Assume that a firm has the following production function: q = £0.250.5 a. Calculate output when L = 625 K = 100. b. What returns to scale does this production function exhibit? c. Calculate output if technology utilized by the firm increases by 20%.d. Determine, both, the marginal product of labour and capital functions (ignore c.). e. Calculate, both, the marginal product of labour and capital when L = 625, K = 100 and interpret your answers. f. Calculate the marginal rate of technical substitution when L = 625, K = 100 and interpret your answer.

Answers

Answer 1

(a) Output is £62.5. (b) the production function exhibits the increasing returns to scale, since the value of a is more than one. (c) the new output is £75. (d) The marginal product of capital function is ∂q/∂K is  £0.125L0.5/K0.5. (e) the marginal product of capital is £0.3125. (f) the marginal rate of technical substitution is 0.16.

a. To calculate the output when L = 625,

K = 100:

We have a production function as q = £0.250.5

Substitute L = 625,

K = 100 in the above-given equation

q = £0.250.5 L0.5K0.5

= £0.25(625)0.5(100)0.5

= £0.25(25)(10)

= £62.5

b. To calculate the returns to scale, we assume that the production function is of the form q = f (L, K), where a, b are positive constants.

When we increase all the inputs used in production by λ, the output will increase to f (λL, λK)If we use the above equation, then

f (λL, λK) = λaq(L, K)

c. We need to calculate the output when technology utilized by the firm increases by 20%.

The production function remains the same.

q = £0.250.5 L0.5K0.5

In this equation, we need to calculate when technology is increased by 20%, so the new production function will be

q = £0.250.5 (1.2) L0.5K0.5

Substitute the value of L and K in the above-given equation, then we get

q = £0.25(1.2) (625)0.5(100)0.5

= £0.3(25)(10)

= £75

d. We are given a production function as q = £0.250.5 L0.5K0.5

To determine the marginal product of labour and capital functions, we need to take the partial derivative of q with respect to each of the inputs.

q = £0.250.5 L0.5K0.5∂q / ∂L

= £0.125 L-0.5 K0.5

= £0.125K0.5/L0.5

The marginal product of labour function is

∂q/∂L = £0.125K0.5/L0.5∂q / ∂K

= £0.125 L0.5K-0.5

= £0.125L0.5/K0.5

e. We are given L = 625,

K = 100

We need to calculate both the marginal product of labour and capital.

To calculate the marginal product of labour:

∂q / ∂L = £0.125K0.5/L0.5

Substitute L = 625,

K = 100 in the above-given equation

∂q/∂L = £0.125(100)0.5 / (625)0.5

= £0.125(10) / (25)

= £0.05

Therefore, the marginal product of labour is £0.05

To calculate the marginal product of capital:

∂q / ∂K = £0.125L0.5/K0.5

Substitute L = 625, K = 100 in the above-given equation

∂q/∂K = £0.125(625)0.5 / (100)0.5

= £0.125(25) / (10)

= £0.3125

f. To calculate the marginal rate of technical substitution when L = 625,

K = 100.

To calculate the marginal rate of technical substitution (MRTS), we take the ratio of the marginal product of labour and the marginal product of capital:

MRTS = ∂q/∂L / ∂q/∂K

Substitute the values of ∂q/∂L and ∂q/∂K in the above-given equation

MRTS = £0.05 / £0.3125

= 0.16

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Related Questions

In "The Founder," The McDonald brothers are worried about maintaining standards in their franchises. What are at least three standards that are not being met with this franchise that Ray is checking on in this scene?

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The McDonald Brothers had engaged a franchise agent who sold a number of stores for them. But they rebuffed offers to take them out on a wider scale, or to acquire them, because they didn't want the hassle of large-scale qualitycontrol.

What is the name of the organization that published abbreviations that are meant to avoid confusion in international business transactions?.

Answers

The name of the organization which published abbreviations which are meant to avoid confusion in international business transactions is the International Chamber of Commerce.

In order to facilitate commerce around the world, the International Chamber of Commerce (ICC) publishes a set of Incoterms, which is officially known as the international commercial terms. Thus, globally recognized Incoterms tend to prevent confusion in the foreign trade contracts.

This organization called the International Chamber of Commerce tends to publish abbreviations which are meant to avoid confusion in the upcoming international business transactions.

Hence, the International Chamber of Commerce (ICC) developed Incoterms in 1936.

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There are three clues labeled "daily double" on the game show Jeopardy. If three equally matched contenders play, what is the probability that: a. A single contestant finds all three "daily doubles"? b. The returning champion gets all three of the "daily doubles"? c. Each of the players selects precisely one of the "daily doubles"?

Answers

Answer:

a)  0.0358

b)  0.0395

c)  0.1506

Explanation:

Number of clues "daily doubles" = 3

Determine the probabilities

a) P(single contestant finds all three )

assuming event A= a returning champion gets the "daily double" in first trial

P(A) = 1/30 , P(~A) = 29/30              

assuming event B = any player picks up "daily double" after the first move

P(B |~A ) = 1/3

hence : P ( B and ~A ) = 29/30 * 1/3 = 29/90

considering second round

P(player chooses both daily doubles ) = 1/3 * 1/3 = 1/9

∴ P(single contestant finds all three )  = 29/90 * 1/9 = 0.0358

B) P ( returning champion gets all three )

= (1/30 + 29/90 )* 1/9

= 32 / 810 = 0.0395

c) P ( each player selects only one )

P = 32/405 + 29/405

  = 61 / 405 = 0.1506

Eric and Gintty Gaffney live in Dallas and enjoy going out to fancy restaurants for dinner and to diners for breakfast. On the following diagram, the purple curves 1 and 2 represent two of their indifference curves ror fancy dinners and diner breakfasts. They have $500 per month available to spend on eating out. The price of a diner breakfast is always $5. Each labeled point represents the tangency between a budget constraint and the 67 60 50 5 7 a FANCY DINNERS The initial budget constraint BCI shows the Gartneys budget constraint when the price of a fancy dinner is $25. At this price, Eric and Ginny would choose to consume eight fancy dinners. Suppose that the price of a fancy dinner increases to 50, shifting their budget constraint to 2, which represents a new relative price of ten diner breakfasts per fancy dinner. (Hint: The blue line labeled H is parallel to BC2 and tangent to at point Y.) In order to remain as happy as they were before the price increase-that is, to consume at some point on the same indifference curve as they were on initially (h)-the Gaffneys income spent on fancy dinners and breakfast at diners would now have to be $60. However, in reality, rather than maintaining their original level of utility, the Gaffneys choose the optimal bundle along their new budget constraint. At this point, they are worse off than before the price dange in fancy dinners. On the folowing table, indicate which point movement represents the substitution effect and income effect for farncy dinners when Dhe price increases rom $25 to $50. Then indicate if each effect is positive or negative in this case. Consumption Change (Quantity of fancy dinners) Fancy Dinners Substitution Effect Income Effect Represented By... Positive or Negative In this case, the price increase of fancy dinners causes the Gattneys's real income to income and the direction of the income effect, fancy dinners are Because of the change to Eric and Ginny's real for the Gaffneys. Grade t Now Save & Continue Cannue without saving

Answers

total income is $685, Substitution effect is negative, Income effect is negative and  Fancy dinners are a normal good.

Keeping satisfaction the same, another point on IC1 is point Y (67 diner breakfasts & 7 fancy dinners),

Total income = 67 x $5 + 7 x $50

                      = $(335 + 350)

                      = $685

In reality, they choose at point Z where they are worse off,

Substitution effect: X to Y. They consume 1 less (= 8 - 7) fancy dinners. It is Negative.

Income effect: Y to Z. They consume 2 less (= 7 - 5) fancy dinners. It is Negative.

Price decrease causes total income to decrease. Fancy dinners are a normal good.

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Hammers, screwdrivers, drills, and saws are _____ a construction worker uses.


-tasks

-skills

-tools

-qualifications

Answers

Answer:

are a - tool - construction workers use

the answer is tools

_________________ businesses sell products purchased from other businesses to make their objective of maximizing their profits

Answers

To achieve their goal of maximizing their earnings, merchandising enterprises sell goods that they have bought from other companies.

How will the business promote and sell its products?

A merchandising business should have a plan in place for promoting and selling its products, such as through advertising, social media marketing, or in-store promotions. The chosen methods should be tailored to the target market and the type of product being sold.

How will the business price its products?

Pricing is a critical aspect of a merchandising business, as it determines the profitability of the business. A business should consider factors such as the cost of the product, the competition, and the target market when setting prices.

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You have a startup company that is not particularly well known. Your annual sales at the end of year 1 are $100,000. Due to hard work, however, you expect that your sales will grow by 25% every year. What type of cash flow is this? Irregular Series Gradient Series Geometric Series Uniform Series

Answers

The cash flow described in this scenario is a geometric series characterized by a constant growth rate of 25% each year.

The type of cash flow described in this scenario is a geometric series. A geometric series is a sequence of numbers in which each term is obtained by multiplying the previous term by a constant ratio. In this case, the annual sales are expected to grow by 25% each year, which means the sales for each subsequent year will be 1.25 times the previous year's sales.

The annual sales of $100,000 at the end of year 1 serve as the starting point, and by applying the growth rate of 25% (or 1.25), we can calculate the sales for each subsequent year. The sales for year 2 would be $100,000 x 1.25 = $125,000, for year 3 it would be $125,000 x 1.25 = $156,250, and so on.

This pattern continues indefinitely, with each year's sales being 25% higher than the previous year. A geometric series is characterized by its constant ratio between consecutive terms, making it suitable for modeling scenarios with consistent growth rates over time.

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please help me anyone (picture attached)

please help me anyone (picture attached)

Answers

Answer:

Im not entirely sure, but i think

2. Should be D

3. Should be A

(i could be wrong but im about 90 percent sure those r right)

Explanation:

in economics, the demand for a good refers to the amount of the good that people: group of answer choices will buy at various prices. need to achieve a minimum standard of living. would like to have if the good were free. will buy at alternative income levels.

Answers

the demand for a good refers to the amount of the good that people a group of people will like to have different options and different prices at which they can buy a product.

Demand for goods and services

Economists use the term demand to relate to the quantum of some good or service consumers are willing and suitable to buy at each price. Demand is grounded on requirements and wants — a consumer may be suitable to separate between a need and a want, but from an economist’s perspective they're the same thing. Demand is also grounded on capability today. However, you have no effective demand, If you can not pay.

What a buyer pays for a unit of the specific good or service is called price. The total number of units bought at that price is called the volume demanded. An increase in the price of a good or service nearly always decreases the volume demanded of that good or service. Again, a drop in price will increase the volume demanded.

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which of the following should be disclosed as supplemental information in the statement of cash flows? cash flow per share conversion of debt to equity cash flow per share yes conversion of debt to equity yes cash flow per share no conversion of debt to equity no cash flow per share yes conversion of debt to equity no cash flow per share no conversion of debt to equity yes

Answers

The option B "cash flow per share yes conversion of debt to equity yes." should be disclosed as supplemental information in the statement of cash flows.

The answer to this question depends on the accounting standards being used. Generally, supplemental information in the statement of cash flows includes such items as non-cash investing and financing activities, cash and cash equivalents at the beginning and end of the period, and significant non-cash transactions. Additionally, companies may disclose other information deemed relevant, such as the effect of exchange rate changes on cash balances and changes in debt levels.

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Which wizard is a tool provided by Access that is used to scan the table's structure for duplicate data?
O Query Design Wizard
O Table Design Wizard
O Table Analyzer Wizard
0 Performance Analyzer Wizard

Answers

Answer:

Table Analyzer Wizard

Explanation:

Answer:

Table Analyzer Wizard

Explanation:

right on the test

A loan of $105,487.80 is to be amortized over a 10-year term at 6% interest compounded monthly with monthly payments and a $20,000 balloon payment at the end of the term. Calculate the monthly payment.
The monthly payment is $
(Do not round until the final answer. Then round to two decimal places as needed.)

Answers

Answer:

  $1049.09

Explanation:

The present value of the balloon payment is ...

  $20,000/(1 +.06/12)^(12·10)) = $10,992.65

So, the effective amount of the loan is ...

  $105,487.80 -10,992.65 = $94,495.15

The amortization formula gives the payment as ...

  A = P(r/n)/(1 -(1 +r/n)^(-nt)) = $94,495.15(.06/12)/(1 -(1 +.06/12)^(-12·10))

 = $94,495.15(.005)/0.450367 = $1049.09

The monthly payment is $1049.09.

crane company prepared a 2016 budget for 30000 units of product. actual production in 2016 was 40000 units. to be most useful, what amounts should a performance report for this company compare?

Answers

A performance report for this company should compare the budget for 30,000 units of product with the actual amounts for 40,000 units of product.

Specifically, the report should compare the budgeted costs for materials, labor, overhead, and other expenses with the actual costs incurred for the 40,000 units produced. It should also compare the budgeted revenues with the actual revenues earned, as well as any other relevant metrics such as sales volume, customer satisfaction, and employee productivity. By analyzing these variances, the company can identify areas of strength and weakness, make informed decisions, and improve its performance going forward. Thus, given the 2016 budget for 30,000 units of product and actual production of 40,000 units, a report comparing the two must be prepared.

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Matt is the curator at a large national museum. He researches and catalogs new art pieces that are submitted to the museum. What education might have been necessary for Matt to attain this position? O A. O B. O C. O D. high school diploma associate degree in performing arts bachelor's degree in art history doctorate in computer sciences​

Answers

The best education for Matt to attain the position of curator at a large national museum is an Option C. bachelor's degree in art history.

A curator is a person who is in charge of the collection and display of artifacts in a museum. Curators are responsible for organizing exhibits, acquiring new collections, and keeping the existing ones in good shape, among other duties. The work of a curator demands a high degree of knowledge of the materials they handle, in addition to organizational skills and the ability to engage with the public.

Curators must typically hold a bachelor's degree in a field related to the collection they oversee. Art history, anthropology, or archaeology are popular majors for curators. Additionally, they should have experience in their particular field of expertise. Furthermore, many museums will require their curators to have a Master's degree or Ph.D. in their field or a related one. These degrees are obtained in specialized postgraduate degree programs, and they demonstrate a deeper understanding of the subject matter and a commitment to the field.

The education for Matt to attain this position would be a bachelor's degree in art history. Art history is the study of visual art throughout history. It is an academic discipline that combines cultural and historical perspectives to examine and understand visual art. In this field, you will learn about artists and their works, styles and movements, and the cultural contexts that surrounded them. This knowledge is critical to the work of curating art collections, and it will enable Matt to be efficient in his job. Therefore, the correct option is C.

The question was incomplete, Find the full content below:

Matt is the curator at a large national museum. He researches and catalogs new art pieces that are submitted to the museum. What education might have been necessary for Matt to attain this position?

A. high school diploma

B. associate degree in performing arts

C. bachelor's degree in art history

D. doctorate in computer sciences​

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Which one of the following statements accurately describes FICO?
A.FICO is firm that analyzes data collected by credit bureaus and generates a credit score.
B.FICO is a credit bureau.
C.FICO collects information about your financial dealings involving any sort of loan, debt, or billing.
D. FICO uses your grades and employment information to determine your creditworthiness

Answers

Answer:

c. FICO collects information about your financial dealings involving any sort of loan debt or billing.

FICO collects information about your financial dealings involving any sort of loan, debt, or billing. Thus, the correct answer is option C.

What is FICO?

FICO, formerly Fair, Isaac and Company, is a data analytics business with a focus on credit scoring services that is situated in Bozeman, Montana. Its formal name is Fair Isaac Corporation. In 1956, Bill Fair and Earl Isaac started it. A standard of consumer lending in the US is the FICO score, which measures the risk of consumer credit.

A business can store a complete copy of its financial transaction data because of  FICO. FICO is specifically designed to assist businesses in producing and managing financial statements for analysis and reporting as well as supporting efficient business planning and decision-making.

Therefore, FICO collects information about your financial dealings involving any sort of loan, debt, or billing.

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One of the goals of Reaganomics was to encourage private investment through tax cuts for businesses and the wealthy encourage private investment through tax cuts for businesses and the wealthy A redistribute income to the bottom fifth of wage earners redistribute income to the bottom fifth of wage earners B reduce the United States nuclear arsenal reduce the United States nuclear arsenal C restrict immigration from Mexico restrict immigration from Mexico D outsource United States manufacturing to Asian countries

Answers

Answer:

A redistribute income to the bottom fifth of wage earners redistribute income to the bottom fifth of wage earners

Explanation:

Reaganomics is a policy ascribed to President Ronald Reagan who took up the presidency when the economy of United States was very bad and low. He initiated series of policies with the aim of stimulating the economy and creating more jobs.

One of the important policy was on the issue of tax cuts for businesses and wealthy individuals with the aim of encouraging them to invest in United States. He knows that, with the creation of more businesses by wealthy individuals, the income would be redistributed to the wage earners especially those at the bottom earners.

Answer:

A. redistribute income to the bottom fifth of wage earners redistribute income to the bottom fifth of wage earners

Explanation:

Hope this helps

For managers, the importance of Maslow's contribution is that he showed that workers Group of answer choices are interested only in compensation that helps them fulfill physiological needs. have needs beyond that of just earning a paycheck. are as complex as their organization. expect an employer to fulfill every level in their hierarchy of needs. have needs that cannot be understood by their employer.

Answers

Answer:

have needs beyond that of just earning a paycheck.

when an employee sends a suggestion to his manager, he is using a vertical to transmit information. Members of the sales team need to respond to customers' questions about pr ducts. This information changes rapidly, and salespeople must respond immediately to keep customers happy. As the sales ladder of inference your team members communicate this information: communication style O In e-mails communication system O In letters O By sending a link to an online document

Answers

Option (a), When an employee sends a suggestion to his manager, he is using a vertical communication channel. This means that he is using a channel that flows up and down the hierarchy within the organization.

On the other hand, when members of the sales team respond to customers' questions about products, they use various communication styles and channels depending on the urgency and nature of the question.

the sales team members can use different communication styles such as oral, written, or nonverbal communication to respond to customers' questions about products. The communication channels they can use include emails, letters, phone calls, video conferencing, or face-to-face conversations. Since the information about products changes rapidly, salespeople must respond immediately to keep customers happy. This means that they need to choose a communication style and channel that allows them to respond quickly and effectively.

For instance, if a customer asks a simple question about a product, salespeople can respond through email or a phone call. If the question is more complex and requires a detailed explanation, they can use letters or send a link to an online document that provides all the necessary information. The communication system used by the sales team must also be efficient and reliable to ensure that customers get the information they need on time. Overall, the sales ladder of inference team members must be skilled in choosing the appropriate communication style and channel to respond to customers' questions effectively and efficiently.

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an investment banker agrees to a firm commitment offering of two million shares of ace stock. the offer price is set at $55 and the spread is 50 cents per share. if the stock is actually sold to the public at $53.80, however, what is the investment banker's gain or loss? $1,400,000 loss $1,400,000 gain $500,000 loss $500,000 gain

Answers

The investment banker's gain or loss in this scenario is a $1,400,000 loss.

The investment banker's gain or loss can be calculated as follows:

Offer Price = $55 per share
Spread = $0.50 per share
Actual Selling Price = $53.80 per share

The investment banker's proceeds from selling the shares would be:
2,000,000 shares x ($55 - $0.50) = $109,000,000

However, the investment banker only sells the shares at $53.80 per share, which results in proceeds of:
2,000,000 shares x $53.80 = $107,600,000

Therefore, the investment banker's loss would be:
$109,000,000 - $107,600,000 = $1,400,000 loss

The answer is $1,400,000 loss.
Hi, I'd be happy to help with your question. To calculate the investment banker's gain or loss in this firm commitment offering of two million shares of Ace stock, we can follow these steps:

1. Determine the offer price: The offer price is set at $55 per share.
2. Determine the spread: The spread is 50 cents per share.
3. Calculate the price at which the investment banker bought the shares: $55 - $0.50 = $54.50 per share.
4. Calculate the total cost for the investment banker: $54.50 x 2,000,000 = $109,000,000.
5. Determine the price at which the shares were actually sold to the public: $53.80 per share.
6. Calculate the total revenue for the investment banker: $53.80 x 2,000,000 = $107,600,000.
7. Calculate the investment banker's gain or loss: $107,600,000 (revenue) - $109,000,000 (cost) = -$1,400,000.

The investment banker's gain or loss in this scenario is a $1,400,000 loss.

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The investment banker loss is $1,400,000.

The total amount of money collected from the sale of the shares must be calculated first, and the offering charges must be subtracted before we can compute the investment banker's gain or loss.

The offer price is set at $55, so the total amount of money received from the sale of the shares is:

2,000,000 shares x $55 = $110,000,000

The spread is 50 cents per share, so the total costs associated with the offering are:

2,000,000 shares x $0.50 spread = $1,000,000

Therefore, the net amount received from the offering is $110,000,000 - $1,000,000 = $109,000,000

If the stock is actually sold to the public at $53.80, the investment banker will have to sell the shares at a loss. The total amount received from the sale of the shares will be:

2,000,000 shares x $53.80 = $107,600,000

Investment banker's loss = Net amount received from the offering - The amount received from the sale of the shares:

$109,000,000 - $107,600,000 = $1,400,000

Therefore, the investment banker's loss is $1,400,000.

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A potential client is shopping around for a competitive rate and a 15-day lead time to close. The brokerage you work for offers highly competitive rates, has an average lead to close time of 30 days, and a fast lead to close time of 21 days. Understanding these figures, you tell the client you can meet their demands and secure their business. This action is:

Answers

Answer:

Legal but unethical

Explanation:

It is unethical to overpromise just to secure a loan. If you cannot meet the demand of the client, do not tell the borrower you can.

There are several Standards and Ethics Committee established a Code of Ethics and Professional Responsibility . This was set up to aid the ethical framework that every company that is a member and their employees must follow. They usually sign a copy of the Code of Ethics & Professional Responsibility when joining or renewing membership.

The Standards and Ethics Committee has different advisory views to help clarify some parts of the Code of Ethics.

which of the following exempt organizations are required to file form 990 (return of organization exempt from income tax)?A. The 15th day of the third month following the end of the organization's accounting period.B. The 15th day of the fifth month following the end of the organization's accounting period.C. The last day of the month following the end of the organization's accounting period.D. The 15th day of the fourth month following the end of the organization's accounting period.

Answers

The following exempt organizations are required to file form 990 (return of organization exempt from income tax) is the 15th day of the fourth month following the end of the organization's accounting period (option D).

The following are the tax-exempt organizations that are required to file Form 990:

The organizations that are tax-exempt under Section 501(a) or 501(c) of the Internal Revenue Code. These include the following types of organizations: Charitable organizations, such as religious organizations, educational organizations, scientific organizations, and organizations that provide support to the poor, the sick, or the disadvantaged.

Civic organizations, such as organizations that promote social welfare or civil rights.Business leagues, chambers of commerce, and trade associations.Social clubs, such as organizations provide social or recreational activities for their members. Other organizations are exempt from federal income tax under Section 501(a) of the Internal Revenue Code.

The due date for filing Form 990 is the 15th day of the fifth month following the end of the organization's accounting period, with the exception of the following:

Private foundations must file Form 990-PF, which is due on the 15th day of the fifth month following the end of the organization's accounting period. The due date for filing Form 990-EZ is the 15th day of the fourth month following the end of the organization's accounting period. The correct option is D.

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Two technicians are discussing the hvac r fild. Technician a says that industry codes that require certain types of installation practice carry the forced of law with them technician b say that ansi is a organization's that estblis codes for the hvac/r fild

Answers

Answer: Technician B is correct.

Explanation: It should be noted that, that ansi is a organization's that establishes codes for the hvac/r fild. Therefore, the position of technician a that says industry codes that require certain types of installation practice carry the forced of law with them is wrong.

the use of the master budget throughout the year as a constant comparison with actual results signifies that the master budget is also a

Answers

The use of the master budget throughout the year as a constant comparison with actual results signifies that a master budget is also a tool for performance evaluation and control.

Master Budget allows businesses to monitor their financial performance, identify areas where they are not meeting their targets, and take corrective action to get back on track. By regularly comparing actual results to the master budget, businesses can make informed decisions, adjust their plans, and stay focused on achieving their financial goals. Overall, the master budget serves as a blueprint for managing a business's finances and helps businesses stay competitive and profitable.

The master budget contains all of the organization's lower-level budgets. It offers a complete picture of a company's finances and is commonly utilized as a crucial planning tool. The multiple budgets that make up an organization's master budget typically have a strategic plan as their base.

The two primary subcategories of the master budget are the operating budget and the finance budget. The financial budget's planning for the use of assets and liabilities yielded the predicted balance sheet. The operating budget helps with future revenue and spending forecasting and generates an anticipated income statement.

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Compose two paragraphs that predict the impact this tax cut and increased funding for unemployment insurance will have on the following: the economy as a whole individuals other government programs the government debt Be sure to justify your predictions, use proper grammar, and include topic sentences, an introduction, a conclusion, and information from the video.

Answers

Answer:

Extending the cut to payroll taxes will have a positive impact on the economy as a whole. With the continued decrease in the tax rate, people will have more money to spend more on goods and services. This will encourage businesses to hire more workers and will reduce unemployment. The economy will experience a boost, and recovery will take place. This tax cut will add an extra $40 to the average paycheck. People might use the extra income for rent, groceries, or gas.

Increased funding for unemployment insurance will ensure that eligible unemployed individuals will continue to get unemployment compensation. The extended unemployment compensation will lead to more production in the economy, which will help reduce government debt. An increase in production will lead to an increase in employment and output. When production increases, individuals’ incomes also increase, so the government will collect more income taxes to fund repayment of its debt.

Explanation:

PLATO

Answer:

The tax cut and the increased funding of unemployment insurance will benefit the economy as a whole. As unemployment rise, fewer people are going to have money to buy goods therefore, businesses will have less money to hire workers. This will not be fixed if there weren't any unemployment insurance. With unemployment money, people are going to buy more and the economy will boost. This not only benefits individuals but the economy as a whole. However, this may increase government debt and may have decrease funding to other government programs.

Explanation:

This is not from plato or edmentum. I typed it myself

An increase in the value of an investment is called...

A inflation
B. net asset value (NAV)
C appreciation
D. yield
E market mover

An increase in the value of an investment is called...A inflationB. net asset value (NAV)C appreciationD.

Answers

Answer:

C appreciation

Explanation:

Appreciation is the term that describes the increase in value by an asset over time. Several factors may cause an increase in value. They include

In demand for the assetsCustomers perceptionsReduced supply for the assetIncrease in inflation or interest rates

Imprudential, Inc. , has an unfunded pension liability of $583 million that must be paid in 15 years. To assess the value of the firm’s stock, financial analysts want to discount this liability back to the present. If the relevant discount rate is 7. 6 percent, what is the present value of this liability?

Answers

If the relevant discount rate is 7. 6 percent, then the present value of this liability is $265,420,560.74

Given,

Pension liability = $583

Time duration = 15 years

Discount rate = 7. 6 percent

Thus, the computation of the present value of this liability is done below:

As we know that,

Future value = Present value × (1 + rate)^the number of years

However,

Present value = Future value ÷ (1 + rate)^the number of years

                       = $583,000,000 ÷ (1 + 7.6%)^15

                       = $568,000,000 ÷ 2.14

                       = $265,420,560.74

Hence, if the relevant discount rate is 7. 6 percent the present value of this liability is $265,420,560.74

To learn more about a liability here:

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1. which accounting concept applies when a work sheet is prepared at the end of each fiscal cycle to summarize the general ledger information needed to prepare financial statements? (a) business entity (b) accounting period cycle (c) going concern (d) full disclosure. (p. 214)

Answers

B) When a worksheet is created at the conclusion of each fiscal cycle to compile the general ledger data required to create financial statements, the accounting period cycle concept is applicable.

What is a period cycle in accounting?

An established window of time during which accounting operations are carried out gathered, and analyzed is known as an accounting period. The length of an accounting period can be measured in weeks, months, quarters, fiscal years, or calendar years.

The accounting period is helpful in investing because prospective investors can assess a company's performance by looking at its financial statements, which are based on a set accounting period.

Is a 12-month accounting period a requirement?

No, any predetermined time frame during which a business wishes to evaluate its performance qualifies as an accounting period. A weekly, monthly, quarterly, or annual schedule is possible.

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dallas buys strawberries, and he would be willing to pay more than he now pays. suppose that dallas has a change in his tastes such that he values strawberries more than before. if the market price is the same as before, then:

Answers

Answer:

the correct answer is b. Dallas's consumer surplus would increase

Explanation:

Dallas buys strawberries, and he would be willing to pay more than he now pays. He has a change in his tastes such that he values strawberries more than before. If the market price is the same as before, then Dallas's consumer surplus would increase.

Suppose that Canada can produce 100,000 hockey sticks or 10,000 gallons of maple syrup in a typical workweek, while Germany can produce 90,000 hockey sticks or 10,000 gallons of maple syrup in a typical workweek. From these numbers, we can conclude:
A. Canada has a comparative advantage in the production of hockey sticks.
B. Germany has a comparative advantage in the production of hockey sticks.
C. Canada has an absolute advantage in the production of maple syrup.
D. Germany has an absolute advantage in the production of maple syrup.

Answers

Answer:

A. Canada has a comparative advantage in the production of hockey sticks.

Explanation:

The computation is shown below:

For Canada

The Opportunity cost of Hockey is

= 10000 ÷ 100000

= 0.1 gallons of maple syrup

For Germany

The Opportunity cost of Hockey is

= 10000 ÷ 90000

= 0.11 gallons of maple syrup

So based on this, the option A is correct

And, the same is to be considered

Therefore all the other options would be wrong

You form a company with two other partners. You put in $5,000 and they each put in $3,000. The company only makes $20,000 in the first year and distributes profits equally to each partner how much do you get.

Answers

Answer:

you will recive 8,000$

Explanation:

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