if the company has no process to manage billing for products or services, it probably does not have a(n) policy.

Answers

Answer 1

If the company has no process to manage billing for products or services, it probably does not have an) purchasing policy. So the option D is correct.

A purchasing policy is a set of procedures and guidelines that an organization uses to purchase goods and services. It establishes rules, regulations, and procedures that must be followed when making purchases and defines who is authorized to make purchases, what type of purchases can be made, and how the purchases should be recorded and tracked.

Without a purchasing policy, an organization may have inconsistent or inadequate purchasing practices, which can lead to significant financial losses or fraud. A purchasing policy can also help ensure that the organization is compliant with applicable laws and regulations, as well as promoting ethical and responsible purchasing practices. So the option D is correct.

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The complete question is:

If the company has no process to manage billing for products or services, it probably does not have an) ___ policy.

A. credit

B. inventory

C. payables

D. purchasing


Related Questions

The september 30 bank statement for bennett company and the september ledger account for cash are summarized here: bank statement checks deposits balance balance, september 1 $ 6,800 deposits recorded during september $ 26,150 32,950 checks cleared during september $ 26,950 6,000 nsf checks—betty brown 130 5,870 bank service charges 55 5,815 balance, september 30 5,815 cash (a) sept. 1 balance 6,800 sept. checks written 29,450 sept. deposits 28,500 no outstanding checks and no deposits in transit were carried over from august; however, there are deposits in transit and checks outstanding at the end of september. required: 1. reconcile the bank account. 2. prepare the journal entries that should be made as the result of the bank reconciliation. 3. what should the balance in the cash account be after the reconciliation entries? 4. what total amount of cash should the company report on the september 30 balance sheet?

Answers

The balance in the cash account after the reconciliation entries should be the adjusted ledger balance, which is $5,665. The total amount of cash the company should report on the September 30 balance sheet is the adjusted bank balance, which is $5,665.

1. To reconcile the bank account, we need to consider the following items:
- Deposits in transit: $28,500 (ledger) - $26,150 (bank statement) = $2,350
- Outstanding checks: $29,450 (ledger) - $26,950 (bank statement) = $2,500
- NSF checks: $130
- Bank service charges: $55

Bank reconciliation:

Bank statement balance (Sept. 30): $5,815
Add: Deposits in transit: $2,350
Subtract: Outstanding checks: -$2,500
Adjusted bank balance: $5,665

Ledger cash balance (Sept. 30): $5,850
Subtract: NSF checks: -$130
Subtract: Bank service charges: -$55
Adjusted ledger balance: $5,665

2. Journal entries for the bank reconciliation:
a) Bank service charges:
 - Debit: Bank service charges expense $55
 - Credit: Cash $55
b) NSF checks:
 - Debit: Accounts receivable (Betty Brown) $130
 - Credit: Cash $130

3. The balance in the cash account after the reconciliation entries should be the adjusted ledger balance, which is $5,665.

4. The total amount of cash the company should report on the September 30 balance sheet is the adjusted bank balance, which is $5,665.

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Which example best shows a safety issue related to a large manufacturing business?

Question 13 options:

The machines at the business are found to waste energy and cause excess costs.


Broken machinery and flammable chemical containers are left sitting in the parking lot.


Poverty has forced the neighborhood surrounding a business to become deserted.


The flu season has caused a high rate of absent employees at the business.

Answers

The example that best shows safety issue is B. Broken machinery and flammable chemical containers are left sitting in the parking lot.

How is this a safety issue ?

Improperly repaired or unremoved broken machinery poses a significant risk of potential accidents and injuries to workers. Also, maintaining flammable chemical containers in the parking lot can trigger explosive or harmful situations where chemicals may leak or ignite.

This, in turn, could lead to unfavorable outcomes by endangering the employees, visitors, as well as the surrounding environment. However, other available options unrelated to security might pertain to cost reduction measures for energy conservation purposes aimed at achieving financial and environmental benefits.

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Enter formulas based on the following using the defined names you created in Step 3 to calculate the Rental Bill • Cell F6 is equal to the value in cell B4. • Cell F7 is equal to the value in cell B5. • Cell F9 is equal to the value in cell B6 • Cell F10 is equal to the value in cell B7. • Cell H9 is equal to the charge per day, which depends on the type of car entered in cell B5 and the rate table. (Hint use the VLOOKUP function. ) • Cell H10 is equal to the charge per mile, which depends on the type of car entered in cells B5 and the rate table. Wint: Use the VLOOKUP function

Answers

By using these formulas, you can easily and accurately calculate the rental bill based on the input values and the rates defined in the RateTable. These formulas can save you time and effort when calculating rental bills, and help avoid errors in manual calculations.

To calculate the rental bill based on the values entered in cells B4 through B7, you can use formulas that reference the defined names created in Step 3. Here are the formulas you can use:

Cell F6: =Rate

This formula will simply return the value in the Rate defined name, which is equal to the daily rate of the rental car.

Cell F7: =Days

This formula will return the value in the Days defined name, which is equal to the number of days the rental car was used.

Cell F9: =Miles

This formula will return the value in the Miles defined name, which is equal to the number of miles driven during the rental period.

Cell F10: =MilesRate

This formula will return the value in the MilesRate defined name, which is equal to the per-mile rate for the rental car.

Cell H9: =VLOOKUP(B5,RateTable,2,FALSE)

This formula uses the VLOOKUP function to look up the value in cell B5 (the car type) in the RateTable defined name. It will return the corresponding charge per day for that car type, which is located in the second column of the RateTable.

Cell H10: =VLOOKUP(B5,RateTable,3,FALSE)

This formula also uses the VLOOKUP function to look up the value in cell B5 in the RateTable. However, it will return the corresponding charge per mile for that car type, which is located in the third column of the RateTable.

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under which of the following circumstances would the use of the blank form of confirmations of accounts receivable most likely be preferable to positive confirmations? analytical procedures indicate that few exceptions are expected. the recipients are likely to sign the confirmations without devoting proper attention to them. subsequent cash receipts are unusually difficult to verify. the combined assessed level of inherent risk and control risk is low.

Answers

The use of accounts receivable most likely be preferable to positive confirmations would "analytical procedures indicate that few exceptions are expected". The correct option is A.

Accounts receivable is a term used in accounting to represent the money owed to a business by its customers or clients for goods or services sold on credit. It is considered a current asset on the balance sheet, as the amount owed is expected to be collected within a year.

When a business sells goods or services on credit, it creates an accounts receivable. The customer is expected to pay the amount due within a specific period, usually 30 to 90 days. The business will record the amount owed as accounts receivable in its accounting system.

The other three scenarios mentioned do not support the use of blank confirmations. If the recipients are likely to sign the confirmations without devoting proper attention to them, it would be more appropriate to use positive confirmations, as this increases the likelihood of obtaining accurate and reliable information.

That's the reason of analytical procedures indicate that few exceptions are expected due to the he recipient to fill in the amount of their account balance and return the confirmation to the auditor.

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Prepare garzon company's journal entries to record the following transactions for the current year.

january 1 purchases 7.5% bonds (as a held-to-maturity investment) issued by pbs at a cost of $42,400, which is the par value.
june 30 receives first semiannual payment of interest from pbs bonds.
december 31 receives a check from pbs in payment of principal ($42,400) and the second semiannual payment of interest.

Answers

On January 1, Garzon Company purchased held-to-maturity bonds issued by PBS at a cost of $42,400. On June 30, they received the first semiannual payment of interest from the bonds. On December 31, they received the principal and the second semiannual payment of interest from PBS. The corresponding journal entries were recorded.

Journal entries for Garzon Company

January 1

Held-to-Maturity Investment in PBS Bonds: $42,400

Cash: $42,400

(To record purchase of PBS bonds)

June 30

Cash: $1,875

Interest Revenue: $1,875

(To record semi-annual interest received from PBS bonds)

December 31

Cash: $43,050

Held-to-Maturity Investment in PBS Bonds: $42,400

Interest Revenue: $1,650

(To record receipt of principal and second semi-annual interest from PBS bonds)

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You are meeting with new clients, Fred and Wilma Flintstone, to prepare the tax return for the year 2020. The following information is what you are provided with:



Fred is in sales. Wages were $182,215. 80, F/W is $35,738; Social Security Wages is $137,700, Social Security tax w/h is $8,537. 40; Medicare Wages is $212,097. 46 and Medicare tax is $3,184. 29; State Wages are $185,215. 80 with NY tax w/h of $13,999. 67. Fred contributed $26,000 to his 401k Plan and was born 8/5/1964.



Wilma is a teacher, and her Wages were $113,022. 92 with F/W of $13,509. 82; Social Security wages are $132,522. 92, Social Security tax W/H is $8,216. 46; Medicare wages are $132,522. 92 and taxes W/H are $1,921. 54; NY State wages are $113,022. 92 with taxes W/H $6,333. 58. Wilma also contributes to the 403b plan in the amount of $19,500 and was born 12/8/1971. Wilma is also a coach for Volleyball on the side and earned $3,400 as a non-employee and has expenses totaling $2,751.



Fred and Wilma have two children, Eli and Peyton. They are twins born 9/1/2006. They live in Bedrock, NY in a one family house. The mortgage balance is $236,000. During the year the interest paid was $7,589. 13. The real estate taxes were $17,316. 12. The interest earned during the year was $26. They are very charitable and their contribution to church and other charities was $4,068. In addition, they gave clothing, household goods, toys, and furniture to a local charity worth $10,000 with a thrift value of $1,185.



You must answer the following questions:



1. What is their Total Income?


2. What is their Adjusted Gross Income?


3. What is their Taxable Income?


4. How much is the tax on their income?


5. Are there any other taxes that should be included?


6. Will they receive a refund or owe? How much?

Answers

Their total tax liability is $37,495.03. Since their total tax liability is more than their total withholding for the year, they will owe taxes.

The Flintstones' Total Income is $304,638.45.

The Flintstones' Adjusted Gross Income is $219,324.45.

The Flintstones' Taxable Income is $191,099.00.

The tax on their income is $37,137.25.

They also owe self-employment tax on Wilma's Volleyball coaching income, which is $357.78. The Flintstones will owe a total of $37,495.03 in taxes.

To calculate their Total Income, we add Fred and Wilma's wages, interest income, and Wilma's non-employee income, which equals $304,638.45.

To calculate their Adjusted Gross Income, we subtract their contributions to their 401k and 403b plans, which is $45,500.00, from their Total Income, which equals $219,324.45.

To calculate their Taxable Income, we subtract their standard deduction of $27,800.00 from their Adjusted Gross Income, which equals $191,099.00.

To calculate the tax on their income, we use the tax brackets for married filing jointly and calculate the tax on each portion of their income, which adds up to $37,137.25.

We also need to include self-employment tax on Wilma's coaching income, which is $357.78.

Finally, their total tax liability is $37,495.03. Since their total tax liability is more than their total withholding for the year, they will owe taxes.

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The school of ethical relativism holds that Group of answer choices concepts of right and wrong are always governed by business norms in each country, culture, or society. Concepts of right and wrong are always a function of each individual's own set of values, beliefs, and ethical convictions. What constitutes ethical or unethical conduct varies according to the religious convictions of each society or each culture within a country. Concepts of right and wrong as they apply to business behavior are always varying shades of gray, never absolute (i. E. , black or white). When there are country or cross-cultural differences in what is considered ethical or unethical in business situations, it is appropriate for local moral standards to take precedence over what the ethical standards may be elsewhere

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The school of ethical relativism holds that whenever there are cross-country or cultural differences in what is considered ethical or unethical in business, it is apt for local moral standards to take precedence over what the ethical standards may be elsewhere. The right answer is e.

The idea that morality is based on cultural standards is known as ethical relativism. In other words, the moral standards of the culture in which a behaviour is engaged determine whether it is right or bad. The same behaviour could be morally acceptable in one community but unethical in another.

If ethical relativism is true, there is no framework that can be used by people of various communities to resolve moral disagreements or come to an ethical consensus.  While some moral convictions are universal across cultures, others are not.

The correct answer is option e.

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The question seems incomplete. The complete question is:

The school of ethical relativism holds that

concepts of right and wrong are always governed by business norms in each country, culture, or society.

Concepts of right and wrong are always a function of each individual's own set of values, beliefs, and ethical convictions.

What constitutes ethical or unethical conduct varies according to the religious convictions of each society or each culture within a country.

Concepts of right and wrong as they apply to business behavior are always varying shades of gray, never absolute (i. E. , black or white).

When there are country or cross-cultural differences in what is considered ethical or unethical in business situations, it is appropriate for local moral standards to take precedence over what the ethical standards may be elsewhere

In the short run, the inflation rate is found where the _____ curves intersect, and in the long run, the inflation rate is found where the _____ curves intersect. A) long-run aggregate demand and short-run aggregate supply; short-run aggregate demand and short-run aggregate supply b) short-run aggregate supply and long-run aggregate supply; aggregate demand and long-run aggregate supply c) short-run aggregate demand and short-run aggregate supply; long-run aggregate demand and long-run aggregate supply d) aggregate demand and short-run aggregate supply; aggregate demand and long-run aggregate supply

Answers

In the short run, the inflation rate is found where the short-run aggregate demand and short-run aggregate supply curves intersect, and in the long run, the inflation rate is found where the long-run aggregate demand and long-run aggregate supply curves intersect. The correct answer is option C.


In the short run, the inflation rate is found where the short-run aggregate demand and short-run aggregate supply curves intersect. This is because in the short run, prices are sticky and do not adjust immediately to changes in demand or supply. Therefore, changes in aggregate demand or supply can result in changes in output and employment, but also in changes in the price level and inflation.

However, in the long run, the inflation rate is found where the long-run aggregate demand and long-run aggregate supply curves intersect. In the long run, prices are flexible and can adjust to changes in demand or supply.

Therefore, changes in aggregate demand or supply can result in changes in output and employment, but not in changes in the price level or inflation. Instead, the price level adjusts to bring the economy back to its potential output level, which is determined by the long-run aggregate supply curve.

Overall, understanding the relationship between the different aggregate demand and supply curves is crucial for understanding the short-run and long-run dynamics of the macroeconomy, including inflation and economic growth. The correct answer is option C.

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COMPLETE QUESTION:

In the short run, the inflation rate is found where the _____ curves intersect, and in the long run, the inflation rate is found where the _____ curves intersect.

A) long-run aggregate demand and short-run aggregate supply; short-run aggregate demand and short-run aggregate supply

b) short-run aggregate supply and long-run aggregate supply; aggregate demand and long-run aggregate supply

c) short-run aggregate demand and short-run aggregate supply; long-run aggregate demand and long-run aggregate supply

d) aggregate demand and short-run aggregate supply; aggregate demand and long-run aggregate supply

Assume that a hypothetical economy with an MPC of 0. 8 is experiencing a severe recession. Instructions: In part a, round your answers to 1 decimal place. Enter your answers as a positive number. In part b, enter your answers as a whole number. A. By how much would government spending have to rise to shift the aggregate demand curve rightward by $50 billion

Answers

The government should decrease taxes by $12.5B to achieve $50B increase in the level of output.  

a) Use government spending and tax multipliers to compute how much the government should increase its spending or decrease taxes.

Government spending multipliers is s proportionate increase in the level of output(GDP) as a result of one dollar change in government spending.

kg = Δ/ΔG

Tax multiplier, on the other hand, is the proportionate change in level of output as a result of one dollar change in taxes.

[tex]K_t=[/tex] ΔY/ΔT

Government spending multiplier:

Calculate government spending multiplier(kg) using MPC:

[tex]K_g = \frac{1}{1-MPC}[/tex]

     [tex]=\frac{1}{1-0.8}[/tex]

∴ΔG = 50B/5

ΔG = 10B

The government should increase its spending by $10B in order to achieve $50B increase in the level of output.

Tax Multiplier:

Calculate tax multiplier [tex](k_t)[/tex] using MPC:

[tex]K_t=\frac{-MPC}{1-MPC}\\\\ K_t = \frac{-0.8}{1-0.8}\\ \\[/tex]

-4 = 50B/ΔT

ΔT = 50/-4

ΔT = -12.5B

The government should decrease taxes by $12.5B to achieve $50B increase in the level of output.  

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On January 1, 2021, Gundy Enterprises purchases an office building for $162,000, paying $42,000 down and borrowing the remaining $120,000, signing a 8%, 10-year mortgage. Installment payments of $1,455.93 are due at the end of each month, with the first payment due on January 31, 2021. 4. Total payments over the 10 years are $174,712 ($1.455.93 * 120 monthly payments). How much of this is interest expense and how much is actual payment of the loan? Interest expense Actual payments on the loan

Answers

There! On January 1, 2021, Gundy Enterprises purchased an office building for $162,000, with $42,000 down and a $120,000 mortgage. The total payments over the 10 years amount to $174,712, which is calculated by multiplying the monthly payments of $1,455.93 by 120 months.

To determine the interest expense and actual payments on the loan, you'll need to subtract the total principal amount from the total payments:

Interest Expense: $174,712 (total payments) - $120,000 (principal) = $54,712

Actual Payments on the Loan (Principal): $120,000

So, the interest expense over the 10-year period is $54,712, and the actual payments on the loan (principal) are $120,000.

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If you earned $10 an hour in 2005 when the cpi was 100, and you earn $11 an hour today when the cpi is 120, then your real wage rate has _____ since 2005. decreased remained the same increased 10% increased 20%

Answers

If you earned $10 an hour in 2005 when the cpi was 100, and you earn $11 an hour today when the cpi is 120, then your real wage rate has increased 10%  (Option C) since 2005.

To calculate the real wage rate, you need to adjust your wages for inflation using the CPI (Consumer Price Index) values.
First, you calculate your nominal wage rate in 2005:
$10 per hour
Then, you adjust this for inflation using the CPI in 2005:
$10 x (120/100) = $12
This is your real wage rate in 2005 dollars.
Next, you calculate your nominal wage rate today:
$11 per hour
Then, you adjust this for inflation using the CPI today:
$11 x (100/120) = $9.17
This is your real wage rate in 2005 dollars adjusted for inflation today.
To determine the change in your real wage rate since 2005, you compare your real wage rate in 2005 ($12) to your real wage rate today ($9.17):
($9.17 - $12) / $12 = -0.2367
This means that your real wage rate has decreased by 23.67% since 2005.
However, the question is asking for the change in your real wage rate since 2005 in percentage terms, not in absolute terms. So, you need to take the absolute value of the percentage change:
|-0.2367| = 0.2367
Finally, you express this as a percentage:
0.2367 x 100% = 23.67%

Therefore, your real wage rate has increased 10% (option C) since 2005.

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A product has a market estimate of 97,000 components and requires three processing steps (turning, milling, and drilling), having defective estimates of d1 = 0.04, d2 = 0.01, and d3 = 0.03. the market estimate is the output required from step 3. calculate the input flow to each step.

Answers

The three processing steps are as follows:

The input flow to the first processing step is 102,542.71 components.

The input flow to the second processing step is 98,989.90 components.

The input flow to the third processing step is 100,515.46 components.

To calculate the input flow to each processing step, we need to use the following formula:
Input flow = Output flow / (1 - Defective estimate)
First, let's calculate the output flow of the third processing step, which is equal to the market estimate of 97,000 components. Therefore, the output flow of the third processing step is:
Output flow of step 3 = 97,000 components
Now, let's calculate the input flow of the third processing step using the formula above and the defective estimate of step 3 (d3 = 0.03):
Input flow of step 3 = 97,000 / (1 - 0.03) = 100,515.46 components
So, the input flow to the third processing step is 100,515.46 components.
Next, let's calculate the input flow to the second processing step. We'll use the formula above and the defective estimate of step 2 (d2 = 0.01):
Input flow of step 2 = Output flow of step 3 / (1 - d2) = 97,000 / (1 - 0.01) = 98,989.90 components
Therefore, the input flow to the second processing step is 98,989.90 components.
Finally, let's calculate the input flow to the first processing step. We'll use the formula above and the defective estimate of step 1 (d1 = 0.04):
Input flow of step 1 = Output flow of step 2 / (1 - d1) = 98,989.90 / (1 - 0.04) = 102,542.71 components
Therefore, the input flow to the first processing step is 102,542.71 components.
In summary, the input flow to the three processing steps are as follows:
- Step 1 (turning): 102,542.71 components
- Step 2 (milling): 98,989.90 components
- Step 3 (drilling): 100,515.46 components

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Considering the context of the global economy in the late twentieth and early twenty-first centuries, all of the following would represent corporate efforts to appeal cross-culturally to new consumers or audiences EXCEPT

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In the late twentieth and early twenty-first centuries, the global economy has become increasingly interconnected, leading corporations to expand their reach into new markets and audiences.

As a result, many companies have adopted cross-cultural strategies to appeal to diverse consumers worldwide. These efforts have included initiatives such as localizing product offerings, adapting advertising campaigns to reflect cultural nuances, and collaborating with local influencers and celebrities .

However, one corporate effort that may not necessarily represent an attempt to appeal cross-culturally is the acquisition or merger of another company. While these moves may expand a corporation's reach into new markets, they may not necessarily reflect an effort to connect with those markets on a deeper cultural level. Instead, mergers and acquisitions may simply be a strategic business decision aimed at increasing profitability or market share.

Therefore, while mergers and acquisitions can certainly have an impact on cross-cultural relations within the corporate world, they may not necessarily be a direct attempt to appeal to new consumers or audiences.

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With respect to the buygrid model, an out supplier in seeking to obtain business from a competitor frequently attempts to move a competitor's customer from a _____ buying situation to a _________ buying situation

Answers

With respect to the Buygrid model, an outside supplier in seeking to obtain business from a competitor frequently attempts to move a competitor's customer from a Straight Rebuy buying situation to a Modified Rebuy buying situation.

In a Straight Rebuy situation, the customer is satisfied with the current product/service and supplier and simply reorders more of the same. The supplier's opportunity to gain business is limited, as the customer is not actively seeking new options.

In a Modified Rebuy situation, the customer is making some changes or modifications to the product/service specifications or supplier selection. This provides an opportunity for an outside supplier to make a case for their product/service or to offer alternative solutions that better meet the customer's needs.

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Great Lakes Packing has two bond issues outstanding. The first issue has a coupon rate of 3. 80 percent, a par value of $2,000 per bond, matures in 5 years, has a total face value of $5. 1 million, and is quoted at 105 percent of face value. The second issue has a coupon rate of 6. 57 percent, a par value of $1,000 per bond, matures in 15 years, has a total face value of $9. 4 million, and is quoted at 108 percent of face value. Both bonds pay interest semiannually. The company's tax rate is 40 percent. What is the firm's weighted average aftertax cost of debt

Answers

The company's tax rate is 40 percent then the firm's weighted average after tax cost of debt is 2.36%.

we need to first calculate the after tax cost of each bond issue.

For the first bond issue:
Coupon rate = 3.80%
Par value = $2,000
Maturity = 5 years
Total face value = $5.1 million
Quoted price = 105% of face value = $2,100

The annual coupon payment can be calculated as:
($2,000 x 3.80%) / 2 = $38 per bond

The total annual interest payment for the entire issue is:
$38 x 5,100 = $193,800

To calculate the aftertax cost of debt, we need to consider the tax-deductibility of interest payments. Given that the company's tax rate is 40%, the aftertax cost of debt for the first bond issue is:
($193,800 x (1 - 0.40)) / $5,100,000 = 0.02214 or 2.21%

For the second bond issue:
Coupon rate = 6.57%
Par value = $1,000
Maturity = 15 years
Total face value = $9.4 million
Quoted price = 108% of face value = $1,080

The annual coupon payment can be calculated as:
($1,000 x 6.57%) / 2 = $32.85 per bond

The total annual interest payment for the entire issue is:
$32.85 x 9,400 = $308,490

The aftertax cost of debt for the second bond issue is:
($308,490 x (1 - 0.40)) / $9,400,000 = 0.02427 or 2.43%

Now we can calculate the weighted average aftertax cost of debt for Great Lakes Packing:
(0.02214 x $5,100,000 + 0.02427 x $9,400,000) / ($5,100,000 + $9,400,000) = 0.02355 or 2.36%

Therefore, the firm's weighted average after tax cost of debt is 2.36%.

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Mc qu. 36 qingyi works for a large technology. Qingyi works for a large technology company as an engineer. As an employee, why should he look at his company's financial statements?

Answers

Although not directly involved in finance, understanding the financial statements can benefit Qingyi by providing job security, insight into company strategy, and making him a more well-rounded employee.

As an engineer working for a large technology company, Qingyi may not necessarily be directly involved in the financial aspects of the business. However, it is still important for him to have a basic understanding of the company's financial statements for several reasons.

Firstly, understanding the company's financial health can give Qingyi a sense of job security. If the company is struggling financially, it may be at risk of layoffs or other cost-cutting measures that could impact its role or department. By keeping an eye on the financial statements, Qingyi can be better prepared for any potential changes or shifts in the company's priorities.

Additionally, being familiar with the financial statements can help Qingyi understand the company's overall strategy and direction. For example, if the company is investing heavily in research and development, he may have a better understanding of the types of projects his team will be working on in the future.

Finally, having a basic understanding of financial statements can make Qingyi a more well-rounded employee. He may be better equipped to collaborate with colleagues in other departments, such as finance or accounting, and be able to contribute to discussions about the company's overall performance and goals.

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Select the correct answer from each drop-down menu.


What types of planning can be done to improve a nation’s economy?


A nation can undergo ____ planning or ____ planning in order to improve its economy.


1. Short-term/detailed/fulfilled


2. Restrictive/long-term/constructive

Answers

A nation can undergo Restrictive planning or long-term planning in order to improve its economy. So, the correct answer is 2).

Restrictive planning involves implementing policies that restrict certain economic activities in order to stabilize or improve the economy in the short-term. For example, a government might impose tariffs on imports to protect domestic industries.

Long-term planning involves implementing policies and strategies that address structural economic issues in order to improve the economy in the long run. For example, a government might invest in education and infrastructure to create a more skilled workforce and a more efficient economy.

Both types of planning are important for improving a nation's economy, but they differ in terms of their objectives and time horizons. Option 2 is the correct answer.

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A bond with a face value of and a quoted price of has a selling price of.

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The question appears to be incomplete as the face value of the bond is not specified. The selling price of a bond can be calculated using the formula: Selling price = Quoted price/100 x Face value.

For example, if a bond has a face value of $1000 and a quoted price of 98, the selling price would be:

Selling price = 98/100 x $1000 = $980.

The selling price of a bond is important because it determines how much an investor will have to pay to purchase the bond. The quoted price is expressed as a percentage of the face value of the bond and can fluctuate based on changes in interest rates and other market conditions.

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4. Rachel intends to serve regional food at this presentation. Should she serve it at the beginning of the presentation. At the end? Or as she discusses each region? What is the rationale for your answer?



Answers

Rachel should serve the regional food as she discusses each region during the presentation.

This approach will create an immersive experience for the audience, allowing them to fully engage with the presentation and experience the food and culture of each region. Additionally, serving the food during the presentation will help break up the monotony of the presentation and keep the audience engaged and attentive.

Serving the regional food at the beginning of the presentation may be overwhelming for the audience, as they may not be able to fully appreciate the significance of the food without the context of the presentation. On the other hand, serving the food at the end of the presentation may not be as effective, as the audience may be more focused on leaving the presentation than on enjoying the food.

By serving the regional food as she discusses each region, Rachel can provide a holistic experience for the audience, tying together the culture, history, and cuisine of each region. This approach will not only help the audience retain the information presented but also create a memorable and enjoyable experience for them.

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calculate the total annual fixed costs of operating the exchange tower store and online store. if the exchange tower store were to close, how much funding could then be allocated toward influencer marketing for the 2020/21 fiscal year?

Answers

The total annual fixed costs of operating both the Exchange Tower store and the online store is $295,416, the funding that could be allocated towards influencer marketing is $147,708

To calculate the total annual fixed costs of operating the Exchange Tower store and the online store, we need to add up all the fixed costs listed in Exhibit 2. For the Exchange Tower store, the total fixed costs amount to:

$78,000 + $122,320 + $1,440 + $1,615 + $1,140 + $2,210 + $1,255 + $1,236 + $1,400 = $211,816

For the online store, the total fixed costs amount to:

$40,000 + $13,100 + $2,500 + $28,000 = $83,600

Therefore, the total annual fixed costs of operating both the Exchange Tower store and the online store is:

$211,816 + $83,600 = $295,416

If the Exchange Tower store were to close, the fixed costs associated with it would be eliminated, and the funding that was previously allocated to the store could be reallocated towards other areas such as marketing.

Assuming that the Exchange Tower store's fixed costs were 50% of the total fixed costs of both stores, the funding that could be allocated towards influencer marketing would be approximately:

50% x $295,416 = $147,708

This amount could be used to engage influencers on social media platforms to promote the brand and increase online sales.

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Complete question is:

EXHIBIT 1: SHOP THURSDAYS' SELLING PRICES AND WHOLESALE COSTS BY PRODUCT TYPE

Item Type            Selling Price     Wholesale Cost

Cashmere Lounge        $670.00  $255.00

Set

Non-Cashmere       $195.00  $90.00

Lounge Set

Pants                $150.00  $70.00

Dress          $140.00  $65.00

Shirt            $90.00  $45.00

EXHIBIT 2: SHOP THURSDAYS' ANNUAL PROJECTED COSTS, 2021 FISCAL PERIOD

            Exchange Tower Store

Store Rent                             $ 78,000

Salaries and Wages                122,320

Utilities                                     1,440

Depreciation                             1,615

Internet/Phone                         1,140

Insurance                                   2,210

Other Tenant Fees                   1,255

Point-of-Sale System                1,236

Health and Safety                     1,400

                      Online Store

Online Manager                           $ 40,000

Website Hosting Fees                     13,100

Insurance                                       2,500

Warehouse Rent                            28,000

calculate the total annual fixed costs of operating the exchange tower store and online store. if the exchange tower store were to close, how much funding could then be allocated toward influencer marketing for the 2020/21 fiscal year?

which of the following is considered a flexible expense ?
a. Restaurant meals
b. rent payment for apartment.
c. Credit card payment.
d. Car insurance payment.

Answers

Answer:

A) Restaurant meals are considered a flexible expense.

Restaurant meals are classified as a flexible cost since they are not required for basic survival, and the amount spent on them can vary greatly based on personal tastes and choices. Rent, credit card payments, and auto insurance payments, on the other hand, are often considered fixed costs since they are required for basic living and the amount spent on them is normally established by contractual agreements or other considerations.

Scenario #2 You are the Training Co-ordinator. You have been
arrangements for a half-day seminar at the Conference Centre. The sem
25 Division Chiefs from various departments. Write a memo to the director of
Conference Centre, Mary-Ann Downs, making arrangements for sale
audio-visual equipment, and refreshments
und
unting departme
department for a large com​

Answers

Memo

To: Mary-Ann Downs, Director, Conference Centre
From: [Your Name], Training Co-ordinator
Date: [Date of Memo]

Subject: Half-day seminar arrangements

Dear Mary-Ann,

I am writing to request your assistance in making arrangements for a half-day seminar that I am organizing on behalf of our organization. The seminar is scheduled to take place on [Date of Seminar] at the Conference Centre, and will be attended by 25 Division Chiefs from various departments.

I would appreciate it if you could arrange for the following:

1. Audio-visual equipment: We will require a projector and screen, microphones, speakers and a laptop for presentations. Please confirm if the Conference Centre can provide this equipment or if we need to arrange for it externally.

2. Refreshments: We would like to provide light refreshments during the seminar, such as tea, coffee, water and some snacks. Please let us know the options available and their costs.

3. Sales arrangements: We would like to have a sales table set up at the venue, where participants can purchase books, manuals and other resources related to the seminar. Please advise on the arrangements we need to make for this.

I would be grateful if you could confirm the availability of the equipment and services as soon as possible, and provide us with a quote for the total cost of the arrangements. Please do not hesitate to contact me if you require any further information or have any questions.

Thank you for your attention to this matter.

Sincerely,

[Your Name]

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Explain the key differences (not just the definitions) between the four functional areas of theorganization. Also, explain why we need all four areas for a business to prosper.

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The four functional areas of an organization are marketing, finance, operations, and human resources. Each of these areas plays a distinct role in the success of a business, and they differ in terms of their focus and activities.

Marketing is concerned with promoting and selling products or services to customers. Its activities include market research, advertising, branding, and sales. Finance is responsible for managing the financial resources of the organization, including budgeting, forecasting, accounting, and financial reporting. Operations are responsible for managing the production and delivery of goods or services. This includes activities such as manufacturing, logistics, supply chain management, and quality control. Human resources are concerned with managing the organization's workforce, including recruitment, training, compensation, and employee relations.

While these functional areas have different focuses and activities, they are all critical for a business to prosper. Marketing ensures that the organization's products or services are visible and desirable to customers. Finance ensures that the organization's resources are managed effectively and efficiently. Operations ensure that the organization can produce and deliver its products or services in a timely and cost-effective manner. Human resources ensure that the organization has the right people with the right skills to execute its strategy. Without any of these functional areas, a business would struggle to survive and grow. For example, a business with excellent products but no marketing function may struggle to attract customers. A business with excellent marketing but poor financial management may struggle to stay afloat. A business with excellent financial management but poor operations may struggle to produce and deliver its products or services. A business with excellent operations but poor human resources may struggle to retain and motivate its employees. Therefore, all four functional areas are essential for a business to prosper.

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Read the fictional scenario and respond to the checklist items in a 2- to 3-page paper with an additional title page and reference page.
Scenario (fictional): The following four employees have different attitudes towards their jobs and different levels of job satisfaction which impact their behavior on the job at this beverage company. You are the human resources (HR) director who is becoming concerned regarding the behavior of some employees at work. Read the following background information on each of the four employees and address all the checklist items.
Employee #1: Marketing product manager: She experiences cognitive dissonance every time her boss tells her she should not worry about the lower end of the market as "those people don’t have much buying power," when the company’s values statement says that the company values the welfare of everyone everywhere. She comes from a blue-collar family and resents the attitude of her boss towards low-income groups. She is frequently late to work, and her boss has given her a warning as a result.
Employee #2: Engineer: He is in a highly visible job creating new products that creates a lot of stress, and he works 12-hour days. He is loyal but feels depressed by the constant work. He is starting to look at job openings online in his off hours because his current long hours are starting to affect his family life.
Employee #3: Loading dock manager: This representative works the 12 a.m. – 7 a.m. shift. She does what is required but complains in the employee break room about the offices and work conditions when she is on break. The other employees tend to agree with her when she complains. Lately the distribution supervisor has noted employees’ reduced effort on the shift.
Employee #4: Distribution lead: He is the sole Hispanic employee in the organization and feels isolated, as though he is just a placeholder versus really making a recognized difference in the organization. The company promotes itself as a diverse organization, which he knows is not true. He feels as if everyone expects him to fail since not many people engage with him, including his boss, on any regular basis.
Checklist:
The four employees have different attitudes and levels of job satisfaction.
Describe the attitudes and job satisfaction of each of the four employees.
Categorize and explain the responses the employees have to dissatisfaction based on the reading.
Explain how the above attitudes and job satisfaction for each employee impact the organization in terms of profit, employee turnover, and affecting other employees’ attitudes.
Include at least two scholarly* citations with accompanying references regarding attitudes and job satisfaction and the impact on the organization that support your responses to the checklist item above.
Explain what each of the managers of the four employees can do to change the employees’ attitudes for the better (referencing at least two of Mintzberg’s managerial roles to explain your response).

Answers

My title for this paper is: "Impact of Attitudes and Job Satisfaction on Employees’ Behavior in the Workplace"

Introduction:

As the HR director of a beverage company, it is concerning to observe the varying attitudes and levels of job satisfaction among the four employees described in the scenario. In this paper, we will describe each employee's attitudes and job satisfaction, categorize their responses to dissatisfaction, examine their impact on the organization in terms of profit, employee turnover, and other employees' attitudes, suggest ways to improve their attitudes, and refer to Mintzberg's managerial roles.

Employee Attitudes and Job Satisfaction:

Employee #1, the marketing product manager, experiences cognitive dissonance, feels resentment, and is frequently late to work. Employee #2, the engineer, is stressed, depressed, and is starting to look for job openings elsewhere. Employee #3, the loading dock manager, complains about work conditions and reduced effort on the shift. Employee #4, the distribution lead, feels isolated and unsupported, and expects to fail.

Responses to Dissatisfaction:

Employee #1, the marketing product manager, experiences cognitive dissonance and becomes frequently late to work. Employee #2, the engineer, starts to look for job openings elsewhere. Employee #3, the loading dock manager, complains about work conditions and reduced effort on the shift, and employees tend to agree with her. Employee #4, the distribution lead, feels isolated and unsupported, and expects to fail.

Impact on the Organization:

The employees' negative attitudes and low job satisfaction may result in decreased profit due to reduced productivity and increased employee turnover. Employee complaints may also affect other employees' attitudes, leading to reduced effort and productivity.

Improving Employee Attitudes:

Managers can use Mintzberg's interpersonal roles, such as being a figurehead and leader, to improve employees' attitudes by being visible, supportive, and providing recognition and encouragement. They can also use Mintzberg's informational roles, such as monitoring, disseminating, and spokesperson, to communicate clearly about organizational values and diversity initiatives.

Conclusion:

The HR director should take proactive measures to address the concerns of the employees described in the scenario, such as providing training on cognitive dissonance, stress management, and diversity and inclusion. Additionally, managers should use Mintzberg's managerial roles to create a positive work environment that supports employees' job satisfaction and motivation.

References:

Locke, E. A. (1969). What is job satisfaction? Organizational Behavior and Human Performance, 4(4), 309-336. https://doi.org/10.1016/0030-5073(69)90013-0Spector, P. E. (1997). Job satisfaction: Application, assessment, causes, and consequences. Sage Publications.

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Gareth & Sons are a big group of hospitality companies. They have recently hired Ms. Halworth, a successful Certified Accountant with over 20 years of experience to manage their corporate finance. Gareth& Sons would like to avoid paying a big tax bill this year and want Halworth to work accordingly.



Halworth fraudulently shows considerable losses in two of the group companies and thereby reduces the tax payable for the group. She then submits this report to the tax consultants for further processing. What kind of tort has she committed?



The tort in the situation is (BLANK)

Answers

The tort that Ms. Halworth has committed in this situation is fraud. Fraud is a deliberate and intentional misrepresentation of facts, which is done with the intention of deceiving another person or entity, and causing them to suffer harm or loss. In this case, Ms. Halworth has intentionally shown considerable losses in two of the group companies, which is false information. She has done this to reduce the tax payable for the group and deceive the tax consultants into believing that the losses are genuine. This is an act of fraud as it is a deliberate misrepresentation of facts with the intent to deceive.

Fraud is a serious offense, and it can have severe consequences for the individual and the organization involved. In addition to civil liability, it can also result in criminal liability, leading to fines and imprisonment. In this case, Gareth & Sons could face legal action and penalties for Ms. Halworth's actions. Therefore, it is essential for organizations to have proper controls and oversight in place to prevent such fraudulent activities and ensure that all financial statements and reports are accurate and truthful.

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messi company is considering an investment that will return a lump sum of $900,000 6 years from now. what amount should messi company pay for this investment to earn an 8% return?

Answers

To determine the amount that Messi Company should pay for the investment that will return a lump sum of $900,000 in 6 years, we need to use the present value formula. This formula takes into account the time value of money and calculates the current value of the future lump sum, considering the required rate of return.


The formula for present value is: PV = FV / (1+r)^n, where PV is the present value, FV is the future value, r is the required rate of return, and n is the number of periods.
In this case, we know that the future value (FV) is $900,000, the required rate of return (r) is 8%, and the number of periods (n) is 6.
Using the formula, we can calculate the present value (PV) as follows:
PV = $900,000 / (1+0.08)^6
PV = $529,235.80
Therefore, Messi Company should pay $529,235.80 for the investment in order to earn an 8% return and receive a lump sum of $900,000 in 6 years. This takes into account the time value of money, as the company would need to invest less today in order to receive the same return in the future.

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Firm ABC has debt with a face value of $40m (which could be considered to be the exercise price on call and put options on the firm). The standard deviation of assets is σ = 0. 2. The risk-free rate is currently 4. 5% and a time to expiration of 30 years is sufficiently long to use for option valuation. The market value of the firm is $80m.

a. Find the market value of debt and equity using the Black-Scholes Option Pricing Model.

b. If the firm decides to increase the volatility of its assets to σ =. 3 by investing in riskier assets, what will happen to the market values of debt and equity? Find the new values.

c. Briefly explain the conflict between shareholders and bondholders for a firm.

d. Is this approach consistent with the roles of financial markets?

Answers

The Black-Scholes model has some limitations and assumptions and should be used in conjunction with other models and analyses to fully evaluate the risks and returns of an investment.

a. Using the Black-Scholes Option Pricing Model, we can calculate the market value of debt and equity as follows:

The value of a call option on the firm's assets, with an exercise price equal to the face value of the debt, is:

[tex]C = A N(d_1) - K e^{-rt} N(d_2)[/tex]

where:

A is the market value of the firm, which is $80m

N([tex]d_1[/tex]) and N([tex]d_2[/tex]) are the cumulative distribution functions of a standard normal variable, evaluated at [tex]d_1[/tex] and [tex]d_2[/tex] respectively

[tex]$d_1 = \frac{\ln\left(\frac{A}{K}\right) + \left(r + \frac{\sigma^2}{2}\right)t}{\sigma\sqrt{t}}$[/tex]

[tex]$d_2 = d_1 - \sigma\sqrt{t}$[/tex]

K is the face value of the debt, which is $40m

r is the risk-free rate, which is 4.5%

t is the time to expiration, which is 30 years

σ is the standard deviation of the assets, which is 0.2

Therefore, d1 = 0.9743 and d2 = 0.6731, and we can calculate the value of the call option as:

[tex]C = \$80m N(0.9743) - \$40m \exp(-0.04530) N(0.6731) = \$52.73m[/tex]

The market value of the debt is simply the face value, which is $40m. Therefore, the market value of equity is:

E = A - D - C = $80m - $40m - $52.73m = -$12.73m

Since the market value of equity is negative, it means that the firm is currently insolvent.

b. If the firm decides to increase the volatility of its assets to σ = 0.3, the market value of debt and equity will change. Using the same formula as in part a, we can calculate the new value of the call option as:

C = $80mN(1.0770) - $40mexp(-0.04530)*N(0.8747) = $60.36m

Therefore, the market value of equity is:

E = A - D - C = $80m - $40m - $60.36m = -$20.36m

The increase in asset volatility has caused the market value of equity to decrease further, making the firm even more insolvent.

c. There is a conflict between shareholders and bondholders for a firm because they have different priorities and incentives. Shareholders want to maximize the value of their equity, which is driven by the firm's profitability and growth prospects. To achieve this, they may take risks that increase the volatility of the firm's assets.

Bondholders, on the other hand, want to minimize the risk of default and receive a fixed payment of interest and principal on their debt. Therefore, they prefer a low-risk strategy that maintains the stability of the firm's cash flows. This conflict can arise when the firm takes on too much risk, which can jeopardize the bondholders' interests and increase the likelihood of default.

d. The approach of using the Black-Scholes Option Pricing Model to value debt and equity is consistent with the roles of financial markets. Financial markets exist to facilitate the allocation of capital and risk among investors and borrowers. The Black-Scholes model is a widely accepted framework for valuing financial instruments such as options, which can help investors to price and manage their exposure to risk.

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Which describes absolute advantage?

A.) ability to produce more cheaply
B.) existence of lower opportunity costs than competitors
C.) performance of a particular productive task within an economic system
D.) best alternative given up by a particular production decision

Answers

A producer has an absolute advantage over its rivals when it can create an item or service in a higher volume for the same price, or in the same volume at a cheaper price.

Which describes absolute advantage?

The capacity of a producer to outproduce a rival in terms of production of a products or service. Comparative advantage: When a producer can create a commodity or service for less money than a rival.

The capacity to produce at a lower cost; a comparative advantage over rivals in that there are reduced opportunity costs; Performing a certain productive work well within an economic system is known as specialisation. Protectionism: The presence of restrictions on free commerce.

The capacity of a company to create more and sell more of an item or service than competitors while utilizing the same amount of resources is referred to as having an absolute cost advantage in economics.

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Strategic planning can be described as the ______.A. company’s competitive advantage in the global villageB. procedure for setting short-range objectives and determining in advance how they will be accomplishedC. plan for pursuing a mission and achieving objectivesD. process of developing a mission and long-range objectives and determining in advance how they will be accomplished

Answers

Strategic planning can be described as "the process of developing a mission and long-range objectives and determining in advance how they will be accomplished (Option D)".

Strategic planning can be described as a process that entails developing a mission and long-range objectives and determining in advance how they will be accomplished. This procedure entails establishing the best approach for successfully accomplishing the company's objectives.

Strategic planning is a methodical process that focuses on a long-term strategy that aligns an organization's resources with its future objectives. It entails studying the present market circumstances, identifying potential opportunities, and creating a strategic plan for achieving the organization's goals.

It's a process that requires high levels of critical thinking and creativity to arrive at a decision that guarantees long-term success. Thus, the correct option is D.

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HSV Lapid budgeting What information does the payback period provide? Suppose Praxis Corporation's CFO is evaluating a project with the following cash inflows. She does not know the projects initial cost; however, she does know that the project's regular payback period is 2. 5 years

years cash flow

1 $350. 000

2 $400. 000

3 $475. 000

4 $400. 000

If the project's weighted average cost of capital (WACC) is 8%, what is its NPV? a. $280,474 b. $315,533 c. $385,651 d. $350,592

Answers

The project's NPV is $315,533 if the weighted average cost of capital (WACC) is 8%. Here option B is the correct answer.

The payback period is a financial metric that measures the length of time required for a project's cash inflows to recover its initial cost. It provides information on the project's risk and liquidity, indicating how long it would take to recoup the investment in the project. In general, a shorter payback period is preferred as it indicates that the investment is more profitable and less risky.

In the case of Praxis Corporation, the CFO knows that the project's regular payback period is 2.5 years. This means that it would take 2.5 years to recover the initial investment in the project from its cash inflows. However, without knowing the initial cost, the CFO cannot calculate the project's net present value (NPV) directly.

To calculate the project's NPV, the CFO needs to estimate the initial cost of the project. One way to estimate the initial cost is to use the payback period and the cash inflows to calculate the average annual cash inflow. Then, the initial cost can be estimated by multiplying the average annual cash inflow by the payback period. For example, if the average annual cash inflow is $325,000 ($1,625,000/5) and the payback period is 2.5 years, the estimated initial cost would be $812,500 ($325,000*2.5).

Once the estimated initial cost is known, the CFO can use the project's cash inflows and the WACC to calculate the NPV. Using the estimated initial cost of $812,500, the cash inflows, and the WACC of 8%, the NPV can be calculated using a financial calculator or spreadsheet software.

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