Sheffield Company owns 25% of Toppe Company. For the current year, Toppe reports net income of $250,000 and declares and pays a $100,000 cash dividend. Record Sheffield’s equity in Toppe’s net income and the receipt of dividends from Toppe. (Credit account titles are automatically indented when the amount is entered. Do not indent manually. )

Answers

Answer 1

The equity method allows Sheffield to accurately reflect its share of Toppe's financial performance in its own financial statements.

Sheffield Company owns 25% of Toppe Company, which means Sheffield has a significant influence on Toppe. As a result, Sheffield should use the equity method to account for its investment in Toppe. The equity method requires Sheffield to record its share of Toppe's net income and dividends as follows:

To record Sheffield's equity in Toppe's net income:

Debit: Investment in Toppe Company (25% of $250,000) = $62,500
Credit: Equity in Net Income of Toppe Company = $62,500

To record Sheffield's receipt of dividends from Toppe:

Debit: Cash = $25,000 (25% of $100,000)
Credit: Investment in Toppe Company = $25,000

Overall, the equity method allows Sheffield to accurately reflect its share of Toppe's financial performance in its own financial statements. By recording its equity in Toppe's net income and dividends received, Sheffield is able to provide a clear picture of its financial position and performance to its own stakeholders.

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Related Questions

with this type of externality, in the absence of government intervention, the market equilibrium quantity produced will be than the socially optimal quantity. which of the following generate the type of externality previously described? check all that apply. your roommate caroline has bought a puppy that barks all day while you are trying to study economics. shen has planted several trees in his backyard that increase the beauty of the neighborhood, especially during the fall foliage season. a microbiology lab has published its breakthrough in swine flu research. the city where you live has turned the publicly owned land next to your house into a park, causing trash dropped by park visitors to pile up in your backyard.

Answers

The type of externality described in the question is a negative externality. A negative externality occurs when the production or consumption of a good or service imposes costs on a third party who is not involved in the transaction.

In this case, the barking puppy is a nuisance to the person trying to study economics, and therefore, the negative externality is created. Similarly, the trash from the park visitors is an externality that imposes costs on the person living next to the park. Both of these examples result in a market equilibrium quantity produced that is greater than the socially optimal quantity because the costs imposed on the third party are not accounted for in the market transaction.

On the other hand, planting trees in the backyard, which increases the beauty of the neighborhood, is an example of a positive externality. Positive externalities occur when the production or consumption of a good or service benefits a third party who is not involved in the transaction. However, in the absence of government intervention, the market equilibrium quantity produced will be less than the socially optimal quantity because the benefits to the third party are not accounted for in the market transaction.

The breakthrough in swine flu research is not an example of an externality as it does not involve the production or consumption of a good or service that affects a third party who is not involved in the transaction.

In conclusion, the negative externality created by the barking puppy and the trash from park visitors imposes costs on third parties, leading to a market equilibrium quantity produced that is greater than the socially optimal quantity. Positive externalities such as planting trees in the backyard result in a market equilibrium quantity produced that is less than the socially optimal quantity because the benefits to the third party are not accounted for.

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a monopoly misallocates resources when it sells the same product to different groups of customers at different prices. exploits scale economies. restricts output so that the marginal benefit of the last unit sold exceeds the marginal social cost of producing the good.

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A monopoly misallocates resources when it restrict the output so that the benefit of the additional unit produced and sold would exceed the marginal social cost of producing that unit of good. The right answer is c.

Monopoly is frequently criticised because it causes resource allocation to be economically inefficient. When resources are distributed among the production of products in a way that promotes societal welfare, economic efficiency is attained.

Resources are improperly allocated in monopolies, which reduces societal welfare. The amount that consumers pay for a product when it is sold in monopolistic circumstances is higher than its marginal cost. The monopolist benefits at the expense of the consumer as a result of this increased price.

The correct answer is option c.

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which risk analysis metric produces a distribution of net present values and internal rates of return? scenario analysis monte carlo simulations break-even analysis sensitivity analysis

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Monte Carlo simulations are a risk analysis technique used in financial modeling to generate a distribution of possible outcomes for net present values (NPV) and internal rates of return (IRR) based on various input parameters or assumptions.

Monte Carlo simulations. The correct answer is B.

It involves running multiple simulations with different combinations of input variables to estimate the probability of different outcomes and assess the risk associated with a particular project or investment.

Scenario analysis, on the other hand, involves evaluating the impact of different scenarios or scenarios on project outcomes without generating a distribution of values. Break-even analysis is a financial analysis technique used to determine the level of sales or revenue needed to cover all costs and achieve a zero-profit position.

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Complete Question

The question is asking which risk analysis metric produces a distribution of net present values (NPV) and internal rates of return (IRR) as part of its output. The options provided are:

A. Scenario analysis

B. Monte Carlo simulations

C. Break-even analysis

D. Sensitivity analysis

In which case would you be entitled to a tax refund?

Answers

There are several scenarios where you may be entitled to a tax refund.

One common example is if you overpaid your taxes throughout the year. This could happen if your employer withheld too much from your paychecks, or if you made estimated tax payments that ended up being more than what you actually owed. In this case, you would receive a refund for the excess amount.

Another scenario where you may receive a tax refund is if you have tax credits or deductions that reduce your tax liability below zero. For example, if you have children and qualify for the Child Tax Credit, you may be able to reduce your tax liability by up to $2,000 per child. If your tax liability is already at $0, the remaining credit amount would be refunded to you.

It's important to note that each individual's tax situation is unique, so it's best to consult with a tax professional to determine if you're eligible for a tax refund.

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Countries like Portugal, Mexico and Turkey follow __________ societies as they place the needs and wants of the group over the desires of the individual.

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Countries like Portugal, Mexico, and Turkey follow collectivist societies, as they place the needs and wants of the group over the desires of the individual.

In collectivist cultures, people emphasize group harmony, loyalty, and the well-being of their community. This is in contrast to individualistic societies, where personal achievements, self-expression, and individual rights are prioritized.

In collectivist societies such as Portugal, Mexico, and Turkey, social norms and traditions play a significant role in shaping individuals' behavior. People often feel a strong sense of belonging and responsibility towards their families, friends, and social groups. Decision-making typically involves considering the opinions and needs of the group, rather than just the individual's preferences.

Furthermore, in collectivist cultures, there is a strong focus on maintaining harmony and avoiding conflict within the group. This often leads to people suppressing their personal opinions or desires to prevent disagreements. Cooperation and teamwork are highly valued, as they contribute to the overall success of the group.

In summary, collectivist societies like Portugal, Mexico, and Turkey prioritize group well-being, loyalty, and harmony over individual desires and accomplishments. People in these cultures often make decisions based on the needs of the group and work together to achieve common goals.

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2. Governments play an important in research role by providinggrants and developing relevant policies. Discuss yourunderstanding.

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In my understanding, governments play an important role in research by providing grants and developing relevant policies.

Governments offer financial support to researchers through grants, which can be used to fund equipment, personnel, and other resources needed to conduct studies. These grants help promote innovation, scientific advancement, and economic growth.

Additionally, governments create policies that shape the research landscape, ensuring ethical conduct, promoting collaboration, and encouraging the use of research findings in decision-making processes. These policies can also help prioritize research areas based on societal needs, ensuring that resources are allocated to address pressing issues.

In summary, governments play a crucial role in research by providing funding through grants and creating policies that guide and support the research process. This helps promote scientific progress and address important societal challenges.

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Vollmer Manufacturing makes three components for sale to refrigeration companies. The components are processed on two machines: a shaper and a grinder. The times (in minutes) required on each machine are as follows:



Machine


Component Shaper Grinder


1 5 5


2 6 4


3 4 3



The shaper is available for 115 hours, and the grinder is available for 95 hours. No more than 210 units of component 3 can be sold, but up to 1050 units of each of the other components can be sold. In fact, the company already has orders for 525 units of component 1 that must be satisfied. The profit contributions for components 1, 2, and 3 are $7, $6, and $10, respectively.



Required:


a. Formulate and solve for the recommended production quantities.


b. What are the objective coefficient ranges for the three components? Interpret these ranges for company management.


c. What are the right-hand-side ranges? Interpret these ranges for company management.


d. If more time could be made available on the grinder, how much would it be worth?


e. If more units of component 3 can be sold by reducing the sales price by $4, should the company reduce the price?

Answers

a. The recommended production quantities are 525 units of component 1, 650 units of component 2, and 210 units of component 3. The optimal solution yields a total profit of $8,490.

b. The objective coefficient ranges for the three components are as follows: component 1 ranges from $7 to $∞, component 2 ranges from $4.50 to $8, and component 3 ranges from $10 to $∞. These ranges indicate the range of profit contribution per unit for each component that would still result in the same optimal solution. For example, if the profit contribution for component 2 were to increase from $6 to $8, the optimal solution would still recommend producing 650 units of component 2.

c. The right-hand-side ranges for the availability of the shaper and grinder are as follows: the shaper can range from 115 to 190 hours, and the grinder can range from 95 to 118 hours. These ranges indicate the range of availability for each machine that would still result in the same optimal solution. For example, if the availability of the grinder were to increase from 95 to 100 hours, the optimal solution would still recommend producing 210 units of component 3.

d. The shadow price for the grinder is $0.50 per minute. Therefore, if one more hour (60 minutes) were made available on the grinder, it would be worth an additional profit contribution of $30 (60 × $0.50).

e. To determine if the company should reduce the price of component 3, the reduced cost contribution per unit must be compared to the reduced price. If the reduced cost contribution is greater than the reduced price, the company should not reduce the price. However, if the reduced cost contribution is less than the reduced price, the company should reduce the price.

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Both investors and gamblers take on risk. the difference between an investor and a gambler is that an investor _______.

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Both investors and gamblers take on risk, the difference between an investor and a gambler is that an investor risk management.

An investor aims to minimize risk and maximize returns by conducting thorough research, analyzing market trends and making informed decisions. They carefully consider the potential risks and rewards before investing their money in a diversified portfolio. In contrast, a gambler takes on risk with the hope of making quick profits through chance and luck. They rely on speculation, intuition and emotion to make their bets, often without proper research or analysis.

Furthermore, investors typically have a long-term perspective, aiming to build wealth over time through steady growth and income. They understand that there may be occasional losses or setbacks, but remain committed to their investment strategy. On the other hand, gamblers seek immediate gratification and high-risk, high-reward outcomes. They may experience short-term success, but are more likely to suffer significant losses in the long run.

Overall, the difference between an investor and a gambler is that an investor approaches risk management with discipline, knowledge and patience, while a gambler relies on chance and emotion to make decisions.

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liability of foreignness is: group of answer choices the inherent disadvantage foreign firms experience in home countries. the inherent advantage foreign firms experience in home countries. the inherent disadvantage foreign firms experience in host countries. the inherent advantage foreign firms experience in host countries.

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The liability of foreignness can be understood as inherent disadvantage foreign firms experience in host countries.

The liability of foreignness is a concept that refers to the challenges and costs that foreign firms face when operating in a host country. These challenges can include cultural differences, language barriers, unfamiliar legal and regulatory environments, and lack of local networks and knowledge. These factors can increase the costs of doing business and make it more difficult for foreign firms to compete with local firms.

For example, foreign firms may face higher costs for hiring and training local employees, as well as for complying with local regulations and customs. They may also struggle to build relationships with local suppliers, customers, and other stakeholders, which can hinder their ability to develop effective business strategies.

In contrast, local firms may have greater familiarity with the local market and culture, as well as existing networks and relationships that give them an advantage over foreign firms. As a result, the liability of foreignness can make it more difficult for foreign firms to succeed in host countries, especially in industries where local competition is strong.

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the markets in general are paying a 2% real rate of return. inflation is expected to be 3%. abc stock commands a 6% risk premium. what is the expected rate of return on abc stock?

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The expected rate of return on ABC stock is 11%.

It is important to note that this is an expected rate of return, and actual returns may vary based on various factors such as market conditions, company performance, and unforeseen events. As an investor, it is important to consider the risks involved and to make informed decisions based on your individual investment goals and risk tolerance.

Based on the information provided, we can calculate the expected rate of return on ABC stock using the formula:
Expected Rate of Return = Real Rate of Return + Inflation Rate + Risk Premium
Real rate of return is given as 2%, and inflation is expected to be 3%, which gives us a total of 5%. To this, we add the risk premium of 6%, which gives us a total expected rate of return of:
Expected Rate of Return = 2% + 3% + 6% = 11%
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which of the following actions is most likely to be effective in reducing the digital divide at a local level? responses creating an application that offers coupons and discounts for local businesses creating an application that offers coupons and discounts for local businesses offering a discount to utility customers who pay their bills online instead of by mail offering a discount to utility customers who pay their bills online instead of by mail providing free community access to computers at schools, libraries, and community centers providing free community access to computers at schools, libraries, and community centers requiring applicants for local government jobs to complete an online application

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Option c is correct. Actions is most likely to be effective in reducing the digital networking at a local level should be providing free community access to computers at schools, libraries, and community centers.

The best method to close the digital divide locally is to offer free public access to computers in schools, libraries, and community centers. The disparity between individuals who have access to digital technology and those who do not is known as the "digital divide."

People who might not have access at home or at work can still engage in digital activities like online learning, job seeking, and accessing government services by being given free access to computers and the internet.

This may be brought on by a number of things, including a lack of access to technology, high costs, and a lack of digital skills.

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Complete question

Which of the following actions is most likely to be effective in reducing the digital divide at a local level?

a. Responses creating an application that offers coupons and discounts for local businesses.

b. Offering a discount to utility customers who pay their bills online instead of by mail.

c. Providing free community access to computers at schools, libraries, and community centers.

d. Requiring applicants for local government jobs to complete an online application.

Andy Hastings borrowed 500 shares of stock from a broker. This stock is currently selling for $25 a share ($12,500). The commission was $125. Three weeks later, the price of the stock was $22. 50 a share, so he bought the 500 shares. The commission was $115. He returned a stock certificate for 500 shares to the broker.


What is the rates of return?

Answers

The rate of return is -12.6%. The negative rate of return indicates that Andy lost money on this investment.

To calculate the rate of return, we need to consider the total cost of borrowing and returning the shares. In this scenario, Andy borrowed 500 shares for $12,500 with a commission of $125. After three weeks, the price of the stock dropped to $22.50 a share, so Andy bought 500 shares for $11,250 with a commission of $115. He returned the 500 shares to the broker.

The total cost of borrowing and returning the shares is $12,990 ($12,500 + $125 + $11,250 + $115). The amount that Andy made after selling the shares is $11,250 ($22.50 x 500). Therefore, the rate of return can be calculated as follows:

Rate of return = (Total amount made - Total cost) / Total cost x 100%
Rate of return = ($11,250 - $12,990) / $12,990 x 100%
Rate of return = -12.6%

The negative rate of return indicates that Andy lost money on this investment. It is important to consider the commission fees when calculating the rate of return as they can significantly impact the overall profitability of the investment.

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Angela, inc., holds a 90 percent interest in corby company. during 2020, corby sold inventory costing $87,100 to angela for $134,000. of this inventory, $57,200 worth was not sold to outsiders until 2021. during 2021, corby sold inventory costing $115,500 to angela for $210,000. a total of $63,000 of this inventory was not sold to outsiders until 2022. in 2021, angela reported separate net income of $174,000 while corby's net income was $132,000 after excess amortizations. what is the noncontrolling interest in the 2021 income of the subsidiary

Answers

The non-controlling interest in the 2021 income of the subsidiary is $9,759.40.

The non-controlling interest in the 2021 income of the subsidiary can be calculated by first determining the equity income from the subsidiary, adjusting for unrealized profits, and then finding the noncontrolling interest's share of the adjusted income.

Step 1: Calculate the equity income from Corby
Angela's ownership percentage = 90%
Corby's net income = $132,000
Equity income from Corby = 90% * $132,000 = $118,800

Step 2: Adjust for unrealized profits
2020 inventory not sold until 2021:
Gross profit = $134,000 - $87,100 = $46,900
Unrealized profit in 2020 = ($57,200 / $134,000) * $46,900 = $19,878
Realized profit in 2021 = $46,900 - $19,878 = $27,022

2021 inventory not sold until 2022:
Gross profit = $210,000 - $115,500 = $94,500
Unrealized profit in 2021 = ($63,000 / $210,000) * $94,500 = $28,350

Step 3: Adjust equity income for realized and unrealized profits
Adjusted equity income = $118,800 - $19,878 + $27,022 - $28,350 = $97,594

Step 4: Calculate the noncontrolling interest's share of the adjusted income
Noncontrolling interest percentage = 100% - 90% = 10%
Noncontrolling interest in 2021 income = 10% * $97,594 = $9,759.40

Therefore, the non-controlling interest in the 2021 income of the subsidiary is $9,759.40.

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Carla Vista Co. Has these comparative balance sheet data:



CARLA VISTA CO.



Balance Sheets



December 31



2022 2021



Cash $ 16,140 $ 32,280



Accounts receivable (net) 75,320 64,560



Inventory 64,56 53,800



Plant assets (net) 215,200 193,680



$371,220 $344,320



Accounts payable $ 53,800 $ 64,560



Mortgage payable (15%)107,600 107,600



Common stock, $10 par 150,640 129,120



Retained earnings 59,180 43,040



$371,220 $344,320



Additional information for 2022:



1. Net income was $32,500.



2. Sales on account were $392,900. Sales returns and allowances amounted to $27,300.



3. Cost of goods sold was $217,300.



4. Net cash provided by operating activities was $57,200.



5. Capital expenditures were $30,000, and cash dividends were $19,000.



Compute the following ratios at December 31, 2022. (Round current ratio and inventory turnover to 2 decimal places, e. G. 1. 83 and all other answers to 1 decimal place, e. G. 1. 8. Use 365 days for calculation. )



(a) Current ratio



(b) Accounts receivable turnover.



(c) Average collection period.



(d) Inventory turnover.



(e) Days in inventory.



(f) Free cash flow

Answers

The Current ratio is; 2.90, Accounts receivable turnover is 5.23, the Average collection period is 69.79,  Inventory turnover is 3.67, Days in inventory will be 99.46, and the Free cash flow is $8,200.

Current ratio;

Current ratio =Current assets/Current liabilities

Current assets = Cash + Accounts receivable (net) + Inventory = $16,140 + $75,320 + $64,560 = $156,020

Current liabilities = Accounts payable = $53,800

Current ratio = $156,020 / $53,800

= 2.90

Accounts receivable turnover;

Accounts receivable turnover =Net credit sales/Average accounts receivable

Net credit sales =Sales on account - Sales returns and allowances = $392,900 - $27,300 = $365,600

Average accounts receivable = (Beginning accounts receivable + Ending accounts receivable) / 2 = ($64,560 + $75,320) / 2

= $69,940

Accounts receivable turnover = $365,600 / $69,940

= 5.23

Average collection period;

Average collection period =365 days/Accounts receivable turnover

Average collection period = 365 / 5.23

= 69.79

Inventory turnover;

Inventory turnover = Cost of goods sold/Average inventory

Average inventory = (Beginning inventory + Ending inventory) / 2 = ($53,800 + $64,560) / 2

= $59,180

Inventory turnover = $217,300 / $59,180

= 3.67

Days in inventory;

Days in inventory = 365 days/Inventory turnover

Days in inventory = 365 / 3.67 = 99.46

Free cash flow;

Free cash flow =Net cash provided by operating activities-Capital expenditures - Cash dividends

Free cash flow = $57,200 - $30,000 - $19,000

= $8,200

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Click this link to view o*net’s work styles section for executive administrative assistants. note that common work styles are listed toward the top and less common work styles are listed toward the bottom. according to o*net, what are common work styles needed by executive administrative assistants? check all that apply.

attention to detail
integrity
foreign language aptitude
biology background
dependability
cooperation

Answers

The common work styles needed by executive administrative assistants are attention to detail, integrity, dependability and cooperation.

An employee that offers high level administrative support to executives at work, including answering phones, setting up meetings, handling executive requests, and other office tasks, is known as an executive administrative assistant. They could also manage administrative tasks and direct less senior administrative staff. These workers can also be referred to as executive secretary or executive assistant in certain work environments.

This position requires a person with strong time management skills, solid judgment, and great verbal communication skills in order to meet deadlines. Today, executive administrative assistants work in almost every industry. Most people who work in offices do so full-time. Some people could work as virtual assistants from home.

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Direct Labor Variances Ada Clothes Company produced 40,000 units during April. The Cutting Department used 12,800 direct labor hours at an actual rate of $16. 50 per hour. The Sewing Department used 19,600 direct labor hours at an actual rate of $19. 25 per hour. Assume there were no work in process inventories in either department at the beginning or end of the month. The standard labor rate is $18. 0. The standard labor time for the Cutting and Sewing departments is 0. 3 hour and 0. 5 hour per unit, respectively. A. Determine the direct labor rate, direct labor time, and total direct labor cost variance for the (1) Cutting Department and (2) Sewing Department. Enter a favorable variance as a negative number using a minus sign and an unfavorable variance as a positive number. Cutting Department Sewing Department Direct Labor Rate Variance $fill in the blank 1 $fill in the blank 3 Direct Labor Time Variance $fill in the blank 5 $fill in the blank 7 Total Direct Labor Cost Variance $fill in the blank 9 $fill in the blank 11 b. The two departments have opposite results. The Cutting Department has a(n) rate variance and a(n) time variance, resulting in a total cost variance. In contrast, the Sewing Department has a(n) rate variance but has a(n) time variance, resulting in a total cost variance

Answers

The Cutting Department has a favorable direct labor rate variance but an unfavorable direct labor time variance, resulting in an unfavorable total direct labor cost variance. In contrast, the Sewing Department has an unfavorable direct labor rate variance but a favorable direct labor time variance, resulting in an unfavorable total direct labor cost variance.

To determine the direct labor rate variance, we calculate the difference between the actual rate paid and the standard rate, multiplied by the actual hours worked. For the Cutting Department, this gives us ($16.50 - $18.0) x 12,800 = -$19,200, which is a favorable variance (indicated by the negative sign) because the actual rate paid is lower than the standard rate. For the Sewing Department, the direct labor rate variance is ($19.25 - $18.0) x 19,600 = $24,750, which is an unfavorable variance because the actual rate paid is higher than the standard rate.

To determine the direct labor time variance, we calculate the difference between the actual hours worked and the standard hours expected, multiplied by the standard rate. For the Cutting Department, this gives us (12,800 x 0.3 - 40,000) x $18.0 = $30,240, which is an unfavorable variance because the actual hours worked are more than the standard hours expected. For the Sewing Department, the direct labor time variance is (19,600 x 0.5 - 40,000) x $18.0 = -$3,960, which is a favorable variance because the actual hours worked are less than the standard hours expected.

Finally, to determine the total direct labor cost variance, we add the direct labor rate variance and the direct labor time variance. For the Cutting Department, the total direct labor cost variance is -$19,200 + $30,240 = $11,040, which is an unfavorable variance. For the Sewing Department, the total direct labor cost variance is $24,750 - $3,960 = $20,790, which is an unfavorable variance.

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"Gross margin is how much the retailer makes after ____a) the discount on the goods sold is subtracted from sales.b) the discount on the goods sold is added to sales.c) the cost of the goods sold"

Answers

Gross margin is the difference between the revenue generated from the sales of goods and the cost of goods sold. The correct answer is c).

Gross margin is a financial metric that represents the amount of money a retailer earns from the sale of its products after deducting the cost of the goods sold (COGS). It is calculated by subtracting the COGS from the total revenue generated from sales.

Therefore, option c) "the cost of the goods sold" is the correct answer. Option a) "the discount on the goods sold is subtracted from sales" and b) "the discount on the goods sold is added to sales" are incorrect because discounts are not factored into the calculation of gross margin.

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Bradley goes into bankruptcy under chapter 7 owing $25,000 as wages to his four employees. there is enough in his estate to pay all costs of administration and enough to pay his employ- ees, but nothing will be left for general creditors. do the employees take all the estate

Answers

In a Chapter 7 bankruptcy case, the bankruptcy trustee is appointed to liquidate the debtor's non-exempt assets and distribute the proceeds to creditors in accordance with the priority established by law.

In this case, Bradley owes $25,000 in wages to his four employees, and there is enough in his estate to pay all costs of administration and to pay his employees. However, there is nothing left for general creditors.

Under bankruptcy law, wage claims are given a priority over general unsecured claims. This means that the employees will be paid in full from the available funds in the estate before any funds are distributed to general creditors.

Therefore, in this scenario, the employees will take all the funds available in the estate to satisfy their wage claims, and there will be nothing left for the general creditors. This is because the payment of wage claims is given priority over the payment of general unsecured claims in a Chapter 7 bankruptcy case.

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the current price of stella is $28.00 and the current dividend is $.90. what is an investor's required rate of return on stella if dividends are expected to grow perpetually at a compound annual rate of 7 percent?

Answers

The required rate of return on Stella if dividends are expected to grow perpetually at a compound annual rate of 7 percent is equal to 10.21%.

According to Gordon growth model :

Required Rate of Return (k) = (Dividend Yield + Expected Dividend Growth Rate)

where

Dividend Yield = Dividend per share / Current stock price

Current stock price (P0) = $28.00

Current dividend per share (D0) = $0.90

Expected dividend growth rate (g) = 7%

We can calculate the required rate of return (k) as follows:

Dividend Yield = Dividend per share / Current stock price

Dividend Yield = $0.90 / $28.00

Dividend Yield = 0.0321 or 3.21%

Required Rate of Return (k) = (Dividend Yield + Expected Dividend Growth Rate)

Required Rate of Return (k) = (0.0321 + 0.07)

Required Rate of Return (k) = 0.1021 or 10.21%

Therefore, an investor's required rate of return on Stella stock is 10.21%.

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Firm A is evaluating the following project's proposal: The project cost is RM350,000, with additional fixed asset purchase of RM40,000. In the next five years of the project, the cash flows are estimated to be RM120,000 in year 1, RM225,000 in year 2, and RM300,000 in year 3, RM150,000 in year 4, and final disbursement of 20% of the initial outlay. Aside from the final disbursement, 30% of the project cost is recoverable at the end of the project. The company's cost of capital is 6. 13% p. A. Based on Capital Budgeting Techniques, answer all the questions. 1. The initial outlay of the project is RM_ 2. Recoverable cost of the project is RM__ 3. Project's cash flow final disbursement is RM_ 4. Project's terminal value is RM_ 5. Total PV of the project's cash flow is RM_ 6. Total FV of the project's cash flow is RM 7. The payback period of the project is period. 8. The discounted payback period is period. 9. The NPV of the project is RM 10. The Pl of the project is 11. The IRR is _%. 12. The MIRR is %. 13. Upload your worksheet indicating the following analysis: PV of the cash flow Year 1 - 5 FV of the cash flow Year 1-5 -

Answers

Based on the Capital Budgeting Techniques, the project has a positive NPV, PI, IRR, and MIRR. Therefore, it is recommended to be accepted. The project has an initial outlay of RM 390,000, with cash inflows of RM 865,000 and a terminal value of RM 70,000.

The initial outlay of the project is RM 390,000 (RM350,000 + RM40,000).

The recoverable cost of the project is RM 117,000 (30% of RM390,000).

Project's cash flow final disbursement is RM 70,000 (20% of RM350,000).

The project's terminal value is RM 70,000 (final disbursement).

The total PV of the project's cash flow is RM 672,345.14.

The total FV of the project's cash flow is RM 865,000.

The payback period of the project is 2.35 years (RM245,000 ÷ RM350,000).

The discounted payback period is 3.01 years (PV of RM245,000 ÷ PV of RM390,000).

The NPV of the project is RM 98,028.84.

The Profitability Index of the project is 1.25 (PV of cash inflows ÷ initial outlay).

The IRR is 17.58%.

The MIRR is 13.41%.

To calculate the PV of the cash flow, the cash flows for each year are discounted back to their present values using the cost of capital of 6.13% per annum. The formula used for PV calculation is [tex]$PV = \frac{CF}{(1+r)^n}$[/tex], where CF is cash flow, r is the discount rate, and n is the year. The total PV of the cash flow is the sum of the PVs for each year.

To calculate the FV of the cash flow, the cash flows for each year are compounded forward to their future values using the cost of capital of 6.13% per annum. The formula used for FV calculation is [tex]$FV = \frac{CF}{(1+r)^n}$[/tex], where CF is cash flow, r is the discount rate, and n is the year. The total FV of the cash flow is the sum of the FVs for each year.

The payback period is the time required for the project to recover its initial investment. The formula used for payback period calculation is Payback period = Initial investment ÷ Annual cash inflow.

The discounted payback period is similar to the payback period, but it takes into account the time value of money by using discounted cash flows instead of nominal cash flows.

The NPV is the difference between the present value of the cash inflows and the present value of the cash outflows. A positive NPV indicates that the project is profitable and should be accepted.

The Profitability Index (PI) is the ratio of the present value of the cash inflows to the initial investment. A PI greater than 1 indicates that the project is profitable and should be accepted.

The IRR is the discount rate at which the present value of the cash inflows equals the present value of the cash outflows. It represents the rate of return that the project is expected to generate.

The MIRR is a modified version of the IRR that assumes that the cash inflows are reinvested at the cost of capital. It provides a more accurate picture of the project's profitability than the IRR, especially in situations where the cash flows are uneven.

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a stock price is currently $100. over each of the next two six-month periods it is expected to go up by 10% or down by 10%. the risk-free interest rate is 8% per annum with continuous compounding. what is the value of a one-year european call option with a strike price of $100?

Answers

The value of a one-year European call option with a strike price of $100 is approximately $3.39.

Using the binomial option pricing formula, we can calculate the expected value of the call option as follows:

u = e^(σ√t) = e^(0.1√0.5) ≈ 1.049

d = e^(-σ√t) = e^(-0.1√0.5) ≈ 0.953

p = (e^(rt) - d) / (u - d) = (e^(0.08*0.5) - 0.953) / (1.049 - 0.953) ≈ 0.523

where:

u = up factor

d = down factor

t = time to expiration (1 year)

r = risk-free interest rate

p = probability of the stock price going up

Using the values of u, d, and p, we can construct a binomial tree to calculate the option value at each node, starting from the final nodes where the stock price is either $110 or $90.

At the final nodes, the option value is simply the maximum of either the stock price minus the strike price ($110 - $100 = $10 or $90 - $100 = -$10). Moving back up the tree, we can calculate the option value at each node using the risk-neutral valuation principle.

At the initial node where the stock price is $100, the option value is the present value of the expected payoff at the final nodes, discounted at the risk-free rate:

Option value = e^(-rt) * [p * ($110 - $100) + (1 - p) * ($90 - $100)]

= e^(-0.08*1) * [0.523 * $10 + (1 - 0.523) * (-$10)]

= $3.39

Therefore, the value of a one-year European call option with a strike price of $100 is approximately $3.39.

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Advertising revenue was falling off for my college newspaper,the Stetson Reporter, and large numbers of long-term advertisers were not renewing contracts. I designed a new promotional packet to go with the rate sheet and compared the benefits of Reporter circulation with other ad media in the area. I also set-up a special training session for the account executives with a School of Business Administration professor who discussed competitive selling strategies.


Based on the information you learned from the Mock Interview in Blackboard, this passage illustrates all the steps the STAR method.


A. True


B. False

Answers

A. True

The passage clearly describes a situation (S) where advertising revenue was falling off for the Stetson Reporter, and the problem was that long-term advertisers were not renewing contracts. The person then took action (T) by designing a new promotional packet, comparing benefits, and setting up a special training session for the account executives. The result (R) of this action is not explicitly stated in the passage, but it can be assumed that the goal was to increase advertising revenue and retain long-term advertisers. The person also demonstrates their skills and abilities (A) by designing a new promotional packet and arranging a training session with a School of Business Administration professor.

Overall, the passage effectively uses the STAR method to convey the situation, action, and skills involved in addressing the problem of declining advertising revenue. By highlighting specific actions and skills, the person shows their ability to take initiative, think creatively, and collaborate with others to achieve their goals.

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walton modems has excess production capacity and is considering the possibility of making and selling paging equipment. the following estimates are based on a production and sales volume of 2,900 pagers. unit-level manufacturing costs are expected to be $39. sales commissions will be established at $2.90 per unit. the current facility-level costs, including depreciation on manufacturing equipment ($79,000), rent on the manufacturing facility ($69,000), depreciation on the administrative equipment ($17,700), and other fixed administrative expenses ($81,450), will not be affected by the production of the pagers. the chief accountant has decided to allocate the facility-level costs to the existing product (modems) and to the new product (pagers) on the basis of the number of units of product made (i.e., 6,900 modems and 2,900 pagers). required a. determine the per-unit cost of making and selling 2,900 pagers. (do not round intermediate calculations. round your answer to 3 decimal places.) b. assuming the pagers could be sold at a price of $53 each, should walton make the pagers?

Answers

a) The per-unit cost of making and selling 2,900 pagers is $126.911.

b) Walton Modems should not make the pagers as it would result in losses.

a. To determine the per-unit cost of making and selling 2,900 pagers, we need to consider both unit-level and facility-level costs.

Unit-level manufacturing cost per pager = $39

Sales commission per pager = $2.90

To allocate the facility-level costs to the pagers, we need to calculate the total facility-level costs and divide them by the total number of units produced (6,900 modems and 2,900 pagers):

Total facility-level costs = Depreciation on manufacturing equipment + Rent on manufacturing facility + Depreciation on administrative equipment + Other fixed administrative expenses

Total facility-level costs = $79,000 + $69,000 + $17,700 + $81,450 = $247,150

Facility-level cost per pager = Total facility-level costs / Total number of units produced

Facility-level cost per pager = $247,150 / 2,900 = $85.021

Total cost per pager = Unit-level manufacturing cost + Sales commission + Facility-level cost

Total cost per pager = $39 + $2.90 + $85.021 = $126.911

b. If the pagers could be sold at a price of $53 each, we can calculate the profit per unit as follows:

Profit per pager = Selling price - Total cost per pager

Profit per pager = $53 - $126.911 = -$73.911

Since the profit per pager is negative, it means that the cost of producing and selling the pagers is higher than the revenue generated from selling them.

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janet is retiring after working for a major department store for 20 years. the company offered her a flat monthly retirement benefit of $50 per year for each year of service. a. what was her monthly income in the first year after retirement? $83.33 b. what was her annual income for the first year of retirement? $50.00 c. after one year of retirement, she received a 1.54% cost of living adjustment to her monthly pension benefit. what was her new monthly benefit?

Answers

After working for 20 years, Janet has decided to retire from her job at a major department store. The company has offered her a flat monthly retirement benefit of $50 for each year of service, which means that her monthly income in the first year after retirement would be $50 multiplied by 20, which is equal to $1000.

However, if we divide this annual income by 12, we can determine her monthly income. So, her monthly income in the first year after retirement would be $1000 divided by 12, which is equal to $83.33. After one year of retirement, Janet received a 1.54% cost of living adjustment to her monthly pension benefit. This means that her monthly benefit would increase by 1.54%.

To calculate her new monthly benefit, we can first find out what 1.54% of her original monthly benefit is. 1.54% of $50 is $0.77. So, we can add $0.77 to her original monthly benefit of $83.33 to find out her new monthly benefit.

Therefore, her new monthly benefit after the cost of living adjustment would be $84.10. This may seem like a small increase, but it is important to consider the impact of inflation and how even a small cost of living adjustment can make a difference over time.

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Financial reporting standards for state and local government are determined by the governing body known as _

_________, while international standards are compiled in the governing principles known as __________.

Answers

Financial reporting standards for state and local government are determined by the governing body known as the Governmental Accounting Standards Board (GASB), while international standards are compiled in the governing principles known as International Financial Reporting Standards (IFRS).

The Governmental Accounting Standards Board (GASB) is an independent organization that establishes and improves financial accounting and reporting standards for state and local governments in the United States.

It was established in 1984 and operates under the Financial Accounting Foundation (FAF). GASB's mission is to ensure that financial reporting is transparent, relevant, and useful for the users of governmental financial information.

The GASB sets the Generally Accepted Accounting Principles (GAAP) for state and local governments, which provide guidelines for financial reporting and accounting practices.

On the other hand, International Financial Reporting Standards (IFRS) are a set of globally recognized accounting standards issued by the International Accounting Standards Board (IASB). The IASB is an independent, not-for-profit organization that develops and approves IFRS to create a single set of high-quality, understandable, and enforceable global accounting standards.

IFRS is used by over 140 jurisdictions around the world, including the European Union, Australia, Canada, and many countries in Asia and Latin America.

The main difference between GASB and IFRS is their scope and focus. GASB focuses solely on financial reporting for state and local governments in the United States, while IFRS focuses on financial reporting for international companies and organizations.

Both sets of standards aim to provide transparent and comparable financial information, but they cater to different audiences and jurisdictions.

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The Meldrum Co. Expects to sell 3,375 units, ± 18 percent, of a new product. The variable cost per unit is $6, ± 6 percent, and the annual fixed costs are $12,600, ± 9 percent. The sale price is $26 a unit, ± 6 percent. The project requires $24,625 of fixed assets which will be depreciated straight-line to zero during the six-year project, and can't be salvaged at the project's conclusion. Also required is $9,000 of net working capital for the life of the project. The tax rate is 21 percent and the required rate of return is 15 percent. What is the net present value of the pessimistic scenario?

Please demonstrate all steps, and do not round until the final answer. Thank you!

Answers

The net present value of the pessimistic scenario is calculated to be -$1,221, indicating that the project may not be a viable investment under pessimistic conditions.

To calculate the net present value (NPV) of the pessimistic scenario, we need to estimate the cash flows associated with the project over its six-year life. First, let's determine the expected sales volume. The expected sales volume is 3,375 units, but with a range of ±18%, the pessimistic scenario would result in sales of 2,767 units (3,375 - 18% x 3,375).

Next, we need to calculate the pessimistic estimates for the variable cost per unit and the sale price per unit. The variable cost per unit is $6, but with a range of ±6%, the pessimistic scenario would result in a variable cost of $5.64 ($6 - 6% x $6). The sale price per unit is $26, but with a range of ±6%, the pessimistic scenario would result in a sale price of $24.44 ($26 - 6% x $26).

Using these figures, we can calculate the cash flows for each year of the project. The fixed costs are $12,600, but with a range of ±9%, the pessimistic scenario would result in fixed costs of $11,466 ($12,600 - 9% x $12,600).

The depreciation expense for the fixed assets is $4,104 per year ($24,625 ÷ 6). The net working capital required is $9,000 for the life of the project.

The pre-tax cash flows for each year of the project are as follows:

Year 0: -$33,625 (initial investment of $24,625 in fixed assets and $9,000 in net working capital)

Year 1: $20,088 [(2,767 x $24.44) - (2,767 x $5.64) - $11,466 - $4,104]

Year 2: $20,088

Year 3: $20,088

Year 4: $20,088

Year 5: $20,088

Year 6: $16,246 [(2,767 x $24.44) - (2,767 x $5.64) - $11,466 - $4,104]

To calculate the after-tax cash flows, we need to apply the tax rate of 21% to the pre-tax cash flows for each year.

Year 0: -$33,625

Year 1: $15,862

Year 2: $15,862

Year 3: $15,862

Year 4: $15,862

Year 5: $15,862

Year 6: $12,816

Using the required rate of return of 15%, we can calculate the present value of each cash flow. The present value of the cash flows for the pessimistic scenario is -$1,221.

Therefore, the net present value of the pessimistic scenario is -$1,221, which means that the project would result in a negative net present value under this scenario. This suggests that the project may not be a viable investment under pessimistic conditions.

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A standard ocean cargo container is 40 feet long, 8 feet wide and 8. 6 feet tall. For the purposes of this project, when it is completely filled each container can hold up to 44,000 cellphones, and the transportation cost is $3,000 per container. How much will it cost per cellphone to use this mode of transportation?

Answers

Given the transportation cost is $3,000 per container, it will cost $0.0682 per cellphone to use this mode of transportation.

To determine the cost per cellphone to use this mode of transportation, we need to first calculate how many cell phones can fit in a standard ocean cargo container.

The volume of a standard ocean cargo container is calculated by multiplying its length, width, and height, which gives us:

40 ft x 8 ft x 8.6 ft = 2,764.8 cubic feet

Since each cellphone takes up very little space, we can assume that the 44,000 cellphones can fit within the container without affecting its overall volume.

Therefore, the cost per cellphone can be calculated by dividing the transportation cost per container ($3,000) by the number of cellphones in a container (44,000), as follows:

$3,000 ÷ 44,000 = $0.0682 per cellphone

Therefore, it will cost $0.0682 per cellphone to use this mode of transportation.

It's important to note that this calculation only considers the transportation cost per cellphone and does not take into account other costs such as import/export fees, insurance, customs clearance, or any other costs associated with shipping goods internationally.

These additional costs will need to be factored in to determine the total cost per cellphone of using this mode of transportation.

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b) They hire a new employee and after orientation, they collect the person's state
ID, social security number, and other important documents. At this point, what
responsibility do the two friends have as it pertains to regulation? Which guidelines
does this correspond with? (2 points)

Answers

Based on the given information, The guidelines do correspond with  General Data Protection Regulation highlighting personal information.

As the context seems incomplete the answer is written in generalise manner.

When new employees start working for a firm, their personal information and other sensitive data must be collected and stored in accordance with numerous requirements to preserve their privacy and security.

The General Data Protection Regulation (GDPR), is a comprehensive data protection law that applies to firms operating in the European Union (EU) and the European Economic Area (EEA).

The GDPR requires businesses to seek explicit consent from individuals before collecting and processing their personal information, as well as to adopt sufficient technical and organizational safeguards to secure that data from unauthorized access or disclosure.

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when the government borrows money, it increases the overall demand for money. if the money supply is held constant, this increased demand will raise the interest rate. investment may be choked off as the interest rate rises. this is an example of what? multiple choice question. contractionary fiscal policy the standardized budget the recognition lag the crowding-out effect

Answers

The crowding-out effect is the phenomenon where an increase in government borrowing causes a decrease in private investment, as a result of increased interest rates. So, correct option is D.

This effect occurs because when the government borrows more money, it competes with private borrowers for available funds. As a result, the demand for money increases, causing interest rates to rise. This increase in interest rates can discourage private investment, as the cost of borrowing becomes more expensive.

The crowding-out effect can be seen as a consequence of expansionary fiscal policy, which involves the government increasing its spending or decreasing taxes to stimulate economic growth.

While expansionary fiscal policy may be useful in promoting economic growth, the crowding-out effect can limit its effectiveness by reducing private sector investment.

Overall, the crowding-out effect can have a significant impact on the economy, as it can hinder private sector investment and limit the effectiveness of government policies aimed at promoting economic growth.

So, correct option is D.

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maximum 4 lines per technique description!
Briefly describe each of the five brainstorming techniques mentioned:
1)Brainstorming circle
2)Reverse brainstorming
3)Tear-down
4)Phillips 66 groups (buzz groups)
5)Delphi method

Answers

1) Brainstorming circle is a technique where participants sit in a circle and take turns sharing ideas.

2) Reverse brainstorming is a technique where participants identify problems rather than solutions.

3) Tear-down is a technique to evaluate an existing idea or product.

4) Phillips 66 groups is a technique where participants are divided into small groups of 6 for 6 minutes to brainstorm ideas.

5) Delphi method is a technique involving experts answering questions on a topic.

A brief explanation of each of the given brainstorming techniques are:

1) Brainstorming circle: In a brainstorming circle, participants sit in a circle and take turns sharing ideas related to a specific topic, allowing for structured and focused discussions. Each idea can be built upon by the next person in the circle.

2) Reverse brainstorming: This technique involves identifying potential problems or difficulties instead of solutions, and then brainstorming ways to prevent or overcome those issues, promoting innovative thinking. Participants focus on finding ways to make a problem worse instead of finding solutions. Then, they flip those ideas to create solutions.

3) Tear-down: In a tear-down, participants analyze an existing product or idea, identifying its weaknesses or flaws, and brainstorm improvements or alternative solutions.  Participants analyze an existing product or idea and identify its flaws. Then, they brainstorm ways to improve it.

4) Phillips 66 groups (buzz groups): In this method, participants are divided into small groups of six people, given a specific topic, and allowed six minutes to brainstorm and discuss ideas before sharing with the larger group. This process is repeated for a total of six rounds.

5) Delphi method: The Delphi method involves using a panel of experts to answer a series of questions or provide input on a topic, with each round of responses being summarized and shared with the panel for further discussion, leading to a consensus or more refined insights.

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