journal entry represents the payment of insurance for the first year. It reduces the cash account and increases the prepaid insurance asset, as it covers future periods.

The fifth journal entry accounts for the cash payment made for the installation charges, increasing the cost of the equipment asset.

The necessary journal entries to record the expenditures related to the purchase of equipment have been provided. These entries correctly reflect the impact of each transaction on the relevant accounts, ensuring accurate recording of the equipment acquisition and associated costs.

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Related Questions

Suppose the firms in a monopolistically competitive market are incurring economic losses. What will happen to move the market to its long-run equilibrium?
A. More close substitutes will appear in the market until economic profits are zero.
B. The firms that dropped out of the market will reenter once the level of economic losses is zero.
C. Firms will continue to exit the market until economic losses are equal to zero.
D. The demand functions of all the firms remaining in the market will become relatively more elastic.

Answers

Therefore, option C is the correct answer. Firms will continue to exit the market until economic losses are equal to zero,

restoring equilibrium in the long run.In a monopolistically competitive market, if firms are incurring economic losses in the short run, there will be an incentive for firms to exit the market. As firms exit, the overall supply in the market decreases, which reduces competition among the remaining firms. This reduction in competition allows the remaining firms to increase their market share and potentially charge higher prices.As firms continue to exit, the reduced supply leads to a decrease in the quantity of goods available in the market. Eventually, the decrease in supply will align with the market demand, resulting in a point where economic losses for the remaining firms become zero. At this point, the market reaches its long-run equilibrium.

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Based on the wage-bracket method, what is the federal income tax
withholding for an employee who is married, paid on a bi-weekly basis,
has two federal withholding allowances, and earns $1,317?
$63
$120
$67

Answers

Option (c), The federal income tax withholding for the given scenario is $67.

To calculate the federal income tax withholding for an employee who is married, paid on a bi-weekly basis, has two federal withholding allowances, and earns $1,317, we need to follow the wage-bracket method.

Step 1: Determine the employee's gross pay for the pay period. In this case, it is $1,317.

Step 2: Determine the number of withholding allowances claimed by the employee. Here, the employee has two federal withholding allowances.

Step 3: Using the IRS Publication 15-T, find the appropriate wage-bracket table for the employee's payroll period (bi-weekly) and filing status (married). The table for bi-weekly payroll and married employees is Table 6.

Step 4: Locate the row that contains the employee's gross pay. In this case, it is the row for $1,317.

Step 5: Find the column that corresponds to the number of withholding allowances claimed by the employee. Here, it is the column for 2 allowances.

Step 6: The intersection of the row and column from Step 4 and Step 5 gives us the federal income tax withholding amount. In this case, it is $67.

Therefore, the federal income tax withholding for an employee who is married, paid on a bi-weekly basis, has two federal withholding allowances, and earns $1,317 is $67.

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For each of the following, identify in which part of the balance-of-payments account the transaction is recorded (current account, capital account, or net change in inte…
For each of the following, identify in which part of the balance-of-payments account the transaction is recorded (current account, capital account, or net change in international reserves) and whether it is a
receipt or a payment.
a. A British subject's purchase of a share of Johnson \& Johnson stock
b. An American citizen's purchase of an airline ticket from Air France
c. The Swiss government's purchase of U.S. Treasury bills
d. A Japanese citizen's purchase of California oranges
e. million of foreign aid to Honduras
f. A loan by an American bank to Mexico
g. An American bank's borrowing of Eurodollars

Answers

The balance of payments is a statement of all transactions made between a country and the rest of the world during a given period of time. It is divided into three main accounts: the current account, the capital account, and the financial account.

The current account records all transactions in goods and services, as well as income flows and current transfers. The capital account records all transactions in financial assets, such as stocks, bonds, and loans. The financial account records all transactions in foreign exchange reserves.

A receipt is a transaction that results in an inflow of funds into a country, while a payment is a transaction that results in an outflow of funds from a country.

a. A British subject's purchase of a share of Johnson & Johnson stock is recorded in the capital account as a receipt.

b. An American citizen's purchase of an airline ticket from Air France is recorded in the current account as a payment.

c. The Swiss government's purchase of U.S. Treasury bills is recorded in the capital account as a receipt.

d. A Japanese citizen's purchase of California oranges is recorded in the current account as a payment.

e. $100 million of foreign aid to Honduras is recorded in the current account as a receipt.

f. A loan by an American bank to Mexico is recorded in the capital account as a payment.

g. An American bank's borrowing of Eurodollars is recorded in the capital account as a receipt.

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Hal Thomas wants to establish a savings fund from which a community organization could draw $1,310 a year for 25 years of the account earns 3 percent, what amount would he have to deposit now to achieve this goal? Use Exhibit 1.D (Round time value factor to 3 decimal places and final answer to 2 decimal places.) Amount to be deposited

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Hal Thomas would need to deposit approximately $25,416.44 now to achieve the goal of providing $1,310 per year for 25 years, assuming an interest rate of 3%.

To determine the amount Hal Thomas needs to deposit now to achieve the goal of providing $1,310 per year for 25 years, we can use the concept of present value. Present value calculates the current worth of a future sum of money, taking into account the interest rate and the time period.

The formula to calculate the present value of an annuity is:

Present Value = Annual Payment * (1 - (1 + Interest Rate)^(-Number of Years)) / Interest Rate

Plugging in the given values:

Annual Payment = $1,310

Interest Rate = 3% or 0.03

Number of Years = 25

Present Value = [tex]\$1,310 \times [1 - (1 + 0.03)^{(-25)}] / 0.03[/tex]

Using a financial calculator or spreadsheet, the present value is approximately $25,416.44. Therefore, Hal Thomas would need to deposit approximately $25,416.44 now to achieve the goal of providing $1,310 per year for 25 years, assuming an interest rate of 3%.

By depositing this amount upfront, it would accumulate interest over the 25-year period, allowing for the withdrawal of $1,310 annually. This approach ensures that Hal Thomas will have sufficient funds to meet the organization's needs for the specified duration.

It's important to note that the calculation assumes a constant interest rate and annual withdrawals of $1,310. Market fluctuations, changes in interest rates, or additional expenses could impact the actual amount required.

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a commonly used computerized means of integrating order processing with production, inventory, accounting, and transportation is

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Enterprise Resource Planning (ERP) is a commonly used computerized means of integrating order processing with production,

inventory, accounting, transportation a commonly used computerized means of integrating order processing with production, inventory, accounting, and transportation is an Enterprise Resource Planning (ERP) system.

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earley corporation issued perpetual preferred stock with a 12% annual dividend. the stock currently yields 8%, and its par value is $100. round your answers to the nearest cent. what is the stock's value?

Answers

The value of the perpetual preferred stock is $150. The value of the perpetual preferred stock can be calculated using the dividend discount model (DDM) formula.

The value of the perpetual preferred stock can be calculated using the dividend discount model (DDM) formula, which is V = D / R, where V is the stock's value, D is the annual dividend, and R is the required rate of return or yield.

In this case, the annual dividend is 12% of the par value, which is $100. Therefore, the annual dividend (D) is $100 * 0.12 = $12.

The stock currently yields 8%, so the required rate of return or yield (R) is 0.08.

Now, we can calculate the stock's value (V) using the DDM formula:

V = D / R

V = $12 / 0.08

V = $150

Therefore, the value of the perpetual preferred stock is $150.

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calculations of surplus?
a. can clearly show who production possibilities from policies such as taxes and minimum wages. b. can clearly show who earns economic profits from policies such as taxes and minimum wages. c. can clearly show who benefits and who loses from policies such as taxes and minimum wages. d. can clearly show unemployment from policies such as taxes and minimum wages.

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Calculations of surplus c. can clearly show who benefits and who loses from policies such as taxes and minimum wages.

By comparing the total surplus before and after the implementation of these policies, it is possible to determine the impact on different groups, including producers, consumers, and the government.

This analysis can help policymakers understand the distributional effects of their decisions and make more informed choices. While calculations of surplus may indirectly reveal the level of unemployment resulting from policies such as taxes and minimum wages, this is not their primary purpose.

So in conclusion, the calculation of the surplus c. clearly shows who benefits and who loses from policies such as taxes and minimum wages.

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Which of the following is true regarding actions that may be taken while an automatic stay is in effect in a Chapter 7 proceeding?
A. Creditors can attempt to repossess property.
B. A creditor who received a judgment against the debtor prior to the bankruptcy filing may act to enforce the judgment.
C. Legal actions to collect child support payments are not subject to the automatic stay.
D. Legal actions to determine paternity are subject to the automatic stay.
E. Legal actions to determine alimony payments are subject to the automatic stay.

Answers

Legal actions to collect child support payments are not subject to the automatic stay. In regards to actions that may be taken while an automatic stay is in effect in a Chapter 7 proceeding.

the correct answer is: C

Legal actions to collect child support payments are not subject to the automatic stay. While an automatic stay generally halts most actions by creditors, certain exceptions apply, including legal actions to collect child support payments. Legal actions to collect child support payments are not subject to the automatic stay. In regards to actions that may be taken while an automatic stay is in effect in a Chapter 7 proceeding.

Other legal actions related to paternity and alimony payments, as well as attempts to repossess property or enforce judgments, are typically subject to the automatic stay.Legal actions to collect child support payments are not subject to the automatic stay. While an automatic stay generally halts most actions by creditors, certain exceptions apply, including legal actions to collect child support payments.

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You will analyze the 2006-2016 period; these are the years that have the same unemployment rates that book-end the period, 4.7% in both January of 2006 and in December of 2016.
Go to BLS.gov and look for 1) the Unemployment Rate; 2) Labor Force Participation Rate; and 3) hours of work (search: total private average weekly hours of all employees).
The purpose of this box is to document and explain these three indicators during the Great Recession and unify the three measures into a single view of the labor market in the context of the financial crisis.
The participation rate and hours correspond to the extensive and intensive margins, respectively. The "extensive margin" refers to whether or not to work, and the "intensive margin" refers to how many hours, once one has decided to work (in line with the labor-leisure model of the household).
The box should reflect your familiarity with the concepts and the definitions. And, as always, the charts should have a title and have the axis labeled (with time in x-axis, and label variable(s) and units in the y-axis).

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During the period of 2006-2016, with unemployment rates of 4.7% in both January 2006 and December 2016, an analysis of three indicators from the Bureau of Labor Statistics (BLS) is necessary.

1) Unemployment Rate, 2) Labor Force Participation Rate, and 3) hours of work (total private average weekly hours of all employees). This analysis aims to provide insight into the labor market in the context of the Great Recession, offering a comprehensive understanding of the extensive and intensive margins related to employment and hours worked. To gain a comprehensive view of the labor market during the financial crisis, the Unemployment Rate, Labor Force Participation Rate, and hours of work should be examined. The Unemployment Rate provides a measure of the proportion of the labor force that is unemployed and actively seeking employment. The Labor Force Participation Rate indicates the percentage of the population that is either employed or actively seeking employment. Finally, the hours of work metric focuses on the average weekly hours worked by employees in the private sector.

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Given the conflict between risk and return, the purpose of capital structure management is to find the debt level:
A) where the price of company stock is maximized
B) that is equal in dollar value to the equity level
C) that most adequately supports corporate goals
D) that will always be kept below the equity level

Answers

The purpose of capital structure management is to find the optimal debt level that balances the benefits and costs of debt financing, taking into account the trade-off between risk and return. Debt financing typically involves fixed interest payments that are tax-deductible, which can reduce the cost of capital and increase the return on equity for shareholders.

The correct answer is c .

Therefore, capital structure management involves determining the right mix of debt and equity financing that maximizes the overall value of the firm, given its operating characteristics, market conditions, and financial goals. This involves analyzing the effect of different levels of debt on the firm's cost of capital, earnings, cash flow, and risk profile, as well as the potential benefits and drawbacks of different types of debt instruments, such as bonds, loans, leases, or convertible securities. In general, the optimal debt level is the one that balances the tax benefits of debt against the costs of financial distress, agency costs, and other factors that affect the firm's risk and value. This level can vary depending on the industry, the size and growth prospects of the firm, the availability and cost of debt and equity capital, and the preferences of investors and creditors. Therefore, there is no single answer or formula for determining the optimal debt level for every firm or situation.

The trade-off theory, which suggests that there is an optimal debt level that maximizes the value of the firm by balancing the tax advantages of debt with the expected costs of financial distress. This theory implies that the cost of equity increases as the debt level rises, due to higher risk and agency costs, while the cost of debt rises as the risk of default increases, due to lower creditworthiness and collateral value. Therefore, the optimal debt level is the one that minimizes the weighted average cost of capital (WACC), which is the average cost of debt and equity financing weighted by their proportion in the capital structure. The pecking order theory, which suggests that firms prefer to finance their investments with internal funds (retained earnings) first, then with debt, and finally with equity, based on the cost and availability of each source of financing. This theory implies that the optimal debt level is the one that reflects the natural order of financing preferences, rather than a deliberate choice based on risk and return trade-offs. Therefore, the debt level may vary over time as the firm's cash flow, investment opportunities, and dividend policy change.

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an agreement between shareholders to restrict the transfer of a closely held corporation's stock is illegal. true false

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False. An agreement between shareholders to restrict the transfer of a closely held corporation's stock is generally legal as long as it is not in violation of any laws or regulations. Such agreements are commonly used to maintain control and stability within a closely held corporation.

An agreement between shareholders to restrict the transfer of a closely held corporation's stock is not necessarily illegal. Such agreements, known as stock transfer restrictions or buy-sell agreements, are common in closely held corporations to protect the interests of shareholders and maintain control over the ownership structure. These agreements may include provisions that require shareholders to offer their shares to existing shareholders or the corporation before selling them to third parties.

However, the enforceability of these agreements may vary depending on jurisdiction and specific legal requirements. It is essential to consult legal professionals and comply with applicable laws and regulations when implementing stock transfer restrictions in a closely held corporation.

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The principal similarity between business and military strategy is that:
a. They share the same objective: to annihilate rivals
b. They share common concepts and principles
c. The nature of leadership is much the same whether in a military or business context
d. They are both concerned with tactical maneuvers that can establish positions of advantage.

Answers

The principal similarity between business and military strategy is that- b. they share common concepts and principles.

What do  they require?

Both require strategic thinking, planning, and execution to achieve their objectives. In both contexts, the importance of understanding the competitive landscape, assessing strengths and weaknesses, and exploiting opportunities are crucial. Effective leadership is also vital in both military and business settings.

While the ultimate objective of business is not necessarily to annihilate rivals, both business and military strategies are concerned with tactical maneuvers that can establish positions of advantage.

Ultimately, the similarities between these two areas of strategy demonstrate that strategic thinking is a critical skill that can be applied across a range of contexts and disciplines.

Hence, option b. is correct.

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The Vinho Winery in Lodi, California produces about one million cases of wine a year. It sells its wine wholesale to four independent wine distributors: Riverside, CA; Oakland, CA; Portland, OR; and Seattle, WA. They produce three varieties of wine: Ruby Red, Murky White, and Whole-Earth Organic. The grapes used to produce the three varieties differ, and their production volumes (augmented by grapes bought from other growers) must be planned at least a year in advance of being pressed into wine. The wine must be aged a year before being sold. Vinho Winery advertises their wines in the areas surrounding their four independent wine distributors, and the cost of this marketing is included in the wine production costs. Vinho contracts with a private trucking company to move full truckloads of wine. A full truck will consist of 24 pallets of wine, totaling 2,688 cases (16,128 bottles). The minimum shipment they will sell is a pallet of wine (112 cases), and they contract out delivery of the pallets unless the cost will exceed the cost of using one of their private trucking company’s trucks. Vinho has brokers arrange cargo to be carried on the return trip (backhaul) to avoid having their trucks return empty and needing to pay for the round trip. Since little Lodi is not a major transportation destination, only part of the return trip can be used. (For example, the return from Seattle can be used to move cargo from Seattle to Eureka, but not all the way to Lodi). Vinho Winery was recently bought by a private equity firm, and they want an assessment of current operations. Once completed, they want plans to optimize operations. You are the management consultant who will conduct the assessment and develop the plans. You will be required to create and program spreadsheets for your analysis and conclude with summary statements. For the Lodi Winery, you have been asked by management to examine the data collected and analyzed in the previous modules. The objective is for you to help management decide on the right mix of wine bottles to sell based on newly derived profit information while considering the limitations of the particular types of grapes available for production. While doing more research on wine production, you realize that it takes 3.5 pounds of grapes to make a bottle of wine. In addition, you already were provided the price per bottle that the distributors are paying for each variety of wine: Price for Red Wine ($) Price for White Wine ($) Price for Organic Wine ($) 7.50 8.00 12.00 After discussing wine production with the operations manager, you also learn that the wineries that supply the grapes to produce the above types of wine can produce up to a total of 200,000 pounds of grapes for a six-month supply of wine bottles for the three markets, with the following expected. distribution constraints based on types of grapes. Note that current market demand will not support more than the below constraints for each type: Red wine ceiling 22,000 bottles White wine ceiling 24,000 bottles Organic wine ceiling 12,000 bottles Note that the production cost per bottle remains the same as before, that is, 32% of sales or revenue for red wine, 42.5% of sales for white wine, and 52.5% for organic wine. With additional information you have gathered, you are now ready to determine the optimum production mix to maximize profit.
A. Using a pivot table, determine the percentage of wine varieties sold from each distribution center. Illustrate your results in the form of a pie chart. Hint: Create a pivot table using the data spreadsheet as its basis. B. Generate a labeled bar chart that illustrates the sum of wine varieties sold to each distribution center. C. Using the pivot table already created, calculate the total amount of revenue generated for each distribution center. Illustrate your results on a bar chart. Hints: Production cost data is provided in the Costs and Distances tab. Make sure you don’t mix your units of measurement (i.e., pallets, cases, or bottles). D. Using the IF function, calculate the central tendencies (mean, median, and mode) of shipment volume for each distribution center. Illustrate your results in a table. (Do NOT use a pivot table or manually identify each cell to be evaluated.) E. Analyze the frequency of shipment by size using a histogram. Use the following bin sizes (number of pallets): 72, 48, 24, 18, 12, 6, 3, 1. F. Create a shipment histogram to show the distribution of shipments for Portland and Riverside. Use the same bin sizes as you did in Part E. Hint: Use the alphabetical sort for the destination column, and select Data Analysis to plot the frequency of pallet shipments using the bin sizes listed for the two destinations separately. G. Provide a summary statement that describes the inefficiencies in the organizational sales analysis. In your response, explain why this information is important for influencing management decisions.

Answers

A. To determine the percentage of wine varieties sold from each distribution center, we can create a pivot table using the provided data. The pivot table will summarize the data and calculate the percentages automatically. Once we have the pivot table, we can create a pie chart to illustrate the results.

B. To generate a labeled bar chart showing the sum of wine varieties sold to each distribution center, we can use the pivot table created in part A. We'll create a bar chart using the distribution center as the x-axis and the sum of wine varieties as the y-axis.

C. Using the pivot table created in part A, we can calculate the total revenue generated for each distribution center. The revenue can be calculated by multiplying the sum of wine varieties sold by their respective prices. We can then create a bar chart to illustrate the total revenue for each distribution center.

D. To calculate the central tendencies (mean, median, and mode) of shipment volume for each distribution center, we can use the IF function. We'll extract the shipment volume for each distribution center and calculate the mean, median, and mode using appropriate statistical functions. The results can be presented in a table.

E. To analyze the frequency of shipment by size, we can create a histogram using the provided bin sizes. The histogram will show the distribution of shipment sizes based on the number of pallets.

F. For the shipment histogram of Portland and Riverside, we'll use the same bin sizes as in part E. We'll filter the data for Portland and Riverside separately and create individual histograms to show the distribution of shipments for each destination.

G. In the summary statement, we'll describe the inefficiencies in the organizational sales analysis. We'll explain why this information is important for influencing management decisions, highlighting the need for optimizing the production mix, addressing distribution constraints, and maximizing profit based on the available grape supply and market demand.

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What is the expected rate of return (Re) for a company with a beta of 1.08 when you estimate the risk free rate of return (Rf) to be 2.5% and the market rate of return (Rm) to be 11%?

Answers

To calculate the expected rate of return (Re) for a company, we can use the Capital Asset Pricing Model (CAPM), which takes into account the risk-free rate of return (Rf), the company's beta (β), and the market rate of return (Rm).

The formula for calculating the expected rate of return is:

Re = Rf + β * (Rm - Rf)

Given that the risk-free rate of return (Rf) is 2.5%, the market rate of return (Rm) is 11%, and the company's beta (β) is 1.08, we can substitute these values into the formula to find the expected rate of return (Re):

Re = 2.5% + 1.08 * (11% - 2.5%)

Re = 2.5% + 1.08 * 8.5%

Re = 2.5% + 9.18%

Re = 11.68%

Therefore, the expected rate of return (Re) for the company with a beta of 1.08 is 11.68%.

This indicates that investors would expect to earn a return of approximately 11.68% on their investment in this company, taking into account the level of systematic risk (measured by beta) and the overall market conditions.

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debbie and steve are discussing a lecture given by their ethics professor after class one day. the professor said that misstatements of earnings are always unethical. debbie agrees with this situation, but steve does not. what statement might steve make to best support his point of view? multiple choice it depends on whether the misstatements were made deliberately it depends on whether a user relied on the financial statements it depends on whether the statements lead to a modified or unmodified opinion all are valid statements for steve to support his point of view

Answers

Steve might make the statement "It depends on whether the misstatements were made deliberately" to best support his point of view.

Steve's statement highlights the key factor that influences the ethics of misstatements of earnings. He argues that the ethical implications depend on the intent behind the misstatements. If the misstatements were made deliberately, with the intention to deceive or manipulate financial results, then they would be considered unethical. However, if the misstatements were unintentional errors or mistakes, the ethical judgment may differ.

Deliberate misstatements of earnings are generally regarded as unethical because they involve intentionally providing false or misleading information to stakeholders, such as investors, creditors, or regulators. This action undermines the principles of transparency, accuracy, and integrity that are fundamental to financial reporting and can lead to significant consequences.

On the other hand, unintentional misstatements may be considered less unethical, as they may result from errors, misinterpretations, or mistakes in accounting processes or judgments. In such cases, the focus shifts towards addressing and correcting the errors promptly and transparently, rather than attributing ethical culpability.

Therefore, Steve's statement highlights the significance of intent when assessing the ethical implications of misstatements of earnings, emphasizing that deliberate misstatements are generally seen as unethical, while unintentional errors may be viewed differently depending on the circumstances.

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Which of the following defines the content of sentiment analysis?
a. Trends of positive sentiment, volume of negative sentiment, and changeability of neutral sentiment
b. Trends of negative sentiment, volume of positive sentiment, and changeability of neutral sentiment
c. Positive, neutral, and negative sentiment; trends of sentiment; and volume of sentiment
d. Trends of positive sentiment, volume of neutral sentiment, and changeability of negative sentiment

Answers

Sentiment analysis is the process of identifying, extracting, and quantifying subjective information from textual data. It involves analyzing the emotions, opinions, and attitudes expressed in a piece of text. The content of sentiment analysis includes positive, neutral, and negative sentiment, trends of sentiment, and volume of sentiment.

Option C is the correct answer as it defines the content of sentiment analysis accurately. Positive, neutral, and negative sentiment are the three main types of sentiment that are identified in sentiment analysis. Trends of sentiment refer to the changes in sentiment over time. Volume of sentiment refers to the amount of sentiment expressed in a particular text or over a period of time.

Option A and D are incorrect as they mix up the different types of sentiment and their corresponding variables. Option B is also incorrect as it does not mention positive sentiment, which is an essential component of sentiment analysis. In conclusion, sentiment analysis is a powerful tool that can be used to understand public opinion, customer feedback, and social trends by analyzing the sentiment expressed in textual data.

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who is affected by the individual consumer tolerance of risk

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The individual consumer is directly affected by their own tolerance of risk. Tolerance of risk refers to an individual's willingness to take on risk when making decisions. It can be influenced by a variety of factors such as age, income, and personal experiences.

If an individual has a high tolerance for risk, they may be more willing to invest in risky investments or make bold decisions. On the other hand, if an individual has a low tolerance for risk, they may be more conservative in their decision-making. Ultimately, it is the individual consumer themselves who is affected by their own tolerance of risk. The individual consumer, businesses, and the overall economy are affected by the individual consumer tolerance of risk. The individual consumer tolerance of risk refers to the level of risk a person is willing to accept when making decisions, particularly financial ones.

When a consumer has a high tolerance for risk, they may be more likely to invest in riskier ventures or make riskier purchases. On the other hand, a consumer with a low tolerance for risk may be more conservative in their financial decisions. The individual consumer's risk tolerance can impact businesses as it influences their sales and investments. For example, if consumers are generally risk-averse, businesses may find it challenging to sell innovative or untested products. Additionally, the overall economy can be affected by the aggregate risk tolerance of consumers, as it influences the level of spending, investment, and economic growth. When consumers are more willing to take risks, it can lead to increased economic activity and, potentially, higher growth.

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analysts who build statistical models to identify stocks that are likely to outperform

Answers

Analysts who build statistical models to identify stocks that are likely to outperform are utilizing quantitative analysis techniques in their investment research.

These analysts employ various statistical models and methodologies to evaluate and predict the performance of different stocks in the market.

Quantitative analysis involves the use of mathematical and statistical tools to analyze financial data and identify patterns, trends, and relationships that can guide investment decisions. By developing statistical models, analysts aim to uncover factors and variables that have historically been correlated with stock outperformance.

These models may incorporate a wide range of data, including historical price movements, financial ratios, company fundamentals, market indicators, and economic data. Analysts use statistical techniques such as regression analysis, factor modeling, time series analysis, and machine learning algorithms to identify relevant patterns and relationships within the data.

Through backtesting and validation, analysts assess the predictive power and effectiveness of their models. They often refine and optimize the models based on historical data to enhance their accuracy in identifying stocks that are more likely to outperform the market or specific benchmarks.

It's important to note that while statistical models can provide valuable insights, they are not foolproof. Market conditions and unforeseen events can impact stock performance, and there is always a degree of uncertainty in financial markets. Therefore, these models should be used as one tool among many in the investment decision-making process.

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determine the values of investment amount (alternative values for $6,000 in problem 3.2-3) that will render the investment constraint redundant.

Answers

Any investment amount greater than or equal to $6,000 would render the constraint redundant.

to determine the values of investment amount that will render the investment constraint redundant, we need to consider the context and specific conditions provided in problem 3.2-3. since the problem details were not provided, i'll assume a general approach.

let's assume that in problem 3.2-3, there is an investment constraint that limits the maximum investment amount to $6,000. to render this constraint redundant, we need to identify alternative values that make the constraint ineffective.

if the constraint is rendered redundant, it means that there are no limitations on the investment amount. in this case, any investment amount, regardless of its value, would be acceptable. for example, alternative values such as $6,001, $10,000, or even larger amounts would all satisfy the condition of making the investment constraint redundant. the specific values would depend on the requirements and context of the problem you are referring to.

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Assume that a one-year Treasury strip yield is currently 3% and a BB-rated zero-coupon bond with similar maturity yield is 7%. Which of the following is true?

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The BB-rated zero-coupon bond has a higher yield of 7% compared to the 3% yield of the one-year Treasury strip.

The given information suggests that the yield on a one-year Treasury strip is 3% and the yield on a BB-rated zero-coupon bond with a similar maturity is 7%. Based on this, the following statement is true:

The BB-rated bond has a higher yield than the Treasury strip due to its higher credit risk.

Yield represents the return an investor receives on a bond relative to its price. It is influenced by factors such as the bond's credit quality, maturity, and prevailing interest rates.

In this case, the 7% yield on the BB-rated bond indicates that investors are demanding a higher return to compensate for the higher credit risk associated with this bond. BB-rated bonds are considered speculative or non-investment grade, indicating a relatively higher risk of default compared to Treasury bonds.

On the other hand, the 3% yield on the one-year Treasury strip suggests a lower yield due to the higher credit quality associated with Treasury bonds. Treasury bonds are backed by the full faith and credit of the government, making them considered virtually risk-free.

Therefore, the true statement is that the BB-rated bond has a higher yield than the Treasury strip. This higher yield compensates investors for the additional credit risk they are taking by investing in a bond with a lower credit rating.

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the dammon corporation has the following investment opportunities:machine a($10,000 cost)inflows machine b($22,500 cost)inflows machine($35,500 cost)inflows year 1$ 6,000year 1$ 12,000year 1$ -0-year 23,000year 27,500year 230,000year 33,000year 31,500year 35,000year 4-0-year 41,500year 420,000under the payback method and assuming these machines are mutually exclusive, which machine(s) would dammon corporation choose?multiple choice a) machine a. b) machine b. c) machine c. d) machine a and b.

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According to the payback method, Dammon Corporation would choose machines A and B since they have a shorter payback period than- C. machine C.

What is the reason?

Machine A would pay back its cost in less than two years while machine B would pay back its cost in just over two years.

Machine C, on the other hand, has a payback period of more than three years. The payback method is a useful tool for businesses to compare investment opportunities and make informed decisions about which project to choose. It calculates the time it takes for an investment to pay back its initial cost, which helps companies determine the risk and potential return of a project.

However, it does not take into account the profitability of the investment beyond the payback period, which is a limitation of this method.

Option c. is correct.

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has sales of $663,000, costs of $325,000, depreciation expense of $69,000, interest expense of $44,500, and a tax rate of 21 percent. (Do not round intermediate calculations.) What is the net income for the firm? Suppose the company paid out $45,000 in cash dividends. What is the addition to retained earnings? Net income Addition to retained earnings

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The net income for the firm is $85,270. The addition to retained earnings is $40,270.

To calculate the net income for the firm, we need to consider the given sales revenue, costs, depreciation expense, interest expense, and the tax rate.

Net Income = Sales - Costs - Depreciation Expense - Interest Expense - Tax

Substituting the given values:

Net Income = $663,000 - $325,000 - $69,000 - $44,500 - (21% * $663,000)

Net Income = $663,000 - $325,000 - $69,000 - $44,500 - $139,230

Net Income = $85,270

Therefore, the net income for the firm is $85,270.

To calculate the addition to retained earnings, we need to subtract the cash dividends paid out from the net income. Retained earnings represent the portion of net income that is retained in the business for future use.

Addition to Retained Earnings = Net Income - Cash Dividends

Substituting the given values:

Addition to Retained Earnings = $85,270 - $45,000

Addition to Retained Earnings = $40,270

Hence, the addition to retained earnings is $40,270.

The net income of $85,270 represents the profit generated by the firm after deducting all the expenses and taxes from the sales revenue. This amount contributes to the overall financial health of the company and can be reinvested in the business, used to pay off debts, or distributed to shareholders as dividends.

The addition to retained earnings of $40,270 reflects the portion of the net income that remains within the company. Retained earnings accumulate over time and can be used for various purposes, such as funding future growth initiatives, acquiring assets, or serving as a cushion during economic downturns.

It's important to note that the net income and addition to retained earnings are accounting measures and provide insights into the financial performance and stability of the firm.

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If a company has an enterprise value of $1,000 million and equity value of $1,150 million, what is the company’s net debt (total debt minus cash)? a) $250 million b) ($250) million c) $150 million d) ($150) million

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To find the company's net debt, we need to subtract its cash from its total debt. However, we are not given the company's total debt directly. Instead, we are given its enterprise value and equity value.  Enterprise value is the total value of a company's operations, which includes both its debt and equity.

The correct answer is A.

It is calculated by adding the company's market capitalization (equity value) to its debt and subtracting its cash and cash equivalents. Equity value, on the other hand, only represents the market value of a company's equity or ownership. Given that the company's enterprise value is $1,000 million and its equity value is $1,150 million, we can set up the following equation to solve for its total debt: Enterprise value = Equity value + Total debt - Cash $1,000 million = $1,150 million + Total debt - Cash

The company's net debt is calculated by subtracting its cash from its total debt. While we are not given the company's total debt directly, we can use its enterprise value and equity value to solve for it. The equation set up for this purpose is Enterprise value = Equity value + Total debt - Cash. Solving this equation, we get that the company's net debt is ($150) million.

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the 80/20 principle in marketing postulates that a. roughly all company customers buy the product at the same rate/proportion b. 20% of the market cannot be segmented c. some particular brand customers buy the product much more often than other customers d. 20% of sales revenues are set aside for taxes

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The 80/20 principle in marketing postulates that some particular brand customers buy the product much more often than other customers.

The 80/20 principle, also known as the Pareto Principle, states that roughly 80% of the effects come from 20% of the causes. In the context of marketing, this principle suggests that a significant portion of a company's sales or revenue is generated by a small percentage of its customers. Specifically, it implies that some particular brand customers are more loyal and make repeated purchases, contributing a disproportionate amount to the company's overall sales.

According to this principle, the focus of marketing efforts should be on identifying and targeting this specific group of loyal customers who make frequent purchases. By understanding their preferences, behaviors, and needs, companies can develop strategies to retain and further engage these customers, potentially leading to increased sales and customer satisfaction. Therefore, option c, which states that some particular brand customers buy the product much more often than other customers, aligns with the 80/20 principle in marketing.

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chester, incorporated, a u.s. multinational, earned $4 million this year from both domestic and international operations. of this amount, $1.3 million qualifies as foreign-derived intangible income (fdii). if chester pays no foreign income tax, compute its u.s. income tax liability.

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To determine the exact U.S. income tax liability for Chester, the specific deduction percentage and applicable tax rates for the given tax year need to be considered.

To compute Chester, Incorporated's U.S. income tax liability, we need to consider the provisions related to foreign-derived intangible income (FDII). FDII is a category of income that provides a deduction to U.S. corporations engaged in certain foreign sales and services.

Under the current U.S. tax law, qualified FDII is subject to a reduced tax rate. For tax years beginning after December 31, 2025, the FDII deduction is generally equal to 37.5% of the FDII amount. Prior to that, the deduction percentage may differ.

In this scenario, assuming Chester, Incorporated pays no foreign income tax, and considering that $1.3 million of its $4 million income qualifies as FDII, we can calculate its U.S. income tax liability by applying the appropriate deduction percentage to the FDII amount. For instance, if the deduction percentage is 37.5%, the deductible amount would be $487,500 (37.5% of $1.3 million). The remaining taxable income would be subject to the regular U.S. corporate income tax rate, which can vary depending on the taxable income bracket.

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in a perfectly competitive industry, in the longrun equilibrium a)the typical firm is producing at the output where Its long - run average total cost is not minimized. b)the typical firm earns zero profit c)the typical firm is earning an accounting profit greater than its implicit costs. d)the typical Arm Is maximizing its revenue.

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In a perfectly competitive industry, the long-run equilibrium of the typical firm results in b) the typical firm earning zero profit.

In the long-run equilibrium of a perfectly competitive industry, the forces of competition drive the market to a state where economic profits are driven down to zero. This means that firms in the industry are earning just enough revenue to cover all their costs, including both explicit costs (such as wages, rent, and materials) and implicit costs (such as the opportunity cost of the owner's time and capital). Zero profit in the long run signifies that firms are earning a normal return on their investment and are not earning any excess profits.

The zero-profit condition is achieved through adjustments in the industry over time. If firms in the industry are earning positive profits, it attracts new firms to enter the market. As a result, the increased competition leads to a decrease in prices, reducing profit margins for existing firms. Conversely, if firms are experiencing losses, some firms may exit the market, reducing competition and allowing prices to rise. This process continues until firms in the industry are earning zero profit in the long run.

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which of the following statements is true regarding absorption costing? multiple choice

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Absorption costing includes both fixed and variable manufacturing costs in the product cost, resulting in higher inventory valuations compared to variable costing.

Absorption costing is a method of cost allocation that assigns both fixed and variable manufacturing costs to products. It treats fixed manufacturing costs as a part of the product cost and includes them in the inventory valuation. This method is in contrast to variable costing, where only variable manufacturing costs are considered product costs. By including fixed costs, absorption costing spreads the fixed overhead costs over the units produced, resulting in higher per-unit product costs and inventory valuations. Absorption costing is often required for external financial reporting purposes, such as under generally accepted accounting principles (GAAP), as it provides a more comprehensive view of the costs involved in producing goods. It is also known as full costing or traditional costing.

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A borrower obtains a fully amortizing CPM loan for $142,000 at 7 percent interest for 10 years. Required: a. What will be the monthly payment on the loan? b. If this loan had a maturity of 30 years, what would be the monthly payment?

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A borrower obtains a fully amortizing (CPM) loan for $142,000 at 7 percent interest for 10 years (a)the monthly payment comes out to be approximately $1,522.84.(b)he monthly payment comes out to be approximately $948.10.

(a): To calculate the monthly payment for a fully amortizing Constant Payment Mortgage (CPM) loan, you can use the following formula:

M = P * r * (1 + r)^n / ((1 + r)^n - 1)

where:

M = Monthly payment

P = Loan principal amount

r = Monthly interest rate

n = Total number of monthly payments

For a 10-year loan with a principal amount of $142,000 and an interest rate of 7 percent:

P = $142,000

r = 7% / (12 * 100) = 0.00583 (monthly interest rate)

n = 10 * 12 = 120 (total number of monthly payments)

Plugging in these values into the formula, we can calculate the monthly payment:

M = $142,000 * 0.00583 * (1 + 0.00583)^120 / ((1 + 0.00583)^120 - 1)

Using a calculator or spreadsheet software, the monthly payment comes out to be approximately $1,522.84.

(b) If the loan had a maturity of 30 years instead:

P = $142,000

r = 7% / (12 * 100) = 0.00583 (monthly interest rate)

n = 30 * 12 = 360 (total number of monthly payments)

Using the same formula, we can calculate the monthly payment:

M = $142,000 * 0.00583 * (1 + 0.00583)^360 / ((1 + 0.00583)^360 - 1)

Again, using a calculator or spreadsheet software, the monthly payment comes out to be approximately $948.10.

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the risk that a company will not be able to meet its obligations when they become due is an aspect of: a)business risk. b)inherent risk. c)information risk. d)relative risk.

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The risk that a company will not be able to meet its obligations when they become due is an aspect of: a) business risk.

Business risk refers to the risks associated with a company's ability to generate profits and meet its financial obligations. It encompasses various factors that can impact a company's operations and financial performance, including market conditions, competition, operational efficiency, and financial stability. The risk of not being able to meet obligations when they become due is a key aspect of business risk.

This aspect of business risk relates to the company's financial solvency and liquidity. It reflects the potential challenges or uncertainties in generating sufficient cash flow or obtaining necessary funds to fulfill its financial commitments, such as debt payments, accounts payable, or contractual obligations. If a company is unable to meet its obligations, it may face financial difficulties, including defaulting on loans, legal repercussions, or even bankruptcy. Therefore, managing and mitigating business risk is crucial for ensuring the financial health and sustainability of a company.

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Consider the following options, both expiring June of 2019, with ABC trading for $75 currently as their underlying stock: . Pút option with $75 strike, selling at a premium for $3.50 Call option with $75 strike, selling at a premium for $5.00 1) How would you implement a straddle, and why would an investor use this strategy? 2) If held until expiration, what prices, list all, of ABC would allow the investor to break even? 3) If ABC is trading for $71.00 at expiration, what will be the payoff and what will be the profit/loss for the investor? 4) Redo 1-3 but instead of a straddle, what if it was a covered call? 5) Redo 1-3 but instead of a straddle, what if it was a synthetic stock? 6) Redo 1-3 but instead of a straddle, what if it was a protective put?

Answers

1. How would you implement a straddle, and why would an investor use this strategy?

To implement a straddle, the investor would buy both the put option and the call option with a strike price of $75. An investor would use this strategy when they anticipate a significant price movement in the underlying stock but are uncertain about the direction of the movement.

A straddle involves buying both a put option and a call option with the same strike price and expiration date. By doing so, the investor has the right to sell the stock at the strike price (put option) or buy the stock at the strike price (call option). This strategy is employed when the investor expects a substantial price change but is unsure whether it will be an increase or a decrease. The straddle allows the investor to profit from a significant move in either direction.

2. If held until expiration, what prices, list all, of ABC would allow the investor to break even?

The break-even prices for the straddle would be $71.50 and $80.00.

To calculate the break-even prices, we need to consider the total premium paid for both options. For the put option, the premium is $3.50, and for the call option, it is $5.00. The break-even price for the call option is the strike price plus the total premium paid: $75 + $5.00 = $80.00. The break-even price for the put option is the strike price minus the total premium paid: $75 - $3.50 = $71.50. Therefore, the investor would need the stock price to be above $80.00 or below $71.50 to break even if held until expiration.

3. If ABC is trading for $71.00 at expiration, what will be the payoff and what will be the profit/loss for the investor?

The payoff for the investor's options would be a $4.00 gain from the put option. The overall profit/loss would be a loss of $4.50.

If ABC is trading at $71.00 at expiration, the put option would be in the money with a payoff equal to the difference between the strike price and the stock price: $75.00 - $71.00 = $4.00. However, the call option would expire out of the money, resulting in a payoff of $0. The total premium paid for both options is $3.50 for the put option and $5.00 for the call option. Therefore, the overall profit/loss would be the put option payoff minus the total premium paid: $4.00 - ($3.50 + $5.00) = -$4.50, indicating a loss of $4.50.

Please note that these answers assume European-style options, where they can only be exercised at expiration.

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